|
| | 101ST GENERAL ASSEMBLY
State of Illinois
2019 and 2020 SB1846 Introduced 2/15/2019, by Sen. Paul Schimpf SYNOPSIS AS INTRODUCED: |
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Amends the Business Enterprise for Minorities, Women, and Persons with Disabilities Act. Modifies the provisions of the Act to apply to veterans and veteran-owned businesses. Modifies a Section concerning the short title. Changes the title of the Act to the Business Enterprise for Minorities, Women, Veterans, and Persons with Disabilities Act, and makes conforming changes throughout various statutes referencing the title of the Act. Amends the Illinois Procurement Code. Removes a provision concerning procurement preferences for veterans and veteran-owned businesses. Applies administrative penalties for falsely certified businesses to minority-owned businesses, women-owned businesses, veteran-owned businesses, and businesses owned by persons with a disability. Defines terms. Makes conforming changes in various statutes concerning minority-owned businesses, women-owned businesses, veteran-owned businesses, and businesses owned by persons with a disability. Effective immediately.
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| | | FISCAL NOTE ACT MAY APPLY | |
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1 | | AN ACT concerning finance.
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2 | | Be it enacted by the People of the State of Illinois,
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3 | | represented in the General Assembly:
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4 | | Section 5. The Attorney General Act is amended by changing |
5 | | Section 9 as follows: |
6 | | (15 ILCS 205/9) |
7 | | Sec. 9. Contract aspirational goals. The Attorney General |
8 | | shall establish aspirational goals for contract awards for all |
9 | | contracts for goods and services, not including contracts for |
10 | | services relating to investigations or litigation. These |
11 | | aspirational goals shall be substantially in accordance with |
12 | | the Business Enterprise for Minorities, Women, Veterans, and |
13 | | Persons with Disabilities Act, unless otherwise governed by |
14 | | other law. The Attorney General shall not be subject to the |
15 | | jurisdiction of the Business Enterprise Council established |
16 | | under the Business Enterprise for Minorities, Women, Veterans, |
17 | | and Persons with Disabilities Act with regard to steps taken to |
18 | | achieve aspirational goals. The Attorney General shall |
19 | | annually post information regarding the Office's utilization |
20 | | of businesses owned by minorities, women, veterans, and persons |
21 | | with disabilities during the preceding fiscal year on the |
22 | | Office's Internet websites.
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23 | | (Source: P.A. 100-801, eff. 8-10-18.) |
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1 | | Section 10. The Secretary of State Act is amended by |
2 | | changing Section 19 as follows: |
3 | | (15 ILCS 305/19) |
4 | | Sec. 19. Contract aspirational goals. The Secretary of |
5 | | State shall establish aspirational goals for contract awards |
6 | | substantially in accordance with the Business Enterprise for |
7 | | Minorities, Women, Veterans, and Persons with Disabilities |
8 | | Act, unless otherwise governed by other law. The Secretary of |
9 | | State shall not be subject to the jurisdiction of the Business |
10 | | Enterprise Council established under the Business Enterprise |
11 | | for Minorities, Women, Veterans, and Persons with Disabilities |
12 | | Act with regard to steps taken to achieve aspirational goals. |
13 | | The Secretary of State shall annually post the Office's |
14 | | utilization of businesses owned by minorities, women, |
15 | | veterans, and persons with disabilities during the preceding |
16 | | fiscal year on the Office's Internet websites.
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17 | | (Source: P.A. 100-801, eff. 8-10-18.) |
18 | | Section 15. The State Comptroller Act is amended by |
19 | | changing Sections 23.9 and 23.10 as follows: |
20 | | (15 ILCS 405/23.9) |
21 | | Sec. 23.9. Minority Contractor Opportunity Initiative. The |
22 | | State Comptroller Minority Contractor Opportunity Initiative |
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1 | | is created to provide greater opportunities for minority-owned |
2 | | businesses, women-owned businesses, veteran-owned businesses, |
3 | | businesses owned by persons with disabilities, and small |
4 | | businesses with 20 or fewer employees in this State to |
5 | | participate in the State procurement process. The initiative |
6 | | shall be administered by the Comptroller. Under this |
7 | | initiative, the Comptroller is responsible for the following: |
8 | | (i) outreach to minority-owned businesses, women-owned |
9 | | businesses, veteran-owned businesses, businesses owned by |
10 | | persons with disabilities, and small businesses capable of |
11 | | providing services to the State; (ii) education of |
12 | | minority-owned businesses, women-owned businesses, |
13 | | veteran-owned businesses, businesses owned by persons with |
14 | | disabilities, and small businesses concerning State |
15 | | contracting and procurement; (iii) notification of |
16 | | minority-owned businesses, women-owned businesses, |
17 | | veteran-owned businesses, businesses owned by persons with |
18 | | disabilities, and small businesses of State contracting |
19 | | opportunities; and (iv) maintenance of an online database of |
20 | | State contracts that identifies the contracts awarded to |
21 | | minority-owned businesses, women-owned businesses, |
22 | | veteran-owned businesses, businesses owned by persons with |
23 | | disabilities, and small businesses that includes the total |
24 | | amount paid by State agencies to contractors and the percentage |
25 | | paid to minority-owned businesses, women-owned businesses, |
26 | | veteran-owned businesses, businesses owned by persons with |
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1 | | disabilities, and small businesses. |
2 | | The Business Enterprise Council created under Section 5 of |
3 | | the Business Enterprise for Minorities, Women, Veterans, and |
4 | | Persons with Disabilities Act shall provide the Comptroller |
5 | | with names, Federal Employer Identification Numbers, and |
6 | | designations of Business Enterprise Program certified vendors |
7 | | to fulfill the Comptroller's responsibilities under this |
8 | | Section, including, but not limited to, identification of |
9 | | minority-owned businesses, women-owned businesses, |
10 | | veteran-owned businesses, and businesses owned by persons with |
11 | | disabilities. |
12 | | The Comptroller shall annually prepare and submit a report |
13 | | to the Governor and the General Assembly concerning the |
14 | | progress of this initiative including the following |
15 | | information for the preceding fiscal year: (i) a statement of |
16 | | the total amounts paid by each executive branch agency to |
17 | | contractors since the previous report; (ii) the percentage of |
18 | | the amounts that were paid to minority-owned businesses, |
19 | | women-owned businesses, veteran-owned businesses, businesses |
20 | | owned by persons with disabilities, and small businesses; (iii) |
21 | | the successes achieved and the challenges faced by the |
22 | | Comptroller in operating outreach programs for minorities, |
23 | | women, veterans, persons with disabilities, and small |
24 | | businesses; (iv) the challenges each executive branch agency |
25 | | may face in hiring qualified minority, woman, veteran, and |
26 | | small business employees and employees with disabilities and |
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1 | | contracting with qualified minority-owned businesses, |
2 | | women-owned businesses, veteran-owned businesses, businesses |
3 | | owned by persons with disabilities, and small businesses; and |
4 | | (v) any other information, findings, conclusions, and |
5 | | recommendations for legislative or agency action, as the |
6 | | Comptroller deems appropriate. |
7 | | On and after the effective date of this amendatory Act of |
8 | | the 97th General Assembly, any bidder or offeror awarded a |
9 | | contract of $1,000 or more under Section 20-10, 20-15, 20-25, |
10 | | or 20-30 of the Illinois Procurement Code is required to pay a |
11 | | fee of $15 to cover expenses related to the administration of |
12 | | this Section. The Comptroller shall deduct the fee from the |
13 | | first check issued to the vendor under the contract and deposit |
14 | | the fee into the Comptroller's Administrative Fund. Contracts |
15 | | administered for statewide orders placed by agencies (commonly |
16 | | referred to as "statewide master contracts") are exempt from |
17 | | this fee.
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18 | | Each Chief Procurement Officer shall provide the |
19 | | Comptroller with names and Federal Employer Identification |
20 | | Numbers of vendors registered in the Illinois Small Business |
21 | | Set Aside Program to aid the Comptroller in fulfilling his or |
22 | | her responsibilities under this Section. |
23 | | (Source: P.A. 99-143, eff. 7-27-15; 100-391, eff. 8-25-17; |
24 | | 100-801, eff. 8-10-18.) |
25 | | (15 ILCS 405/23.10) |
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1 | | Sec. 23.10. Contract aspirational goals. The Comptroller |
2 | | shall establish aspirational goals for contract awards |
3 | | substantially in accordance with the Business Enterprise for |
4 | | Minorities, Women, Veterans, and Persons with Disabilities |
5 | | Act, unless otherwise governed by other law. The Comptroller |
6 | | shall not be subject to the jurisdiction of the Business |
7 | | Enterprise Council established under the Business Enterprise |
8 | | for Minorities, Women, Veterans, and Persons with Disabilities |
9 | | Act with regard to steps taken to achieve aspirational goals. |
10 | | The Comptroller shall annually post the Office's utilization of |
11 | | businesses owned by minorities, women, veterans, and persons |
12 | | with disabilities during the preceding fiscal year on the |
13 | | Office's Internet websites.
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14 | | (Source: P.A. 100-801, eff. 8-10-18.) |
15 | | Section 20. The State Treasurer Act is amended by changing |
16 | | Section 30 as follows: |
17 | | (15 ILCS 505/30) |
18 | | Sec. 30. Preferences for veterans, minorities, women, and |
19 | | persons with disabilities. |
20 | | (a) As used in this Section , : (1) the terms "minority |
21 | | person", "woman", "veteran", "person with a disability", |
22 | | "minority-owned business", "women-owned business", |
23 | | "veteran-owned businesses", "business owned by a person with a |
24 | | disability", "armed forces of the United States", and "control" |
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1 | | have the meanings provided in Section 2 1 of the Business |
2 | | Enterprise for Minorities, Women, Veterans, and Persons with |
3 | | Disabilities Act . ; and |
4 | | (2) the terms "veteran", "qualified veteran-owned |
5 | | small business", "qualified service-disabled veteran-owned |
6 | | small business", "qualified service-disabled veteran", and |
7 | | "armed forces of the United States" have the meanings |
8 | | provided in Article 1 of the Illinois Procurement Code. |
9 | | (b) It is hereby declared to be the policy of the State |
10 | | Treasurer to promote and encourage the use of businesses owned |
11 | | by or under the control of qualified veterans of the armed |
12 | | forces of the United States, qualified service-disabled |
13 | | veterans, minority persons, women, or persons with a disability |
14 | | in the area of goods and services. Furthermore, the State |
15 | | Treasurer shall utilize such businesses to the greatest extent |
16 | | feasible within the bounds of financial and fiduciary prudence, |
17 | | and take affirmative steps to remove any barriers to the full |
18 | | participation of such firms in the procurement and contracting |
19 | | opportunities afforded. |
20 | | (c) It shall be an aspirational goal of the State Treasurer |
21 | | to use businesses owned by or under the control of qualified |
22 | | veterans of the armed forces of the United States, qualified |
23 | | service-disabled veterans, minority persons, women, or persons |
24 | | with a disability for not less than 25% of the total dollar |
25 | | amount of funds under management, purchases of investment |
26 | | securities, and other contracts, including, but not limited to, |
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1 | | the use of broker-dealers. The State Treasurer is authorized to |
2 | | establish additional aspirational goals. |
3 | | (d) When the State Treasurer procures goods and services, |
4 | | whether through a request for proposal or otherwise, he or she |
5 | | is authorized to incorporate preferences in the scoring process |
6 | | for: (1) a minority-owned business, a women-owned business, a |
7 | | business owned by a person with a disability, or a qualified |
8 | | veteran-owned small business , or a qualified service-disabled |
9 | | veteran-owned small business ; and (2) businesses having a |
10 | | record of support for increasing diversity and inclusion in |
11 | | board membership, management, employment, philanthropy, and |
12 | | supplier diversity, including investment professionals and |
13 | | investment sourcing. |
14 | | When the State Treasurer utilizes a financial institution |
15 | | or determines the eligibility of a financial institution to |
16 | | participate in a banking contract, investment contract, |
17 | | investment activity, or other financial program of the State |
18 | | Treasurer, he or she shall review the financial institution's |
19 | | Community Reinvestment Act rating, record, and current level of |
20 | | financial commitment to the community prior to making a |
21 | | decision to utilize or determine the eligibility of such |
22 | | financial institution. |
23 | | (e) Beginning with fiscal year 2019, and at least annually |
24 | | thereafter, the State Treasurer shall report on his or her |
25 | | utilization of minority-owned businesses, women-owned |
26 | | businesses, businesses owned by a person with a disability, and |
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1 | | qualified veteran-owned small businesses , or qualified |
2 | | service-disabled veteran-owned small businesses . The report |
3 | | shall be published on the State Treasurer's official website. |
4 | | (f) The provisions of this Section take precedence over any |
5 | | goals established under the Business Enterprise for |
6 | | Minorities, Women, Veterans, and Persons with Disabilities |
7 | | Act.
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8 | | (Source: P.A. 100-969, eff. 8-19-18.) |
9 | | Section 25. The Department of Commerce and Economic |
10 | | Opportunity Law of the
Civil Administrative Code of Illinois is |
11 | | amended by changing Section 605-1020 as follows: |
12 | | (20 ILCS 605/605-1020) |
13 | | Sec. 605-1020. Entrepreneur Learner's Permit pilot |
14 | | program. |
15 | | (a) Subject to appropriation, there is hereby established |
16 | | an Entrepreneur Learner's Permit pilot program that shall be |
17 | | administered by the Department beginning on July 1 of the first |
18 | | fiscal year for which an appropriation of State moneys is made |
19 | | for that purpose and continuing for the next 2 immediately |
20 | | succeeding fiscal years; however, the Department is not |
21 | | required to administer the program in any fiscal year for which |
22 | | such an appropriation has not been made. The purpose of the |
23 | | program shall be to encourage and assist beginning |
24 | | entrepreneurs in starting new businesses by providing |
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1 | | reimbursements to those entrepreneurs for any State filing, |
2 | | permitting, or licensing fees associated with the formation of |
3 | | such a business in the State. |
4 | | (b) Applicants for participation in the Entrepreneur |
5 | | Learner's Permit pilot program shall apply to the Department, |
6 | | in a form and manner prescribed by the Department, within one |
7 | | year after the formation of the business for which the |
8 | | entrepreneur seeks reimbursement of those fees. The Department |
9 | | shall adopt rules for the review and approval of applications, |
10 | | provided that it (1) shall give priority to applicants who are |
11 | | women , veterans, or minority persons, or persons with a |
12 | | disability or both , and (2) shall not approve any application |
13 | | by a person who will not be a beginning entrepreneur. |
14 | | Reimbursements under this Section shall be provided in the |
15 | | manner determined by the Department. In no event shall an |
16 | | applicant apply for participation in the program more than 3 |
17 | | times. |
18 | | (c) The aggregate amount of all reimbursements provided by |
19 | | the Department pursuant to this Section shall not exceed |
20 | | $500,000 in any State fiscal year. |
21 | | (d) On or before February 1 of the last calendar year |
22 | | during which the pilot program is in effect, the Department |
23 | | shall submit a report to the Governor and the General Assembly |
24 | | on the cumulative effectiveness of the Entrepreneur Learner's |
25 | | Permit pilot program. The review shall include, but not be |
26 | | limited to, the number and type of businesses that were formed |
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1 | | in connection with the pilot program, the current status of |
2 | | each business formed in connection with the pilot program, the |
3 | | number of employees employed by each such business, the |
4 | | economic impact to the State from the pilot program, the |
5 | | satisfaction of participants in the pilot program, and a |
6 | | recommendation as to whether the program should be continued. |
7 | | The report to the General Assembly shall be filed with the |
8 | | Clerk of the House of Representatives and the Secretary of the |
9 | | Senate in electronic form only, in the manner that the Clerk |
10 | | and the Secretary shall direct. |
11 | | (e) As used in this Section: |
12 | | "Beginning entrepreneur" means an individual who, at |
13 | | the time he or she applies for participation in the |
14 | | program, has less than 5 years of experience as a business |
15 | | owner and is not a current business owner. |
16 | | "Woman" , "veteran", and "minority person" , and "person |
17 | | with a disability" have the meanings given to those terms |
18 | | in the Business Enterprise for Minorities, Women, |
19 | | Veterans, and Persons with Disabilities Act.
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20 | | (Source: P.A. 100-541, eff. 11-7-17; 100-785, eff. 8-10-18; |
21 | | 100-863, eff. 8-14-18; revised 8-31-18.) |
22 | | Section 30. The Illinois Enterprise Zone Act is amended by |
23 | | changing Section 4 as follows:
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24 | | (20 ILCS 655/4) (from Ch. 67 1/2, par. 604)
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1 | | Sec. 4. Qualifications for enterprise zones. |
2 | | (1) An area is qualified to become an enterprise zone |
3 | | which:
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4 | | (a) is a contiguous area, provided that a zone area may |
5 | | exclude wholly
surrounded territory within its boundaries;
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6 | | (b) comprises a minimum of one-half square mile and not |
7 | | more than 12
square miles, or 15 square miles if the zone |
8 | | is located within the
jurisdiction of 4 or more counties or |
9 | | municipalities, in total area,
exclusive of lakes and |
10 | | waterways;
however, in such cases where the enterprise zone |
11 | | is a joint effort of
three or more units of government, or |
12 | | two or more units of government if
situated in a township |
13 | | which is divided by a municipality of 1,000,000 or
more |
14 | | inhabitants, and where the certification has been in
effect |
15 | | at least one year, the total area shall comprise a minimum |
16 | | of
one-half square mile and not more than thirteen square |
17 | | miles in total area
exclusive of lakes and waterways;
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18 | | (c) (blank);
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19 | | (d) (blank);
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20 | | (e) is (1) entirely within a municipality or (2) |
21 | | entirely within
the unincorporated
areas of a county, |
22 | | except where reasonable need is established for such
zone |
23 | | to cover portions of more than one municipality or county |
24 | | or (3)
both comprises (i) all or part of a municipality and |
25 | | (ii) an unincorporated
area of a county; and
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26 | | (f) meets 3 or more of the following criteria: |
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1 | | (1) all or part of the local labor market area has |
2 | | had an annual average unemployment rate of at least |
3 | | 120% of the State's annual average unemployment rate |
4 | | for the most recent calendar year or the most recent |
5 | | fiscal year as reported by the Department of Employment |
6 | | Security; |
7 | | (2) designation will result in the development of |
8 | | substantial employment opportunities by creating or |
9 | | retaining a minimum aggregate of 1,000 full-time |
10 | | equivalent jobs due to an aggregate investment of |
11 | | $100,000,000 or more, and will help alleviate the |
12 | | effects of poverty and unemployment within the local |
13 | | labor market area; |
14 | | (3) all or part of the local labor market area has |
15 | | a poverty rate of at least 20% according to the latest |
16 | | federal decennial census, 50% or more of children in |
17 | | the local labor market area participate in the federal |
18 | | free lunch program according to reported statistics |
19 | | from the State Board of Education, or 20% or more |
20 | | households in the local labor market area receive food |
21 | | stamps according to the latest federal decennial |
22 | | census; |
23 | | (4) an abandoned coal mine, a brownfield (as |
24 | | defined in Section 58.2 of the Environmental |
25 | | Protection Act), or an inactive nuclear-powered |
26 | | nuclear powered electrical generation facility where |
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1 | | spent nuclear fuel is stored on-site is located in the |
2 | | proposed zone area, or all or a portion of the proposed |
3 | | zone was declared a federal disaster area in the 3 |
4 | | years preceding the date of application; |
5 | | (5) the local labor market area contains a presence |
6 | | of large employers that have downsized over the years, |
7 | | the labor market area has experienced plant closures in |
8 | | the 5 years prior to the date of application affecting |
9 | | more than 50 workers, or the local labor market area |
10 | | has experienced State or federal facility closures in |
11 | | the 5 years prior to the date of application affecting |
12 | | more than 50 workers; |
13 | | (6) based on data from Multiple Listing Service |
14 | | information or other suitable sources, the local labor |
15 | | market area contains a high floor vacancy rate of |
16 | | industrial or commercial properties, vacant or |
17 | | demolished commercial and industrial structures are |
18 | | prevalent in the local labor market area, or industrial |
19 | | structures in the local labor market area are not used |
20 | | because of age, deterioration, relocation of the |
21 | | former occupants, or cessation of operation; |
22 | | (7) the applicant demonstrates a substantial plan |
23 | | for using the designation to improve the State and |
24 | | local government tax base, including income, sales, |
25 | | and property taxes; |
26 | | (8) significant public infrastructure is present |
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1 | | in the local labor market area in addition to a plan |
2 | | for infrastructure development and improvement; |
3 | | (9) high schools or community colleges located |
4 | | within the local labor market area are engaged in ACT |
5 | | Work Keys, Manufacturing Skills Standard |
6 | | Certification, or other industry-based credentials |
7 | | that prepare students for careers; |
8 | | (10) the change in equalized assessed valuation of |
9 | | industrial and/or commercial properties in the 5 years |
10 | | prior to the date of application is equal to or less |
11 | | than 50% of the State average change in equalized |
12 | | assessed valuation for industrial and/or commercial |
13 | | properties, as applicable, for the same period of time; |
14 | | or |
15 | | (11) the applicant demonstrates a substantial plan |
16 | | for using the designation to encourage: (i) |
17 | | participation by businesses owned by minorities, |
18 | | women, veterans, and persons with disabilities, as |
19 | | those terms are defined in the Business Enterprise for |
20 | | Minorities, Women, Veterans, and Persons with |
21 | | Disabilities Act; and (ii) the hiring of minorities, |
22 | | women, veterans, and persons with disabilities. |
23 | | As provided in Section 10-5.3 of the River Edge |
24 | | Redevelopment Zone Act, upon the expiration of the term of each |
25 | | River Edge Redevelopment Zone in existence on August 7, 2012 |
26 | | ( the effective date of Public Act 97-905) this amendatory Act |
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1 | | of the 97th General Assembly , that River Edge Redevelopment |
2 | | Zone will become available for its previous designee or a new |
3 | | applicant to compete for designation as an enterprise zone. No |
4 | | preference for designation will be given to the previous |
5 | | designee of the zone. |
6 | | (2) Any criteria established by the Department or by law |
7 | | which utilize the rate
of unemployment for a particular area |
8 | | shall provide that all persons who
are not presently employed |
9 | | and have exhausted all unemployment benefits
shall be |
10 | | considered unemployed, whether or not such persons are actively
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11 | | seeking employment.
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12 | | (Source: P.A. 100-838, eff. 8-13-18; 100-1149, eff. 12-14-18; |
13 | | revised 1-3-19.)
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14 | | Section 35. The Illinois Lottery Law is amended by changing |
15 | | Section 9.1 as follows: |
16 | | (20 ILCS 1605/9.1) |
17 | | Sec. 9.1. Private manager and management agreement. |
18 | | (a) As used in this Section: |
19 | | "Offeror" means a person or group of persons that responds |
20 | | to a request for qualifications under this Section. |
21 | | "Request for qualifications" means all materials and |
22 | | documents prepared by the Department to solicit the following |
23 | | from offerors: |
24 | | (1) Statements of qualifications. |
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1 | | (2) Proposals to enter into a management agreement, |
2 | | including the identity of any prospective vendor or vendors |
3 | | that the offeror intends to initially engage to assist the |
4 | | offeror in performing its obligations under the management |
5 | | agreement. |
6 | | "Final offer" means the last proposal submitted by an |
7 | | offeror in response to the request for qualifications, |
8 | | including the identity of any prospective vendor or vendors |
9 | | that the offeror intends to initially engage to assist the |
10 | | offeror in performing its obligations under the management |
11 | | agreement. |
12 | | "Final offeror" means the offeror ultimately selected by |
13 | | the Governor to be the private manager for the Lottery under |
14 | | subsection (h) of this Section. |
15 | | (b) By September 15, 2010, the Governor shall select a |
16 | | private manager for the total management of the Lottery with |
17 | | integrated functions, such as lottery game design, supply of |
18 | | goods and services, and advertising and as specified in this |
19 | | Section. |
20 | | (c) Pursuant to the terms of this subsection, the |
21 | | Department shall endeavor to expeditiously terminate the |
22 | | existing contracts in support of the Lottery in effect on the |
23 | | effective date of this amendatory Act of the 96th General |
24 | | Assembly in connection with the selection of the private |
25 | | manager. As part of its obligation to terminate these contracts |
26 | | and select the private manager, the Department shall establish |
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1 | | a mutually agreeable timetable to transfer the functions of |
2 | | existing contractors to the private manager so that existing |
3 | | Lottery operations are not materially diminished or impaired |
4 | | during the transition. To that end, the Department shall do the |
5 | | following: |
6 | | (1) where such contracts contain a provision |
7 | | authorizing termination upon notice, the Department shall |
8 | | provide notice of termination to occur upon the mutually |
9 | | agreed timetable for transfer of functions; |
10 | | (2) upon the expiration of any initial term or renewal |
11 | | term of the current Lottery contracts, the Department shall |
12 | | not renew such contract for a term extending beyond the |
13 | | mutually agreed timetable for transfer of functions; or |
14 | | (3) in the event any current contract provides for |
15 | | termination of that contract upon the implementation of a |
16 | | contract with the private manager, the Department shall |
17 | | perform all necessary actions to terminate the contract on |
18 | | the date that coincides with the mutually agreed timetable |
19 | | for transfer of functions. |
20 | | If the contracts to support the current operation of the |
21 | | Lottery in effect on the effective date of this amendatory Act |
22 | | of the 96th General Assembly are not subject to termination as |
23 | | provided for in this subsection (c), then the Department may |
24 | | include a provision in the contract with the private manager |
25 | | specifying a mutually agreeable methodology for incorporation. |
26 | | (c-5) The Department shall include provisions in the |
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1 | | management agreement whereby the private manager shall, for a |
2 | | fee, and pursuant to a contract negotiated with the Department |
3 | | (the "Employee Use Contract"), utilize the services of current |
4 | | Department employees to assist in the administration and |
5 | | operation of the Lottery. The Department shall be the employer |
6 | | of all such bargaining unit employees assigned to perform such |
7 | | work for the private manager, and such employees shall be State |
8 | | employees, as defined by the Personnel Code. Department |
9 | | employees shall operate under the same employment policies, |
10 | | rules, regulations, and procedures, as other employees of the |
11 | | Department. In addition, neither historical representation |
12 | | rights under the Illinois Public Labor Relations Act, nor |
13 | | existing collective bargaining agreements, shall be disturbed |
14 | | by the management agreement with the private manager for the |
15 | | management of the Lottery. |
16 | | (d) The management agreement with the private manager shall |
17 | | include all of the following: |
18 | | (1) A term not to exceed 10 years, including any |
19 | | renewals. |
20 | | (2) A provision specifying that the Department: |
21 | | (A) shall exercise actual control over all |
22 | | significant business decisions; |
23 | | (A-5) has the authority to direct or countermand |
24 | | operating decisions by the private manager at any time; |
25 | | (B) has ready access at any time to information |
26 | | regarding Lottery operations; |
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1 | | (C) has the right to demand and receive information |
2 | | from the private manager concerning any aspect of the |
3 | | Lottery operations at any time; and |
4 | | (D) retains ownership of all trade names, |
5 | | trademarks, and intellectual property associated with |
6 | | the Lottery. |
7 | | (3) A provision imposing an affirmative duty on the |
8 | | private manager to provide the Department with material |
9 | | information and with any information the private manager |
10 | | reasonably believes the Department would want to know to |
11 | | enable the Department to conduct the Lottery. |
12 | | (4) A provision requiring the private manager to |
13 | | provide the Department with advance notice of any operating |
14 | | decision that bears significantly on the public interest, |
15 | | including, but not limited to, decisions on the kinds of |
16 | | games to be offered to the public and decisions affecting |
17 | | the relative risk and reward of the games being offered, so |
18 | | the Department has a reasonable opportunity to evaluate and |
19 | | countermand that decision. |
20 | | (5) A provision providing for compensation of the |
21 | | private manager that may consist of, among other things, a |
22 | | fee for services and a performance based bonus as |
23 | | consideration for managing the Lottery, including terms |
24 | | that may provide the private manager with an increase in |
25 | | compensation if Lottery revenues grow by a specified |
26 | | percentage in a given year. |
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1 | | (6) (Blank). |
2 | | (7) A provision requiring the deposit of all Lottery |
3 | | proceeds to be deposited into the State Lottery Fund except |
4 | | as otherwise provided in Section 20 of this Act. |
5 | | (8) A provision requiring the private manager to locate |
6 | | its principal office within the State. |
7 | | (8-5) A provision encouraging that at least 20% of the |
8 | | cost of contracts entered into for goods and services by |
9 | | the private manager in connection with its management of |
10 | | the Lottery, other than contracts with sales agents or |
11 | | technical advisors, be awarded to businesses that are a |
12 | | minority-owned business, a women-owned business, |
13 | | veteran-owned business, or a business owned by a person |
14 | | with disability, as those terms are defined in the Business |
15 | | Enterprise for Minorities, Women, Veterans, and Persons |
16 | | with Disabilities Act. |
17 | | (9) A requirement that so long as the private manager |
18 | | complies with all the conditions of the agreement under the |
19 | | oversight of the Department, the private manager shall have |
20 | | the following duties and obligations with respect to the |
21 | | management of the Lottery: |
22 | | (A) The right to use equipment and other assets |
23 | | used in the operation of the Lottery. |
24 | | (B) The rights and obligations under contracts |
25 | | with retailers and vendors. |
26 | | (C) The implementation of a comprehensive security |
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1 | | program by the private manager. |
2 | | (D) The implementation of a comprehensive system |
3 | | of internal audits. |
4 | | (E) The implementation of a program by the private |
5 | | manager to curb compulsive gambling by persons playing |
6 | | the Lottery. |
7 | | (F) A system for determining (i) the type of |
8 | | Lottery games, (ii) the method of selecting winning |
9 | | tickets, (iii) the manner of payment of prizes to |
10 | | holders of winning tickets, (iv) the frequency of |
11 | | drawings of winning tickets, (v) the method to be used |
12 | | in selling tickets, (vi) a system for verifying the |
13 | | validity of tickets claimed to be winning tickets, |
14 | | (vii) the basis upon which retailer commissions are |
15 | | established by the manager, and (viii) minimum |
16 | | payouts. |
17 | | (10) A requirement that advertising and promotion must |
18 | | be consistent with Section 7.8a of this Act. |
19 | | (11) A requirement that the private manager market the |
20 | | Lottery to those residents who are new, infrequent, or |
21 | | lapsed players of the Lottery, especially those who are |
22 | | most likely to make regular purchases on the Internet as |
23 | | permitted by law. |
24 | | (12) A code of ethics for the private manager's |
25 | | officers and employees. |
26 | | (13) A requirement that the Department monitor and |
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1 | | oversee the private manager's practices and take action |
2 | | that the Department considers appropriate to ensure that |
3 | | the private manager is in compliance with the terms of the |
4 | | management agreement, while allowing the manager, unless |
5 | | specifically prohibited by law or the management |
6 | | agreement, to negotiate and sign its own contracts with |
7 | | vendors. |
8 | | (14) A provision requiring the private manager to |
9 | | periodically file, at least on an annual basis, appropriate |
10 | | financial statements in a form and manner acceptable to the |
11 | | Department. |
12 | | (15) Cash reserves requirements. |
13 | | (16) Procedural requirements for obtaining the prior |
14 | | approval of the Department when a management agreement or |
15 | | an interest in a management agreement is sold, assigned, |
16 | | transferred, or pledged as collateral to secure financing. |
17 | | (17) Grounds for the termination of the management |
18 | | agreement by the Department or the private manager. |
19 | | (18) Procedures for amendment of the agreement. |
20 | | (19) A provision requiring the private manager to |
21 | | engage in an open and competitive bidding process for any |
22 | | procurement having a cost in excess of $50,000 that is not |
23 | | a part of the private manager's final offer. The process |
24 | | shall favor the selection of a vendor deemed to have |
25 | | submitted a proposal that provides the Lottery with the |
26 | | best overall value. The process shall not be subject to the |
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1 | | provisions of the Illinois Procurement Code, unless |
2 | | specifically required by the management agreement. |
3 | | (20) The transition of rights and obligations, |
4 | | including any associated equipment or other assets used in |
5 | | the operation of the Lottery, from the manager to any |
6 | | successor manager of the lottery, including the |
7 | | Department, following the termination of or foreclosure |
8 | | upon the management agreement. |
9 | | (21) Right of use of copyrights, trademarks, and |
10 | | service marks held by the Department in the name of the |
11 | | State. The agreement must provide that any use of them by |
12 | | the manager shall only be for the purpose of fulfilling its |
13 | | obligations under the management agreement during the term |
14 | | of the agreement. |
15 | | (22) The disclosure of any information requested by the |
16 | | Department to enable it to comply with the reporting |
17 | | requirements and information requests provided for under |
18 | | subsection (p) of this Section. |
19 | | (e) Notwithstanding any other law to the contrary, the |
20 | | Department shall select a private manager through a competitive |
21 | | request for qualifications process consistent with Section |
22 | | 20-35 of the Illinois Procurement Code, which shall take into |
23 | | account: |
24 | | (1) the offeror's ability to market the Lottery to |
25 | | those residents who are new, infrequent, or lapsed players |
26 | | of the Lottery, especially those who are most likely to |
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1 | | make regular purchases on the Internet; |
2 | | (2) the offeror's ability to address the State's |
3 | | concern with the social effects of gambling on those who |
4 | | can least afford to do so; |
5 | | (3) the offeror's ability to provide the most |
6 | | successful management of the Lottery for the benefit of the |
7 | | people of the State based on current and past business |
8 | | practices or plans of the offeror; and |
9 | | (4) the offeror's poor or inadequate past performance |
10 | | in servicing, equipping, operating or managing a lottery on |
11 | | behalf of Illinois, another State or foreign government and |
12 | | attracting persons who are not currently regular players of |
13 | | a lottery. |
14 | | (f) The Department may retain the services of an advisor or |
15 | | advisors with significant experience in financial services or |
16 | | the management, operation, and procurement of goods, services, |
17 | | and equipment for a government-run lottery to assist in the |
18 | | preparation of the terms of the request for qualifications and |
19 | | selection of the private manager. Any prospective advisor |
20 | | seeking to provide services under this subsection (f) shall |
21 | | disclose any material business or financial relationship |
22 | | during the past 3 years with any potential offeror, or with a |
23 | | contractor or subcontractor presently providing goods, |
24 | | services, or equipment to the Department to support the |
25 | | Lottery. The Department shall evaluate the material business or |
26 | | financial relationship of each prospective advisor. The |
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1 | | Department shall not select any prospective advisor with a |
2 | | substantial business or financial relationship that the |
3 | | Department deems to impair the objectivity of the services to |
4 | | be provided by the prospective advisor. During the course of |
5 | | the advisor's engagement by the Department, and for a period of |
6 | | one year thereafter, the advisor shall not enter into any |
7 | | business or financial relationship with any offeror or any |
8 | | vendor identified to assist an offeror in performing its |
9 | | obligations under the management agreement. Any advisor |
10 | | retained by the Department shall be disqualified from being an |
11 | | offeror.
The Department shall not include terms in the request |
12 | | for qualifications that provide a material advantage whether |
13 | | directly or indirectly to any potential offeror, or any |
14 | | contractor or subcontractor presently providing goods, |
15 | | services, or equipment to the Department to support the |
16 | | Lottery, including terms contained in previous responses to |
17 | | requests for proposals or qualifications submitted to |
18 | | Illinois, another State or foreign government when those terms |
19 | | are uniquely associated with a particular potential offeror, |
20 | | contractor, or subcontractor. The request for proposals |
21 | | offered by the Department on December 22, 2008 as |
22 | | "LOT08GAMESYS" and reference number "22016176" is declared |
23 | | void. |
24 | | (g) The Department shall select at least 2 offerors as |
25 | | finalists to potentially serve as the private manager no later |
26 | | than August 9, 2010. Upon making preliminary selections, the |
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1 | | Department shall schedule a public hearing on the finalists' |
2 | | proposals and provide public notice of the hearing at least 7 |
3 | | calendar days before the hearing. The notice must include all |
4 | | of the following: |
5 | | (1) The date, time, and place of the hearing. |
6 | | (2) The subject matter of the hearing. |
7 | | (3) A brief description of the management agreement to |
8 | | be awarded. |
9 | | (4) The identity of the offerors that have been |
10 | | selected as finalists to serve as the private manager. |
11 | | (5) The address and telephone number of the Department. |
12 | | (h) At the public hearing, the Department shall (i) provide |
13 | | sufficient time for each finalist to present and explain its |
14 | | proposal to the Department and the Governor or the Governor's |
15 | | designee, including an opportunity to respond to questions |
16 | | posed by the Department, Governor, or designee and (ii) allow |
17 | | the public and non-selected offerors to comment on the |
18 | | presentations. The Governor or a designee shall attend the |
19 | | public hearing. After the public hearing, the Department shall |
20 | | have 14 calendar days to recommend to the Governor whether a |
21 | | management agreement should be entered into with a particular |
22 | | finalist. After reviewing the Department's recommendation, the |
23 | | Governor may accept or reject the Department's recommendation, |
24 | | and shall select a final offeror as the private manager by |
25 | | publication of a notice in the Illinois Procurement Bulletin on |
26 | | or before September 15, 2010. The Governor shall include in the |
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1 | | notice a detailed explanation and the reasons why the final |
2 | | offeror is superior to other offerors and will provide |
3 | | management services in a manner that best achieves the |
4 | | objectives of this Section. The Governor shall also sign the |
5 | | management agreement with the private manager. |
6 | | (i) Any action to contest the private manager selected by |
7 | | the Governor under this Section must be brought within 7 |
8 | | calendar days after the publication of the notice of the |
9 | | designation of the private manager as provided in subsection |
10 | | (h) of this Section. |
11 | | (j) The Lottery shall remain, for so long as a private |
12 | | manager manages the Lottery in accordance with provisions of |
13 | | this Act, a Lottery conducted by the State, and the State shall |
14 | | not be authorized to sell or transfer the Lottery to a third |
15 | | party. |
16 | | (k) Any tangible personal property used exclusively in |
17 | | connection with the lottery that is owned by the Department and |
18 | | leased to the private manager shall be owned by the Department |
19 | | in the name of the State and shall be considered to be public |
20 | | property devoted to an essential public and governmental |
21 | | function. |
22 | | (l) The Department may exercise any of its powers under |
23 | | this Section or any other law as necessary or desirable for the |
24 | | execution of the Department's powers under this Section. |
25 | | (m) Neither this Section nor any management agreement |
26 | | entered into under this Section prohibits the General Assembly |
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1 | | from authorizing forms of gambling that are not in direct |
2 | | competition with the Lottery. |
3 | | (n) The private manager shall be subject to a complete |
4 | | investigation in the third, seventh, and tenth years of the |
5 | | agreement (if the agreement is for a 10-year term) by the |
6 | | Department in cooperation with the Auditor General to determine |
7 | | whether the private manager has complied with this Section and |
8 | | the management agreement. The private manager shall bear the |
9 | | cost of an investigation or reinvestigation of the private |
10 | | manager under this subsection. |
11 | | (o) The powers conferred by this Section are in addition |
12 | | and supplemental to the powers conferred by any other law. If |
13 | | any other law or rule is inconsistent with this Section, |
14 | | including, but not limited to, provisions of the Illinois |
15 | | Procurement Code, then this Section controls as to any |
16 | | management agreement entered into under this Section. This |
17 | | Section and any rules adopted under this Section contain full |
18 | | and complete authority for a management agreement between the |
19 | | Department and a private manager. No law, procedure, |
20 | | proceeding, publication, notice, consent, approval, order, or |
21 | | act by the Department or any other officer, Department, agency, |
22 | | or instrumentality of the State or any political subdivision is |
23 | | required for the Department to enter into a management |
24 | | agreement under this Section. This Section contains full and |
25 | | complete authority for the Department to approve any contracts |
26 | | entered into by a private manager with a vendor providing |
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1 | | goods, services, or both goods and services to the private |
2 | | manager under the terms of the management agreement, including |
3 | | subcontractors of such vendors. |
4 | | Upon receipt of a written request from the Chief |
5 | | Procurement Officer, the Department shall provide to the Chief |
6 | | Procurement Officer a complete and un-redacted copy of the |
7 | | management agreement or any contract that is subject to the |
8 | | Department's approval authority under this subsection (o). The |
9 | | Department shall provide a copy of the agreement or contract to |
10 | | the Chief Procurement Officer in the time specified by the |
11 | | Chief Procurement Officer in his or her written request, but no |
12 | | later than 5 business days after the request is received by the |
13 | | Department. The Chief Procurement Officer must retain any |
14 | | portions of the management agreement or of any contract |
15 | | designated by the Department as confidential, proprietary, or |
16 | | trade secret information in complete confidence pursuant to |
17 | | subsection (g) of Section 7 of the Freedom of Information Act. |
18 | | The Department shall also provide the Chief Procurement Officer |
19 | | with reasonable advance written notice of any contract that is |
20 | | pending Department approval. |
21 | | Notwithstanding any other provision of this Section to the |
22 | | contrary, the Chief Procurement Officer shall adopt |
23 | | administrative rules, including emergency rules, to establish |
24 | | a procurement process to select a successor private manager if |
25 | | a private management agreement has been terminated. The |
26 | | selection process shall at a minimum take into account the |
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1 | | criteria set forth in items (1) through (4) of subsection (e) |
2 | | of this Section and may include provisions consistent with |
3 | | subsections (f), (g), (h), and (i) of this Section. The Chief |
4 | | Procurement Officer shall also implement and administer the |
5 | | adopted selection process upon the termination of a private |
6 | | management agreement. The Department, after the Chief |
7 | | Procurement Officer certifies that the procurement process has |
8 | | been followed in accordance with the rules adopted under this |
9 | | subsection (o), shall select a final offeror as the private |
10 | | manager and sign the management agreement with the private |
11 | | manager. |
12 | | Except as provided in Sections 21.5, 21.6, 21.7, 21.8, |
13 | | 21.9, and 21.10, and 21.11, 21.10 the Department shall |
14 | | distribute all proceeds of lottery tickets and shares sold in |
15 | | the following priority and manner: |
16 | | (1) The payment of prizes and retailer bonuses. |
17 | | (2) The payment of costs incurred in the operation and |
18 | | administration of the Lottery, including the payment of |
19 | | sums due to the private manager under the management |
20 | | agreement with the Department. |
21 | | (3) On the last day of each month or as soon thereafter |
22 | | as possible, the State Comptroller shall direct and the |
23 | | State Treasurer shall transfer from the State Lottery Fund |
24 | | to the Common School Fund an amount that is equal to the |
25 | | proceeds transferred in the corresponding month of fiscal |
26 | | year 2009, as adjusted for inflation, to the Common School |
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1 | | Fund. |
2 | | (4) On or before September 30 of each fiscal year, |
3 | | deposit any estimated remaining proceeds from the prior |
4 | | fiscal year, subject to payments under items (1), (2), and |
5 | | (3) , into the Capital Projects Fund. Beginning in fiscal |
6 | | year 2019, the amount deposited shall be increased or |
7 | | decreased each year by the amount the estimated payment |
8 | | differs from the amount determined from each year-end |
9 | | financial audit. Only remaining net deficits from prior |
10 | | fiscal years may reduce the requirement to deposit these |
11 | | funds, as determined by the annual financial audit. |
12 | | (p) The Department shall be subject to the following |
13 | | reporting and information request requirements: |
14 | | (1) the Department shall submit written quarterly |
15 | | reports to the Governor and the General Assembly on the |
16 | | activities and actions of the private manager selected |
17 | | under this Section; |
18 | | (2) upon request of the Chief Procurement Officer, the |
19 | | Department shall promptly produce information related to |
20 | | the procurement activities of the Department and the |
21 | | private manager requested by the Chief Procurement |
22 | | Officer; the Chief Procurement Officer must retain |
23 | | confidential, proprietary, or trade secret information |
24 | | designated by the Department in complete confidence |
25 | | pursuant to subsection (g) of Section 7 of the Freedom of |
26 | | Information Act; and |
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1 | | (3) at least 30 days prior to the beginning of the |
2 | | Department's fiscal year, the Department shall prepare an |
3 | | annual written report on the activities of the private |
4 | | manager selected under this Section and deliver that report |
5 | | to the Governor and General Assembly. |
6 | | (Source: P.A. 99-933, eff. 1-27-17; 100-391, eff. 8-25-17; |
7 | | 100-587, eff. 6-4-18; 100-647, eff. 7-30-18; 100-1068, eff. |
8 | | 8-24-18; revised 9-20-18.) |
9 | | Section 40. The Department of Transportation Law of the
|
10 | | Civil Administrative Code of Illinois is amended by changing |
11 | | Section 2705-585 as follows: |
12 | | (20 ILCS 2705/2705-585)
|
13 | | Sec. 2705-585. Diversity goals. |
14 | | (a) To the extent permitted by any applicable federal law |
15 | | or regulation, all State construction projects funded from |
16 | | amounts (i) made available under the Governor's Fiscal Year |
17 | | 2009 supplemental budget or the American Recovery and |
18 | | Reinvestment Act of 2009 and (ii) that are appropriated to the |
19 | | Illinois Department of Transportation shall comply with the |
20 | | Business Enterprise for Minorities, Women, Veterans, and |
21 | | Persons with Disabilities Act. |
22 | | (b) The Illinois Department of Transportation shall |
23 | | appoint representatives to professional and artistic services |
24 | | selection committees representative of the State's ethnic, |
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1 | | cultural, and geographic diversity, including, but not limited |
2 | | to, at least one person from each of the following: an |
3 | | association representing the interests of African American |
4 | | business owners, an association representing the interests of |
5 | | Latino business owners, and an association representing the |
6 | | interests of women business owners. These committees shall |
7 | | comply with all requirements of the Open Meetings Act.
|
8 | | (Source: P.A. 100-391, eff. 8-25-17.) |
9 | | Section 45. The Capital Development Board Act is amended by |
10 | | changing Section 16 as follows:
|
11 | | (20 ILCS 3105/16) (from Ch. 127, par. 783b)
|
12 | | Sec. 16.
(a) In addition to any other power granted in this |
13 | | Act to
adopt rules or regulations, the Board may adopt |
14 | | regulations or rules
relating to the issuance or renewal of the |
15 | | prequalification of an
architect, engineer or contractor or the |
16 | | suspension or modification of the
prequalification of any such |
17 | | person or entity including, without
limitation, an interim or |
18 | | emergency suspension or modification without a
hearing founded |
19 | | on any one or more of the bases set forth in this Section.
|
20 | | (b) Among the bases for an interim or emergency suspension |
21 | | or
modification of prequalification are:
|
22 | | (1) A finding by the Board that the public interest, |
23 | | safety or welfare
requires a summary suspension or |
24 | | modification of a prequalification without
hearings.
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1 | | (2) The occurrence of an event or series of events |
2 | | which, in the Board's
opinion, warrants a summary |
3 | | suspension or modification of a
prequalification without a |
4 | | hearing including, without limitation, (i) the
indictment |
5 | | of the holder of the prequalification by a State or federal
|
6 | | agency or other branch of government for a crime; (ii) the |
7 | | suspension or
modification of a license or |
8 | | prequalification by another State agency or
federal agency |
9 | | or other branch of government after hearings; (iii) a
|
10 | | material breach of a contract made between the Board and an |
11 | | architect,
engineer or contractor; and (iv) the failure to |
12 | | comply with State law
including, without limitation, the |
13 | | Business Enterprise for Minorities, Women, Veterans,
and
|
14 | | Persons with Disabilities Act,
the prevailing wage |
15 | | requirements, and the Steel Products Procurement Act.
|
16 | | (c) If a prequalification is suspended or modified by the |
17 | | Board without
hearings for any reason set forth in this Section |
18 | | or in Section 10-65 of the
Illinois Administrative Procedure |
19 | | Act, as amended, the Board
shall within 30 days of the issuance |
20 | | of an order of suspension or modification
of a prequalification |
21 | | initiate proceedings for the suspension or modification
of or |
22 | | other action upon the prequalification.
|
23 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
24 | | Section 50. The Illinois Finance Authority Act is amended |
25 | | by changing Section 835-10 as follows: |
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1 | | (20 ILCS 3501/835-10) |
2 | | Sec. 835-10. Definitions. As used or referred to in this |
3 | | Article 835, the following
words and terms shall have the |
4 | | following meanings, except where the context clearly requires |
5 | | otherwise: |
6 | | "Fund" means one or more of the Industrial Project |
7 | | Insurance Fund, the
Illinois Agricultural Loan Guarantee Fund, |
8 | | or the Illinois Farmer and Agribusiness Loan Guarantee Fund, as |
9 | | applicable. |
10 | | "Illinois Agricultural Loan Guarantee Fund" means the |
11 | | Illinois Agricultural Loan Guarantee Fund created under |
12 | | Section 830-30(c) of this Act. |
13 | | "Illinois Farmer and Agribusiness Loan Guarantee Fund" |
14 | | means the Illinois Farmer and Agribusiness Loan Guarantee Fund |
15 | | created under Section 830-35(c) of this Act. |
16 | | "Industrial Project Insurance Fund" means the Industrial |
17 | | Project Insurance
Fund created under Section 805-15 of this |
18 | | Act. |
19 | | "Qualified veteran-owned small business" means a small |
20 | | business (i) that is at least 51% owned by one or more |
21 | | qualified veterans living in Illinois or, in the case of a |
22 | | corporation, at least 51% of the stock of which is owned by one |
23 | | or more qualified veterans living in Illinois; (ii) that has |
24 | | its home office in Illinois; and (iii) for which items (i) and |
25 | | (ii) are factually verified annually by the Department of |
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1 | | Central Management Services has the meaning provided in |
2 | | subsection (e) of Section 45-57 of the Illinois Procurement |
3 | | Code .
|
4 | | (Source: P.A. 99-509, eff. 6-24-16.) |
5 | | Section 55. The Illinois Health Information Exchange and |
6 | | Technology Act is amended by changing Section 20 as follows: |
7 | | (20 ILCS 3860/20) |
8 | | (Section scheduled to be repealed on January 1, 2021)
|
9 | | Sec. 20. Powers and duties of the Illinois Health |
10 | | Information Exchange Authority. The Authority has the |
11 | | following powers, together with all powers incidental or |
12 | | necessary to accomplish the purposes of this Act: |
13 | | (1) The Authority shall create and administer the ILHIE |
14 | | using information systems and processes that are secure, |
15 | | are cost effective, and meet all other relevant privacy and |
16 | | security requirements under State and federal law.
|
17 | | (2) The Authority shall establish and adopt standards |
18 | | and requirements for the use of health information and the |
19 | | requirements for participation in the ILHIE by persons or |
20 | | entities including, but not limited to, health care |
21 | | providers, payors, and local health information exchanges.
|
22 | | (3) The Authority shall establish minimum standards |
23 | | for accessing the ILHIE to ensure that the appropriate |
24 | | security and privacy protections apply to health |
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1 | | information, consistent with applicable federal and State |
2 | | standards and laws. The Authority shall have the power to |
3 | | suspend, limit, or terminate the right to participate in |
4 | | the ILHIE for non-compliance or failure to act, with |
5 | | respect to applicable standards and laws, in the best |
6 | | interests of patients, users of the ILHIE, or the public. |
7 | | The Authority may seek all remedies allowed by law to |
8 | | address any violation of the terms of participation in the |
9 | | ILHIE.
|
10 | | (4) The Authority shall identify barriers to the |
11 | | adoption of electronic health records systems, including |
12 | | researching the rates and patterns of dissemination and use |
13 | | of electronic health record systems throughout the State. |
14 | | The Authority shall make the results of the research |
15 | | available on its website.
|
16 | | (5) The Authority shall prepare educational materials |
17 | | and educate the general public on the benefits of |
18 | | electronic health records, the ILHIE, and the safeguards |
19 | | available to prevent unauthorized disclosure of health |
20 | | information.
|
21 | | (6) The Authority may appoint or designate an |
22 | | institutional review board in accordance with federal and |
23 | | State law to review and approve requests for research in |
24 | | order to ensure compliance with standards and patient |
25 | | privacy and security protections as specified in paragraph |
26 | | (3) of this Section.
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1 | | (7) The Authority may enter into all contracts and |
2 | | agreements necessary or incidental to the performance of |
3 | | its powers under this Act. The Authority's expenditures of |
4 | | private funds are exempt from the Illinois Procurement |
5 | | Code, pursuant to Section 1-10 of that Act. Notwithstanding |
6 | | this exception, the Authority shall comply with the |
7 | | Business Enterprise for Minorities, Women, Veterans, and |
8 | | Persons with Disabilities Act.
|
9 | | (8) The Authority may solicit and accept grants, loans, |
10 | | contributions, or appropriations from any public or |
11 | | private source and may expend those moneys, through |
12 | | contracts, grants, loans, or agreements, on activities it |
13 | | considers suitable to the performance of its duties under |
14 | | this Act.
|
15 | | (9) The Authority may determine, charge, and collect |
16 | | any fees, charges, costs, and expenses from any healthcare |
17 | | provider or entity in connection with its duties under this |
18 | | Act. Moneys collected under this paragraph (9) shall be |
19 | | deposited into the Health Information Exchange Fund.
|
20 | | (10) The Authority may, under the direction of the |
21 | | Executive Director, employ and discharge staff, including |
22 | | administrative, technical, expert, professional, and legal |
23 | | staff, as is necessary or convenient to carry out the |
24 | | purposes of this Act. The Authority may establish and |
25 | | administer standards of classification regarding |
26 | | compensation, benefits, duties, performance, and tenure |
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1 | | for that staff and may enter into contracts of employment |
2 | | with members of that staff for such periods and on such |
3 | | terms as the Authority deems desirable. All employees of |
4 | | the Authority are exempt from the Personnel Code as |
5 | | provided by Section 4 of the Personnel Code. |
6 | | (11) The Authority shall consult and coordinate with |
7 | | the Department of Public Health to further the Authority's |
8 | | collection of health information from health care |
9 | | providers for public health purposes. The collection of |
10 | | public health information shall include identifiable |
11 | | information for use by the Authority or other State |
12 | | agencies to comply with State and federal laws. Any |
13 | | identifiable information so collected shall be privileged |
14 | | and confidential in accordance with Sections 8-2101, |
15 | | 8-2102, 8-2103, 8-2104, and 8-2105 of the Code of Civil |
16 | | Procedure.
|
17 | | (12) All identified or deidentified health information |
18 | | in the form of health data or medical records contained in, |
19 | | stored in, submitted to, transferred by, or released from |
20 | | the Illinois Health Information Exchange, and identified |
21 | | or deidentified health information in the form of health |
22 | | data and medical records of the Illinois Health Information |
23 | | Exchange in the possession of the Illinois Health |
24 | | Information Exchange Authority due to its administration |
25 | | of the Illinois Health Information Exchange, shall be |
26 | | exempt from inspection and copying under the Freedom of |
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1 | | Information Act. The terms "identified" and "deidentified" |
2 | | shall be given the same meaning as in the Health Insurance |
3 | | Portability and Accountability Act of 1996, Public Law |
4 | | 104-191, or any subsequent amendments thereto, and any |
5 | | regulations promulgated thereunder.
|
6 | | (13) To address gaps in the adoption of, workforce |
7 | | preparation for, and exchange of electronic health records |
8 | | that result in regional and socioeconomic disparities in |
9 | | the delivery of care, the Authority may evaluate such gaps |
10 | | and provide resources as available, giving priority to |
11 | | healthcare providers serving a significant percentage of |
12 | | Medicaid or uninsured patients and in medically |
13 | | underserved or rural areas.
|
14 | | (Source: P.A. 99-642, eff. 7-28-16; 100-391, eff. 8-25-17.) |
15 | | Section 60. The Illinois Global Partnership Act is amended |
16 | | by changing Section 20 as follows: |
17 | | (20 ILCS 3948/20)
|
18 | | Sec. 20. Board of directors. IGP shall be governed by a |
19 | | board of directors. The IGP board of directors shall consist of |
20 | | 14 members. Five of the members shall be voting members |
21 | | appointed by the Governor with the advice and consent of the |
22 | | Senate. The Speaker and Minority Leader of the House of |
23 | | Representatives, the President and Minority Leader of the |
24 | | Senate, the Lieutenant Governor, the Director of Agriculture, |
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1 | | the Director of Commerce and Economic Opportunity, the |
2 | | Chairperson of the Illinois Arts Council, and the Director of |
3 | | the Illinois Finance Authority, or the designee of each, shall |
4 | | be non-voting ex officio members. |
5 | | Of the members appointed by the Governor, one member must |
6 | | have a background in agriculture, one member must have a |
7 | | background in manufacturing, and one member must have a |
8 | | background in international business relations. |
9 | | Of the initial members appointed by the Governor, 3 members |
10 | | shall serve 4-year terms and 2 members shall serve 2-year terms |
11 | | as designated by the Governor. Thereafter, members appointed by |
12 | | the Governor shall serve 4-year terms. A vacancy among members |
13 | | appointed by the Governor shall be filled by appointment by the |
14 | | Governor for the remainder of the vacated term. |
15 | | Members of the board shall receive no compensation but |
16 | | shall be reimbursed for expenses incurred in the performance of |
17 | | their duties. |
18 | | The Governor shall designate the chairman of the board |
19 | | until a successor is designated. The board shall meet at the |
20 | | call of the chair.
|
21 | | No less than 90 days after a majority of the members of the |
22 | | board of directors of the IGP is appointed by the Governor, the |
23 | | board shall develop a policy adopted by resolution of the board |
24 | | stating the board's plan for the use of services provided by |
25 | | businesses owned by minorities, women, veterans, and persons |
26 | | with disabilities, as defined under the Business Enterprise for |
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1 | | Minorities, Women, Veterans, and Persons with Disabilities |
2 | | Act. The board shall provide a copy of this resolution to the |
3 | | Governor and the General Assembly upon its adoption. |
4 | | On December 31 of each year, the board shall report to the |
5 | | General Assembly and the Governor regarding the use of services |
6 | | provided by businesses owned by minorities, women, veterans, |
7 | | and persons with disabilities, as defined under the Business |
8 | | Enterprise for Minorities, Women, Veterans, and Persons with |
9 | | Disabilities Act.
|
10 | | (Source: P.A. 100-391, eff. 8-25-17.) |
11 | | Section 65. The Illinois State Auditing Act is amended by |
12 | | changing Section 2-16 as follows: |
13 | | (30 ILCS 5/2-16) |
14 | | Sec. 2-16. Contract aspirational goals. The Auditor |
15 | | General shall establish aspirational goals for contract awards |
16 | | substantially in accordance with the Business Enterprise for |
17 | | Minorities, Women, Veterans, and Persons with Disabilities |
18 | | Act, unless otherwise governed by other law. The Auditor |
19 | | General shall not be subject to the jurisdiction of the |
20 | | Business Enterprise Council established under the Business |
21 | | Enterprise for Minorities, Women, Veterans, and Persons with |
22 | | Disabilities Act with regard to steps taken to achieve |
23 | | aspirational goals. The Auditor General shall annually post the |
24 | | Office's utilization of businesses owned by minorities, women, |
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1 | | veterans, and persons with disabilities during the preceding |
2 | | fiscal year on the Office's Internet websites.
|
3 | | (Source: P.A. 100-801, eff. 8-10-18; revised 9-27-18.) |
4 | | Section 70. The State Finance Act is amended by changing |
5 | | Sections 8.32 and 45 as follows:
|
6 | | (30 ILCS 105/8.32) (from Ch. 127, par. 144.32)
|
7 | | Sec. 8.32.
All moneys received by the Minority and Women
|
8 | | Business Enterprise Council, or by the Department of Central
|
9 | | Management Services on behalf of the Council or the |
10 | | Department's
Business Enterprise for Minorities, Women, |
11 | | Veterans, and Persons with Disabilities Division, from grants,
|
12 | | donations, seminar registration fees, and the sale of |
13 | | directories,
lists and other such information, shall be |
14 | | deposited into the
Minority and Female Business Enterprise Fund |
15 | | in the State treasury.
Expenses of the Council or the |
16 | | Department's
Business Enterprise for Minorities, Women, |
17 | | Veterans, and Persons with Disabilities Division may be paid |
18 | | from this Fund.
|
19 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
20 | | (30 ILCS 105/45) |
21 | | Sec. 45. Award of capital funds. Each award by grant or |
22 | | loan of State funds of $250,000 or more for capital |
23 | | construction costs or professional services is conditioned |
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1 | | upon the recipient's written certification that the recipient |
2 | | shall comply with the business enterprise program practices for |
3 | | minority-owned businesses, women-owned businesses, |
4 | | veteran-owned businesses, and businesses owned by persons with |
5 | | disabilities of the Business Enterprise for Minorities, Women, |
6 | | Veterans, and Persons with Disabilities Act (30 ILCS 575/) and |
7 | | the equal employment practices of Section 2-105 of the Illinois |
8 | | Human Rights Act (775 ILCS 5/2-105). This Section, however, |
9 | | does not apply to any grant or loan (i) for which a grant or |
10 | | loan agreement was executed before the effective date of this |
11 | | amendatory Act of the 96th General Assembly, (ii) for which |
12 | | prior-incurred costs are being reimbursed, or (iii) for a |
13 | | federally funded program under which the requirement of this |
14 | | Section would contravene federal law. Each recipient shall |
15 | | submit the written certification and business enterprise |
16 | | program plan for minority-owned businesses, women-owned |
17 | | businesses, veteran-owned businesses, and businesses owned by |
18 | | persons with disabilities before signing the relevant grant or |
19 | | loan agreement. Each grant or loan agreement shall include a |
20 | | provision that the grant or loan recipient agrees to comply |
21 | | with the provisions of the Business Enterprise for Minorities, |
22 | | Women, Veterans, and Persons with Disabilities Act (30 ILCS |
23 | | 575/) and the equal employment practices of Section 2-105 of |
24 | | the Illinois Human Rights Act (775 ILCS 5/2-105). |
25 | | Each business enterprise program plan shall apply only to |
26 | | the State-funded portion of the relevant capital project and |
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1 | | must be in compliance with all certification and other |
2 | | requirements of the Business Enterprise for Minorities, Women, |
3 | | Veterans, and Persons with Disabilities Act.
|
4 | | (Source: P.A. 100-391, eff. 8-25-17.) |
5 | | Section 75. The General Obligation Bond Act is amended by |
6 | | changing Sections 8 and 15.5 as follows:
|
7 | | (30 ILCS 330/8) (from Ch. 127, par. 658)
|
8 | | Sec. 8. Bond sale expenses. |
9 | | (a)
An amount not to exceed
0.5 percent of the
principal |
10 | | amount of the proceeds of sale of each bond sale is authorized
|
11 | | to be used to pay the reasonable costs of issuance and sale, |
12 | | including, without limitation, underwriter's discounts and |
13 | | fees, but excluding bond insurance,
of State of
Illinois |
14 | | general obligation bonds authorized and sold pursuant to this |
15 | | Act, provided that no salaries of State employees or other |
16 | | State office operating expenses shall be paid out of |
17 | | non-appropriated proceeds, provided further that the percent |
18 | | shall be 1.0% for each sale of "Build America Bonds" or |
19 | | "Qualified School Construction Bonds" as defined in |
20 | | subsections (d) and (e) of Section 9, respectively. The |
21 | | Governor's Office of Management and Budget shall compile a |
22 | | summary of all costs of issuance on each sale (including both |
23 | | costs paid out of proceeds and those paid out of appropriated |
24 | | funds) and post that summary on its web site within 20 business |
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1 | | days after the issuance of
the Bonds. The summary shall |
2 | | include, as applicable, the respective percentages of |
3 | | participation and compensation of each underwriter that is a |
4 | | member of the underwriting syndicate, legal counsel, financial |
5 | | advisors, and other professionals for the bond issue and an |
6 | | identification of all costs of issuance paid to minority-owned |
7 | | businesses, women-owned businesses, veteran-owned businesses, |
8 | | and businesses owned by persons with disabilities. The terms |
9 | | "minority-owned businesses", "women-owned businesses", |
10 | | "veteran-owned businesses", and "business owned by a person |
11 | | with a disability" have the meanings given to those terms in |
12 | | the Business Enterprise for Minorities, Women, Veterans, and |
13 | | Persons with Disabilities Act. That posting shall be maintained |
14 | | on the web site for a period of at least 30 days. In addition, |
15 | | the Governor's Office of Management and Budget shall provide a |
16 | | written copy of each summary of costs to the Speaker and |
17 | | Minority Leader of the House of Representatives, the President |
18 | | and Minority Leader of the Senate, and the Commission on |
19 | | Government Forecasting and Accountability within 20 business |
20 | | days after each issuance of the Bonds. In addition, the |
21 | | Governor's Office of Management and Budget shall provide copies |
22 | | of all contracts under which any costs of issuance are paid or |
23 | | to be paid to the Commission on Government Forecasting and |
24 | | Accountability within 20 business days after the issuance of |
25 | | Bonds for which those costs are paid or to be paid. Instead of |
26 | | filing a second or subsequent copy of the same contract, the |
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1 | | Governor's Office of Management and Budget may file a statement |
2 | | that specified costs are paid under specified contracts filed |
3 | | earlier with the Commission. |
4 | | (b) The Director of the Governor's Office of Management and |
5 | | Budget shall not, in connection with the issuance of Bonds, |
6 | | contract with any underwriter, financial advisor, or attorney |
7 | | unless that underwriter, financial advisor, or attorney |
8 | | certifies that the underwriter, financial advisor, or attorney |
9 | | has not and will not pay a contingent fee, whether directly or |
10 | | indirectly, to a third party for having promoted the selection |
11 | | of the underwriter, financial advisor, or attorney for that |
12 | | contract. In the event that the Governor's Office of Management |
13 | | and Budget determines that an underwriter, financial advisor, |
14 | | or attorney has filed a false certification with respect to the |
15 | | payment of contingent fees, the Governor's Office of Management |
16 | | and Budget shall not contract with that underwriter, financial |
17 | | advisor, or attorney, or with any firm employing any person who |
18 | | signed false certifications, for a period of 2 calendar years, |
19 | | beginning with the date the determination is made. The validity |
20 | | of Bonds issued under such circumstances of violation pursuant |
21 | | to this Section shall not be affected.
|
22 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
23 | | (30 ILCS 330/15.5)
|
24 | | Sec. 15.5. Compliance with the Business Enterprise for |
25 | | Minorities, Women, Veterans, and Persons with Disabilities |
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1 | | Act. Notwithstanding any other provision of law, the Governor's |
2 | | Office of Management and Budget shall comply with the Business |
3 | | Enterprise for Minorities, Women, Veterans, and Persons with |
4 | | Disabilities Act.
|
5 | | (Source: P.A. 100-391, eff. 8-25-17.) |
6 | | Section 80. The Build Illinois Bond Act is amended by |
7 | | changing Sections 5 and 8.3 as follows:
|
8 | | (30 ILCS 425/5) (from Ch. 127, par. 2805)
|
9 | | Sec. 5. Bond sale expenses. |
10 | | (a) An amount not to exceed 0.5% of the principal amount of |
11 | | the proceeds of the sale of each bond sale is authorized to be |
12 | | used to pay
reasonable costs of each issuance and sale of Bonds |
13 | | authorized and sold
pursuant to this Act, including, without |
14 | | limitation, underwriter's discounts and fees, but excluding |
15 | | bond insurance, advertising, printing, bond rating, travel of |
16 | | outside vendors,
security, delivery, legal and financial |
17 | | advisory services, initial fees
of trustees, registrars, |
18 | | paying agents and other fiduciaries, initial costs
of credit or |
19 | | liquidity enhancement arrangements, initial fees of indexing
|
20 | | and remarketing agents, and initial costs of interest rate |
21 | | swaps,
guarantees or arrangements to limit interest rate risk, |
22 | | as determined in
the related Bond Sale Order,
from
the proceeds |
23 | | of each Bond sale, provided that no salaries of State employees |
24 | | or other State office operating expenses shall be paid out of |
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1 | | non-appropriated proceeds, and provided further that the |
2 | | percent shall be 1.0% for each sale of "Build America Bonds" as |
3 | | defined in subsection (c) of Section 6. The Governor's Office |
4 | | of Management and Budget shall compile a summary of all costs |
5 | | of issuance on each sale (including both costs paid out of |
6 | | proceeds and those paid out of appropriated funds) and post |
7 | | that summary on its web site within 20 business days after the |
8 | | issuance of the bonds. That posting shall be maintained on the |
9 | | web site for a period of at least 30 days. In addition, the |
10 | | Governor's Office of Management and Budget shall provide a |
11 | | written copy of each summary of costs to the Speaker and |
12 | | Minority Leader of the House of Representatives, the President |
13 | | and Minority Leader of the Senate, and the Commission on |
14 | | Government Forecasting and Accountability within 20 business |
15 | | days after each issuance of the bonds. This summary shall |
16 | | include, as applicable, the respective percentage of |
17 | | participation and compensation of each underwriter that is a |
18 | | member of the underwriting syndicate, legal counsel, financial |
19 | | advisors, and other professionals for the Bond issue, and an |
20 | | identification of all costs of issuance paid to minority-owned |
21 | | businesses, women-owned businesses, veteran-owned businesses, |
22 | | and businesses owned by persons with disabilities. The terms |
23 | | "minority-owned businesses", "women-owned businesses", |
24 | | "veteran-owned businesses", and "business owned by a person |
25 | | with a disability" have the meanings given to those terms in |
26 | | the Business Enterprise for Minorities, Women, Veterans, and |
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1 | | Persons with Disabilities Act. In addition, the Governor's |
2 | | Office of Management and Budget shall provide copies of all |
3 | | contracts under which any costs of issuance are paid or to be |
4 | | paid to the Commission on Government Forecasting and |
5 | | Accountability within 20 business days after the issuance of |
6 | | Bonds for which those costs are paid or to be paid. Instead of |
7 | | filing a second or subsequent copy of the same contract, the |
8 | | Governor's Office of Management and Budget may file a statement |
9 | | that specified costs are paid under specified contracts filed |
10 | | earlier with the Commission.
|
11 | | (b) The Director of the Governor's Office of Management and |
12 | | Budget shall not, in connection with the issuance of Bonds, |
13 | | contract with any underwriter, financial advisor, or attorney |
14 | | unless that underwriter, financial advisor, or attorney |
15 | | certifies that the underwriter, financial advisor, or attorney |
16 | | has not and will not pay a contingent fee, whether directly or |
17 | | indirectly, to any third party for having promoted the |
18 | | selection of the underwriter, financial advisor, or attorney |
19 | | for that contract. In the event that the Governor's Office of |
20 | | Management and Budget determines that an underwriter, |
21 | | financial advisor, or attorney has filed a false certification |
22 | | with respect to the payment of contingent fees, the Governor's |
23 | | Office of Management and Budget shall not contract with that |
24 | | underwriter, financial advisor, or attorney, or with any firm |
25 | | employing any person who signed false certifications, for a |
26 | | period of 2 calendar years, beginning with the date the |
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1 | | determination is made. The validity of Bonds issued under such |
2 | | circumstances of violation pursuant to this Section shall not |
3 | | be affected. |
4 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
5 | | (30 ILCS 425/8.3)
|
6 | | Sec. 8.3. Compliance with the Business Enterprise for |
7 | | Minorities, Women, Veterans, and Persons with Disabilities |
8 | | Act. Notwithstanding any other provision of law, the Governor's |
9 | | Office of Management and Budget shall comply with the Business |
10 | | Enterprise for Minorities, Women, Veterans, and Persons with |
11 | | Disabilities Act.
|
12 | | (Source: P.A. 100-391, eff. 8-25-17.) |
13 | | Section 85. The Illinois Procurement Code is amended by |
14 | | changing Sections 15-25, 30-30, 45-45, and 45-65 and by adding |
15 | | Section 45-58 as follows: |
16 | | (30 ILCS 500/15-25) |
17 | | Sec. 15-25. Bulletin content. |
18 | | (a) Invitations for bids. Notice of each and every contract |
19 | | that is
offered, including renegotiated contracts and change |
20 | | orders,
shall be published in the Bulletin. The applicable |
21 | | chief procurement officer
may provide by rule an organized |
22 | | format for the publication of this
information, but in any case |
23 | | it must include at least the date first offered,
the date |
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1 | | submission of offers is due, the location that offers are to be
|
2 | | submitted to, the purchasing State agency, the responsible |
3 | | State purchasing
officer, a brief purchase description, the |
4 | | method of source selection,
information of how to obtain a |
5 | | comprehensive purchase description and any
disclosure and |
6 | | contract forms, and encouragement to potential contractors to |
7 | | hire qualified veterans, as defined by Section 45-67 of this |
8 | | Code, and qualified Illinois minorities, women, veterans, |
9 | | persons with disabilities, and residents discharged from any |
10 | | Illinois adult correctional center. |
11 | | (a-5) All businesses listed on the Illinois Unified |
12 | | Certification Program Disadvantaged Business Enterprise |
13 | | Directory, the Business Enterprise Program of the Department of |
14 | | Central Management Services, and any small business database |
15 | | created pursuant to Section 45-45 of this Code shall be |
16 | | furnished written instructions and information on how to |
17 | | register for the Illinois Procurement Bulletin. This |
18 | | information shall be provided to each business within 30 |
19 | | calendar days after the business's notice of certification or |
20 | | qualification. |
21 | | (b) Contracts let. Notice of each and every contract that |
22 | | is let, including renegotiated contracts and change orders, |
23 | | shall be issued electronically to those bidders submitting |
24 | | responses to the solicitations, inclusive of the unsuccessful |
25 | | bidders, immediately upon contract let. Failure of any chief |
26 | | procurement officer to give such notice shall result in tolling |
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1 | | the time for filing a bid protest up to 7 calendar days. |
2 | | For purposes of this subsection (b), "contracts let" means |
3 | | a construction agency's act of advertising an invitation for |
4 | | bids for one or more construction projects. |
5 | | (b-5) Contracts awarded. Notice of each and every contract |
6 | | that is awarded, including renegotiated contracts and change |
7 | | orders, shall be issued electronically to the successful |
8 | | responsible bidder, offeror, or contractor and published in the |
9 | | Bulletin. The applicable chief procurement officer may provide |
10 | | by rule an organized format for the publication of this |
11 | | information, but in any case it must include at least all of |
12 | | the information specified in subsection (a) as well as the name |
13 | | of the successful responsible bidder, offeror, the contract |
14 | | price, the number of unsuccessful bidders or offerors and any |
15 | | other disclosure specified in any Section of this Code. This |
16 | | notice must be posted in the online electronic Bulletin prior |
17 | | to execution of the contract. |
18 | | For purposes of this subsection (b-5), "contract award" |
19 | | means the determination that a particular bidder or offeror has |
20 | | been selected from among other bidders or offerors to receive a |
21 | | contract, subject to the successful completion of final |
22 | | negotiations. "Contract award" is evidenced by the posting of a |
23 | | Notice of Award or a Notice of Intent to Award to the |
24 | | respective volume of the Illinois Procurement Bulletin. |
25 | | (c) Emergency purchase disclosure. Any chief procurement |
26 | | officer or State
purchasing officer exercising emergency |
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1 | | purchase authority under
this Code shall publish a written |
2 | | description and reasons and the total cost,
if known, or an |
3 | | estimate if unknown and the name of the responsible chief
|
4 | | procurement officer and State purchasing officer, and the |
5 | | business or person
contracted with for all emergency purchases |
6 | | in
the Bulletin. This notice must be posted in the online |
7 | | electronic Bulletin no later than 5 calendar days after the |
8 | | contract is awarded.
Notice of a hearing to extend an emergency |
9 | | contract must be posted in the online electronic Procurement |
10 | | Bulletin no later than 14 calendar days prior to the hearing. |
11 | | (c-5) Business Enterprise Program report. Each purchasing |
12 | | agency shall, with the assistance of the applicable chief |
13 | | procurement officer, post in the online electronic Bulletin a |
14 | | copy of its annual report of utilization of businesses owned by |
15 | | minorities, women, veterans, and persons with disabilities as |
16 | | submitted to the Business Enterprise Council for Minorities, |
17 | | Women, Veterans, and Persons with Disabilities pursuant to |
18 | | Section 6(c) of the Business Enterprise for Minorities, Women, |
19 | | Veterans, and Persons with Disabilities Act within 10 calendar |
20 | | days after its submission of its report to the Council.
|
21 | | (c-10) Renewals. Notice of each contract renewal shall be |
22 | | posted in the Bulletin within 14 calendar days of the |
23 | | determination to execute a renewal of the contract. The notice |
24 | | shall include at least all of the information required in |
25 | | subsection (a) or (b), as applicable.
|
26 | | (c-15) Sole source procurements. Before entering into a |
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1 | | sole source contract, a chief procurement officer exercising |
2 | | sole source procurement authority under this Code shall publish |
3 | | a written description of intent to enter into a sole source |
4 | | contract along with a description of the item to be procured |
5 | | and the intended sole source contractor. This notice must be |
6 | | posted in the online electronic Procurement Bulletin before a |
7 | | sole source contract is awarded and at least 14 calendar days |
8 | | before the hearing required by Section 20-25. |
9 | | (d) Other required disclosure. The applicable chief |
10 | | procurement officer
shall provide by rule for the organized |
11 | | publication of all other disclosure
required in other Sections |
12 | | of this Code in a timely manner. |
13 | | (e) The changes to subsections (b), (c), (c-5), (c-10), and |
14 | | (c-15) of this Section made by Public Act 96-795 apply to |
15 | | reports submitted, offers made, and notices on contracts |
16 | | executed on or after July 1, 2010 (the effective date of Public |
17 | | Act 96-795).
|
18 | | (f) Each chief procurement officer shall, in consultation |
19 | | with the agencies under his or her jurisdiction, provide the |
20 | | Procurement Policy Board with the information and resources |
21 | | necessary, and in a manner, to effectuate the purpose of Public |
22 | | Act 96-1444. |
23 | | (Source: P.A. 100-43, eff. 8-9-17; 100-391, eff. 8-25-17; |
24 | | 100-863, eff. 8-14-18.)
|
25 | | (30 ILCS 500/30-30)
|
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1 | | Sec. 30-30. Design-bid-build construction. |
2 | | (a) The provisions of this subsection are operative through |
3 | | December 31, 2019. |
4 | | For
building construction contracts in excess of
$250,000, |
5 | | separate specifications may be prepared for all
equipment, |
6 | | labor, and materials in
connection with the following 5 |
7 | | subdivisions of the work to be
performed:
|
8 | | (1) plumbing;
|
9 | | (2) heating, piping, refrigeration, and automatic
|
10 | | temperature control systems,
including the testing and |
11 | | balancing of those systems;
|
12 | | (3) ventilating and distribution systems for
|
13 | | conditioned air, including the testing
and balancing of |
14 | | those systems;
|
15 | | (4) electric wiring; and
|
16 | | (5) general contract work.
|
17 | | The specifications may be so drawn as to permit separate |
18 | | and
independent bidding upon
each of the 5 subdivisions of |
19 | | work. All contracts awarded
for any part thereof may
award the |
20 | | 5 subdivisions of work separately to responsible and
reliable |
21 | | persons, firms, or
corporations engaged in these classes of |
22 | | work. The contracts, at
the discretion of the
construction |
23 | | agency, may be assigned to the successful bidder on
the general |
24 | | contract work or
to the successful bidder on the subdivision of |
25 | | work designated by
the construction agency before
the bidding |
26 | | as the prime subdivision of work, provided that all
payments |
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1 | | will be made directly
to the contractors for the 5 subdivisions |
2 | | of work upon compliance
with the conditions of the
contract.
|
3 | | Beginning on the effective date of this amendatory Act of |
4 | | the 99th General Assembly and through December 31, 2019, for |
5 | | single prime projects: (i) the bid of the successful low bidder |
6 | | shall identify the name of the subcontractor, if any, and the |
7 | | bid proposal costs for each of the 5 subdivisions of work set |
8 | | forth in this Section; (ii) the contract entered into with the |
9 | | successful bidder shall provide that no identified |
10 | | subcontractor may be terminated without the written consent of |
11 | | the Capital Development Board; (iii) the contract shall comply |
12 | | with the disadvantaged business practices of the Business |
13 | | Enterprise for Minorities, Women, Veterans, and Persons with |
14 | | Disabilities Act and the equal employment practices of Section |
15 | | 2-105 of the Illinois Human Rights Act; (iv) the Capital |
16 | | Development Board shall submit a quarterly report to the |
17 | | Procurement Policy Board with information on the general scope, |
18 | | project budget, and established Business Enterprise Program |
19 | | goals for any single prime procurement bid in the previous 3 |
20 | | months with a total construction cost valued at $10,000,000 or |
21 | | less; and (v) the Capital Development Board shall submit an |
22 | | annual report to the General Assembly and Governor on the |
23 | | bidding, award, and performance of all single prime projects. |
24 | | For building construction projects with a total |
25 | | construction cost valued at $5,000,000 or less, the Capital |
26 | | Development Board shall not use the single prime procurement |
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1 | | delivery method for more than 50% of the total number of |
2 | | projects bid for each fiscal year. Any project with a total |
3 | | construction cost valued greater than $5,000,000 may be bid |
4 | | using single prime at the discretion of the Executive Director |
5 | | of the Capital Development Board. |
6 | | Beginning on the effective date of this amendatory Act of |
7 | | the 99th General Assembly and through December 31, 2017, the |
8 | | Capital Development Board shall, on a weekly basis: review the |
9 | | projects that have been designed, and approved to bid; and, for |
10 | | every fifth determination to use the single prime procurement |
11 | | delivery method for a project under $10,000,000, submit to the |
12 | | Procurement Policy Board a written notice of its intent to use |
13 | | the single prime method on the project. The notice shall |
14 | | include the reasons for using the single prime method and an |
15 | | explanation of why the use of that method is in the best |
16 | | interest of the State. The Capital Development Board shall post |
17 | | the notice on its online procurement webpage and on the online |
18 | | Procurement Bulletin at least 3 business days following |
19 | | submission. The Procurement Policy Board shall review and |
20 | | provide its decision on the use of the single prime method for |
21 | | every fifth use of the single prime procurement delivery method |
22 | | for a project under $10,000,000 within 7 business days of |
23 | | receipt of the notice from the Capital Development Board. |
24 | | Approval by the Procurement Policy Board shall not be |
25 | | unreasonably withheld and shall be provided unless the |
26 | | Procurement Policy Board finds that the use of the single prime |
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1 | | method is not in the best interest of the State. Any decision |
2 | | by the Procurement Policy Board to disapprove the use of the |
3 | | single prime method shall be made in writing to the Capital |
4 | | Development Board, posted on the online Procurement Bulletin, |
5 | | and shall state the reasons why the single prime method was |
6 | | disapproved and why it is not in the best interest of the |
7 | | State. |
8 | | (b) The provisions of this subsection are operative on and |
9 | | after January 1, 2020.
For building construction contracts in |
10 | | excess of $250,000, separate specifications shall be prepared |
11 | | for all equipment, labor, and materials in connection with the |
12 | | following 5 subdivisions of the work to be performed: |
13 | | (1) plumbing; |
14 | | (2) heating, piping, refrigeration, and automatic |
15 | | temperature control systems, including the testing and |
16 | | balancing of those systems; |
17 | | (3) ventilating and distribution systems for |
18 | | conditioned air, including the testing and balancing of |
19 | | those systems; |
20 | | (4) electric wiring; and |
21 | | (5) general contract work. |
22 | | The specifications must be so drawn as to permit separate |
23 | | and independent bidding upon each of the 5 subdivisions of |
24 | | work. All contracts awarded for any part thereof shall award |
25 | | the 5 subdivisions of work separately to responsible and |
26 | | reliable persons, firms, or corporations engaged in these |
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1 | | classes of work. The contracts, at the discretion of the |
2 | | construction agency, may be assigned to the successful bidder |
3 | | on the general contract work or to the successful bidder on the |
4 | | subdivision of work designated by the construction agency |
5 | | before the bidding as the prime subdivision of work, provided |
6 | | that all payments will be made directly to the contractors for |
7 | | the 5 subdivisions of work upon compliance with the conditions |
8 | | of the contract. |
9 | | (Source: P.A. 99-257, eff. 8-4-15; 100-391, eff. 8-25-17.)
|
10 | | (30 ILCS 500/45-45)
|
11 | | Sec. 45-45. Small businesses.
|
12 | | (a) Set-asides. Each chief procurement officer has |
13 | | authority to designate as
small business set-asides a fair
|
14 | | proportion of construction, supply, and service contracts for |
15 | | award
to small businesses in Illinois.
Advertisements for bids |
16 | | or offers for those contracts shall
specify designation as |
17 | | small business
set-asides. In awarding the contracts, only bids |
18 | | or offers from
qualified small businesses shall
be considered.
|
19 | | (b) Small business. "Small business" means a business that
|
20 | | is independently owned and
operated and that is not dominant in |
21 | | its field of operation. The
chief procurement officer shall |
22 | | establish a detailed
definition by rule, using in addition to |
23 | | the foregoing criteria
other criteria, including the number
of |
24 | | employees and the dollar volume of business. When computing
the |
25 | | size status of a potential contractor,
annual sales and |
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1 | | receipts of the potential contractor and all of its affiliates
|
2 | | shall be included. The maximum
number of employees and the |
3 | | maximum dollar volume that a small
business may have under
the |
4 | | rules promulgated by the chief procurement officer may vary |
5 | | from industry
to
industry to the extent necessary
to reflect |
6 | | differing characteristics of those industries, subject
to the |
7 | | following limitations:
|
8 | | (1) No wholesale business is a small business if its
|
9 | | annual sales for its most
recently completed fiscal year |
10 | | exceed $13,000,000.
|
11 | | (2) No retail business or business selling services is
|
12 | | a small business if its
annual sales and receipts exceed |
13 | | $8,000,000.
|
14 | | (3) No manufacturing business is a small business if it
|
15 | | employs more than 250
persons.
|
16 | | (4) No construction business is a small business if its
|
17 | | annual sales and receipts
exceed $14,000,000.
|
18 | | (c) Fair proportion. For the purpose of subsection (a), for |
19 | | State agencies
of the executive branch, a
fair proportion of |
20 | | construction
contracts shall be no less than 25% nor more than |
21 | | 40% of the
annual total contracts for
construction.
|
22 | | (d) Withdrawal of designation. A small business set-aside
|
23 | | designation may be withdrawn
by the purchasing agency when |
24 | | deemed in the best interests of the
State. Upon withdrawal, all
|
25 | | bids or offers shall be rejected, and the bidders or offerors
|
26 | | shall be notified of the reason for
rejection. The contract |
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1 | | shall then be awarded in accordance with
this Code without the
|
2 | | designation of small business set-aside.
|
3 | | (e) Small business specialist. Each chief procurement |
4 | | officer shall
designate one or more individuals to serve as its |
5 | | small
business specialist. The small business specialists |
6 | | shall collectively work together to accomplish the following |
7 | | duties:
|
8 | | (1) Compiling and maintaining a comprehensive
list of |
9 | | potential small contractors. In this duty, he or she shall |
10 | | cooperate with the
Federal Small Business
Administration |
11 | | in locating potential sources for various products
and |
12 | | services.
|
13 | | (2) Assisting small businesses in complying with the
|
14 | | procedures for bidding
on State contracts.
|
15 | | (3) Examining requests from State agencies for the
|
16 | | purchase of property or
services to help determine which |
17 | | invitations to bid are to be
designated small business |
18 | | set-asides.
|
19 | | (4) Making recommendations to the chief procurement |
20 | | officer for the
simplification of
specifications and terms |
21 | | in order to increase the opportunities
for small business |
22 | | participation.
|
23 | | (5) Assisting in investigations by purchasing agencies
|
24 | | to determine the
responsibility of bidders or offerors on |
25 | | small business set-asides.
|
26 | | (f) Small business annual report. Each small business |
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1 | | specialist designated under
subsection (e) shall annually |
2 | | before November 1 report in writing
to the General Assembly
|
3 | | concerning the awarding of contracts to small businesses. The
|
4 | | report shall include the total
value of awards made in the |
5 | | preceding fiscal year under the
designation of small business |
6 | | set-aside.
The report shall also include the total value of |
7 | | awards made to
businesses owned by minorities, women, veterans, |
8 | | and persons with disabilities, as
defined in the Business |
9 | | Enterprise for Minorities, Women, Veterans, and Persons with
|
10 | | Disabilities Act, in the preceding fiscal year under the |
11 | | designation of small
business set-aside.
|
12 | | The requirement for reporting to the General Assembly shall
|
13 | | be satisfied by filing copies
of the report as required by |
14 | | Section 3.1 of the General Assembly
Organization Act.
|
15 | | (Source: P.A. 100-43, eff. 8-9-17; 100-391, eff. 8-25-17; |
16 | | 100-863, eff. 8-14-18.)
|
17 | | (30 ILCS 500/45-58 new) |
18 | | Sec. 45-58. Penalties for false representation as a |
19 | | minority, woman, veteran, or person with a disability. |
20 | | (a) Administrative penalties. The chief procurement |
21 | | officers appointed under Section 10-20 shall suspend any person |
22 | | who commits a violation of Section 17-10.3 or subsection (d) of |
23 | | Section 33E-6 of the Criminal Code of 2012 relating to the |
24 | | Business Enterprise for Minorities, Women, Veterans, and |
25 | | Persons with Disabilities Act from bidding on, or participating |
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1 | | as a contractor, subcontractor, or supplier in, any State |
2 | | contract or project for a period of not less than 3 years, and |
3 | | shall revoke the certification of being a minority-owned |
4 | | business, woman-owned business, veteran-owned business, or |
5 | | business owned by a person with a disability for a period of |
6 | | not less than 3 years. An additional or subsequent violation |
7 | | shall extend the periods of suspension and revocation for a |
8 | | period of not less than 5 years. The suspension and revocation |
9 | | shall apply to the principals of the business and any |
10 | | subsequent business formed or financed by, or affiliated with, |
11 | | those principals. |
12 | | (b) Reports of violations. Each State agency shall
report |
13 | | any alleged violation of Section 17-10.3 or subsection (d) of |
14 | | Section 33E-6 of the Criminal Code of 2012 relating to this |
15 | | Section to the chief procurement officers appointed pursuant to |
16 | | Section 10-20. The chief procurement officers appointed |
17 | | pursuant to Section 10-20 shall subsequently report all such |
18 | | alleged violations to the Attorney General, who shall determine |
19 | | whether to bring a civil action against any person for the |
20 | | violation. |
21 | | (c) List of suspended persons. The chief procurement
|
22 | | officers appointed pursuant to Section 10-20 shall monitor the |
23 | | status of all reported violations of Section 17-10.3 or |
24 | | subsection (d) of Section 33E-6 of the Criminal Code of 1961 or |
25 | | the Criminal Code of 2012 relating to this Section and shall |
26 | | maintain and make available to all State agencies a central |
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1 | | listing of all persons that committed violations resulting in |
2 | | suspension. |
3 | | (d) Use of suspended persons. During the period of a
|
4 | | person's suspension under subsection (a) of this subsection, a |
5 | | State agency shall not enter into any contract with that person |
6 | | or with any contractor using the services of that person as a |
7 | | subcontractor. |
8 | | (e) Duty to check list. Each State agency shall
check the |
9 | | central listing provided by the chief procurement officers |
10 | | appointed pursuant to Section 10-20 under subsection (c) of |
11 | | this subsection to verify that a person being awarded a |
12 | | contract by that State agency, or to be used as a subcontractor |
13 | | or supplier on a contract being awarded by that State agency, |
14 | | is not under suspension under subsection (a).
|
15 | | (30 ILCS 500/45-65)
|
16 | | Sec. 45-65. Additional preferences. This Code is subject
to |
17 | | applicable provisions of:
|
18 | | (1) the Public Purchases in Other States Act;
|
19 | | (2) the Illinois Mined Coal Act;
|
20 | | (3) the Steel Products Procurement Act;
|
21 | | (4) the Veterans Preference Act;
|
22 | | (5) the Business Enterprise for Minorities, Women, |
23 | | Veterans, and Persons with
Disabilities Act; and |
24 | | (6) the Procurement of Domestic Products Act.
|
25 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
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1 | | (30 ILCS 500/45-57 rep.) |
2 | | Section 90. The Illinois Procurement Code is amended by |
3 | | repealing Section 45-57. |
4 | | Section 95. The Design-Build
Procurement Act is amended by |
5 | | changing Sections 5, 15, 30, and 46 as follows: |
6 | | (30 ILCS 537/5) |
7 | | (Section scheduled to be repealed on July 1, 2019)
|
8 | | Sec. 5. Legislative policy. It is the intent of the |
9 | | General Assembly
that
the Capital Development Board be allowed |
10 | | to use the design-build delivery method
for public
projects if |
11 | | it is shown to be in the State's best interest for that |
12 | | particular
project. It shall be the policy of the Capital |
13 | | Development Board in the
procurement of
design-build services |
14 | | to publicly announce all requirements for design-build
|
15 | | services and to procure these services on the basis of |
16 | | demonstrated competence
and qualifications and with due regard |
17 | | for the principles of competitive
selection.
|
18 | | The Capital Development Board shall, prior to issuing |
19 | | requests for proposals,
promulgate
and publish procedures for |
20 | | the solicitation and award of contracts pursuant to
this Act.
|
21 | | The Capital Development Board shall, for each public |
22 | | project or projects
permitted under
this Act, make a written |
23 | | determination, including a description as to the
particular |
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1 | | advantages of the design-build procurement method, that it is |
2 | | in the
best interests of this State to enter into a |
3 | | design-build contract for the
project or projects. In making |
4 | | that determination, the following factors shall
be considered:
|
5 | | (1) The probability that the design-build procurement |
6 | | method will be in
the best interests of the State by |
7 | | providing a material savings of time or
cost over the |
8 | | design-bid-build or other delivery system.
|
9 | | (2) The type and size of the project and its |
10 | | suitability to the
design-build procurement method.
|
11 | | (3) The ability of the State construction agency to |
12 | | define and provide
comprehensive
scope and performance |
13 | | criteria for the project.
|
14 | | No State construction agency may use a design-build |
15 | | procurement method unless the agency determines in writing that |
16 | | the project will comply with the disadvantaged business and |
17 | | equal employment practices of the State as established in the |
18 | | Business Enterprise for Minorities, Women, Veterans, and |
19 | | Persons with Disabilities Act and Section 2-105 of the Illinois |
20 | | Human Rights Act.
|
21 | | The Capital Development Board shall within 15 days after |
22 | | the initial
determination provide an advisory copy to the |
23 | | Procurement Policy Board and
maintain the full record of |
24 | | determination for 5 years.
|
25 | | (Source: P.A. 100-391, eff. 8-25-17.) |
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1 | | (30 ILCS 537/15) |
2 | | (Section scheduled to be repealed on July 1, 2019)
|
3 | | Sec. 15. Solicitation of proposals.
|
4 | | (a) When the State construction agency elects to use the |
5 | | design-build delivery
method, it must
issue a notice of intent |
6 | | to receive requests for proposals for the project at
least 14 |
7 | | days before issuing the request for the proposal. The State
|
8 | | construction agency
must publish the advance notice in the |
9 | | official procurement bulletin of the
State or the professional |
10 | | services bulletin of the State construction agency,
if any. The
|
11 | | agency is encouraged to use publication of the notice in |
12 | | related construction
industry service publications. A brief |
13 | | description of the proposed procurement
must be included in the |
14 | | notice. The State construction agency must provide a
copy of |
15 | | the
request for proposal to any party requesting a copy.
|
16 | | (b) The request for proposal shall be prepared for each |
17 | | project and must
contain, without limitation, the following |
18 | | information:
|
19 | | (1) The name of the State construction agency.
|
20 | | (2) A preliminary schedule for the completion of the |
21 | | contract.
|
22 | | (3) The proposed budget for the project, the source of |
23 | | funds, and the
currently available funds at the time the |
24 | | request for proposal is submitted.
|
25 | | (4) Prequalification criteria for design-build |
26 | | entities wishing to submit
proposals.
The State |
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1 | | construction agency shall include, at a minimum, its normal
|
2 | | prequalification, licensing, registration, and other |
3 | | requirements, but nothing
contained herein precludes the |
4 | | use of additional prequalification criteria
by the State |
5 | | construction agency.
|
6 | | (5) Material requirements of the contract, including |
7 | | but not limited to,
the proposed terms and conditions, |
8 | | required performance and payment bonds,
insurance, and the |
9 | | entity's plan to comply with the utilization goals for |
10 | | business enterprises established in the Business |
11 | | Enterprise for Minorities, Women, Veterans, and Persons |
12 | | with Disabilities Act, and with Section 2-105 of the |
13 | | Illinois Human Rights Act.
|
14 | | (6) The performance criteria.
|
15 | | (7) The evaluation criteria for each phase of the |
16 | | solicitation.
|
17 | | (8) The number of entities that will be considered for |
18 | | the technical and
cost
evaluation phase.
|
19 | | (c) The State construction agency may include any other |
20 | | relevant information
that it
chooses to supply. The |
21 | | design-build entity shall be entitled to rely upon the
accuracy |
22 | | of this documentation in the development of its proposal.
|
23 | | (d) The date that proposals are due must be at least 21 |
24 | | calendar days after
the date of the issuance of the request for |
25 | | proposal. In the event the cost of
the project
is estimated to |
26 | | exceed $10 million, then the proposal due date must be at least
|
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1 | | 28 calendar days after the date of the issuance of the request |
2 | | for proposal.
The State construction agency shall include in |
3 | | the request for proposal a
minimum of 30 days
to develop the |
4 | | Phase II submissions after the selection of entities
from the |
5 | | Phase I evaluation is completed.
|
6 | | (Source: P.A. 100-391, eff. 8-25-17.) |
7 | | (30 ILCS 537/30) |
8 | | (Section scheduled to be repealed on July 1, 2019)
|
9 | | Sec. 30. Procedures for Selection.
|
10 | | (a) The State construction agency must use a two-phase |
11 | | procedure for the
selection of the
successful design-build |
12 | | entity. Phase I of the procedure will evaluate and
shortlist |
13 | | the design-build entities based on qualifications, and Phase II
|
14 | | will
evaluate the technical and cost proposals.
|
15 | | (b) The State construction agency shall include in the |
16 | | request for proposal
the
evaluating factors to be used in Phase |
17 | | I. These factors are in addition to any
prequalification |
18 | | requirements of design-build entities that the agency has set
|
19 | | forth. Each request for proposal shall establish the relative |
20 | | importance
assigned to each evaluation factor and subfactor, |
21 | | including any weighting of
criteria to be employed by the State |
22 | | construction agency. The State
construction agency must |
23 | | maintain a
record of the evaluation scoring to be disclosed in |
24 | | event of a protest
regarding the solicitation.
|
25 | | The State construction agency shall include the following |
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1 | | criteria in every
Phase I
evaluation of design-build entities: |
2 | | (1) experience of personnel; (2)
successful
experience with |
3 | | similar project types; (3) financial capability; (4) |
4 | | timeliness
of past performance; (5) experience with similarly |
5 | | sized projects; (6)
successful reference checks of the firm; |
6 | | (7) commitment to assign personnel
for the duration of the |
7 | | project and qualifications of the entity's consultants; and (8) |
8 | | ability or past performance in meeting or exhausting good faith |
9 | | efforts to meet the utilization goals for business enterprises |
10 | | established in the Business Enterprise for Minorities, Women, |
11 | | Veterans, and Persons with Disabilities Act and with Section |
12 | | 2-105 of the Illinois Human Rights Act.
The State construction |
13 | | agency may include any additional relevant criteria in
Phase I |
14 | | that
it deems necessary for a proper qualification review.
|
15 | | The State construction agency may not consider any |
16 | | design-build entity for
evaluation or
award if the entity has |
17 | | any pecuniary interest in the project or has other
|
18 | | relationships or circumstances, including but not limited to, |
19 | | long-term
leasehold, mutual performance, or development |
20 | | contracts with the State
construction agency,
that may give the |
21 | | design-build entity a financial or tangible advantage over
|
22 | | other design-build entities in the preparation, evaluation, or |
23 | | performance of
the
design-build contract or that create the |
24 | | appearance of impropriety.
No proposal shall be considered that |
25 | | does not include an entity's plan to comply with the |
26 | | requirements established in the Business Enterprise for |
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1 | | Minorities, Women, Veterans, and Persons with Disabilities |
2 | | Act, for both the design and construction areas of performance, |
3 | | and with Section 2-105 of the Illinois Human Rights Act.
|
4 | | Upon completion of the qualifications evaluation, the |
5 | | State construction
agency shall
create a shortlist of the most |
6 | | highly qualified design-build entities. The
State
construction |
7 | | agency, in its discretion, is not required to shortlist the
|
8 | | maximum number of
entities as identified for Phase II |
9 | | evaluation, provided however, no less than
2
design-build |
10 | | entities nor more than 6 are selected to submit Phase II
|
11 | | proposals.
|
12 | | The State construction agency shall notify the entities |
13 | | selected for the
shortlist in
writing. This notification shall |
14 | | commence the period for the preparation of the
Phase II |
15 | | technical and cost evaluations. The State construction agency |
16 | | must
allow sufficient
time for the shortlist entities to |
17 | | prepare their Phase II submittals
considering
the scope and |
18 | | detail requested by the State agency.
|
19 | | (c) The State construction agency shall include in the |
20 | | request for proposal
the
evaluating factors to be used in the |
21 | | technical and cost submission components
of Phase II. Each |
22 | | request for proposal shall establish, for both the technical
|
23 | | and cost submission components of Phase II, the relative |
24 | | importance assigned to
each evaluation factor and subfactor, |
25 | | including any weighting of criteria to be
employed by the State |
26 | | construction agency. The State construction agency must
|
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1 | | maintain a record of the
evaluation scoring to be disclosed in |
2 | | event of a protest regarding the
solicitation.
|
3 | | The State construction agency shall include the following |
4 | | criteria in every
Phase II
technical evaluation of design-build |
5 | | entities: (1) compliance with objectives
of
the
project; (2) |
6 | | compliance of proposed services to the request for proposal
|
7 | | requirements; (3) quality of products or materials proposed; |
8 | | (4) quality of
design parameters; (5) design concepts; (6) |
9 | | innovation in meeting the scope and
performance criteria; and |
10 | | (7) constructability of the
proposed project. The State |
11 | | construction agency may include any additional
relevant
|
12 | | technical evaluation factors it deems necessary for proper |
13 | | selection.
|
14 | | The State construction agency shall include the following |
15 | | criteria in every
Phase II cost
evaluation: the total project |
16 | | cost, the construction costs, and the time of
completion. The |
17 | | State construction agency may include any additional relevant
|
18 | | technical
evaluation factors it deems necessary for proper |
19 | | selection. The total project cost criteria weighing factor |
20 | | shall be 25%.
|
21 | | The State construction agency shall directly employ or |
22 | | retain a licensed
design
professional to evaluate the technical |
23 | | and cost submissions to determine if the
technical submissions |
24 | | are in accordance with generally
accepted industry standards.
|
25 | | Upon completion of the technical submissions and cost |
26 | | submissions evaluation,
the State construction agency may |
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1 | | award the design-build contract to the
highest
overall ranked |
2 | | entity.
|
3 | | (Source: P.A. 100-391, eff. 8-25-17.) |
4 | | (30 ILCS 537/46) |
5 | | (Section scheduled to be repealed on July 1, 2019)
|
6 | | Sec. 46. Reports and evaluation. At the end of every 6 |
7 | | month period following the contract award, and again prior to |
8 | | final contract payout and closure, a selected design-build |
9 | | entity shall detail, in a written report submitted to the State |
10 | | agency, its efforts and success in implementing the entity's |
11 | | plan to comply with the utilization goals for business |
12 | | enterprises established in the Business Enterprise for |
13 | | Minorities, Women, Veterans, and Persons with Disabilities Act |
14 | | and the provisions of Section 2-105 of the Illinois Human |
15 | | Rights Act. If the entity's performance in implementing the |
16 | | plan falls short of the performance measures and outcomes set |
17 | | forth in the plans submitted by the entity during the proposal |
18 | | process, the entity shall, in a detailed written report, inform |
19 | | the General Assembly and the Governor whether and to what |
20 | | degree each design-build contract authorized under this Act |
21 | | promoted the utilization goals for business enterprises |
22 | | established in the Business Enterprise for Minorities, Women, |
23 | | Veterans, and Persons with Disabilities Act and the provisions |
24 | | of Section 2-105 of the Illinois Human Rights Act.
|
25 | | (Source: P.A. 100-391, eff. 8-25-17.) |
|
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1 | | Section 100. The Project Labor Agreements Act is amended by |
2 | | changing Sections 25 and 37 as follows: |
3 | | (30 ILCS 571/25)
|
4 | | Sec. 25. Contents of agreement. Pursuant to this Act, any |
5 | | project labor agreement shall: |
6 | | (a) Set forth effective, immediate, and mutually |
7 | | binding procedures for resolving jurisdictional labor |
8 | | disputes and grievances arising before the completion of |
9 | | work. |
10 | | (b) Contain guarantees against strikes, lockouts, or |
11 | | similar actions. |
12 | | (c) Ensure a reliable source of skilled and experienced |
13 | | labor. |
14 | | (d) For minorities and women as defined under the |
15 | | Business Enterprise for Minorities, Women, Veterans, and |
16 | | Persons with Disabilities Act, set forth goals for |
17 | | apprenticeship hours to be performed by minorities and |
18 | | women and set forth goals for total hours to be performed |
19 | | by underrepresented minorities and women. |
20 | | (e) Permit the selection of the lowest qualified |
21 | | responsible bidder, without regard to union or non-union |
22 | | status at other construction sites. |
23 | | (f) Bind all contractors and subcontractors on the |
24 | | public works project through the inclusion of appropriate |
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1 | | bid specifications in all relevant bid documents. |
2 | | (g) Include such other terms as the parties deem |
3 | | appropriate.
|
4 | | (Source: P.A. 100-391, eff. 8-25-17.) |
5 | | (30 ILCS 571/37)
|
6 | | Sec. 37. Quarterly report; annual report. A State |
7 | | department, agency, authority, board, or instrumentality that |
8 | | has a project labor agreement in connection with a public works |
9 | | project shall prepare a quarterly report that includes |
10 | | workforce participation under the agreement by minorities and |
11 | | women as defined under the Business Enterprise for Minorities, |
12 | | Women, Veterans, and Persons with Disabilities Act. These |
13 | | reports shall be submitted to the Illinois Department of Labor. |
14 | | The Illinois Department of Labor shall submit to the General |
15 | | Assembly and the Governor an annual report that details the |
16 | | number of minorities and women employed under all public labor |
17 | | agreements within the State.
|
18 | | (Source: P.A. 100-391, eff. 8-25-17.) |
19 | | Section 105. The Business Enterprise for Minorities, |
20 | | Women, and Persons with
Disabilities Act is amended by changing |
21 | | Sections 0.01, 1, 2, 4, 4f, 5, 6, 6a, 7, 8, 8a, 8b, 8f, 8g, and |
22 | | 8h as follows:
|
23 | | (30 ILCS 575/0.01) (from Ch. 127, par. 132.600)
|
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1 | | (Section scheduled to be repealed on June 30, 2020)
|
2 | | Sec. 0.01. Short title. This Act may be
cited as the |
3 | | Business Enterprise for Minorities, Women, Veterans, and |
4 | | Persons with Disabilities Act. Any reference in any law, |
5 | | appropriation, rule, form, or other document to the Business |
6 | | Enterprise for Minorities, Women, and Persons with |
7 | | Disabilities Act, shall be construed to be references to this |
8 | | Act.
|
9 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
10 | | (30 ILCS 575/1) (from Ch. 127, par. 132.601)
|
11 | | (Section scheduled to be repealed on June 30, 2020)
|
12 | | Sec. 1. Purpose. The State of Illinois declares that it is |
13 | | the public
policy of the State to promote and encourage the |
14 | | continuing economic
development of minority-owned , and |
15 | | women-owned , veteran-owned, persons with disability-owned and |
16 | | operated businesses
and that minority-owned ,
and women-owned , |
17 | | veteran-owned, and persons with disability-owned and operated |
18 | | businesses participate in the
State's procurement process as |
19 | | both prime and subcontractors.
The State
of Illinois has |
20 | | observed that the goals established in this
Act have served to |
21 | | increase the
participation of minority and women businesses
in |
22 | | contracts awarded by the
State. The State hereby declares that
|
23 | | the adoption of this amendatory Act of 1989 shall serve the |
24 | | State's
continuing interest in promoting open access in the |
25 | | awarding of State
contracts to disadvantaged small business |
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1 | | enterprises victimized by
discriminatory
practices. |
2 | | Furthermore, after reviewing evidence of the high level of
|
3 | | attainment of the 10% minimum goals established under this Act, |
4 | | and, after
considering evidence that minority and women |
5 | | businesses, as established in
1982, constituted and continue to |
6 | | constitute more than 10% of the
businesses operating in this |
7 | | State, the State declares that the
continuation of such 10% |
8 | | minimum goals under this amendatory Act of 1989 is
a narrowly |
9 | | tailored means of promoting open access and thus the further
|
10 | | growth and development of minority and women businesses.
|
11 | | The State of Illinois further declares that it is the |
12 | | public policy of this
State to promote and encourage the |
13 | | continuous economic development of
businesses
owned by persons |
14 | | with disabilities and a 2% contracting goal is a narrowly
|
15 | | tailored means of promoting open access and thus the further |
16 | | growth and
development of those businesses.
|
17 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
18 | | (30 ILCS 575/2)
|
19 | | (Section scheduled to be repealed on June 30, 2020) |
20 | | Sec. 2. Definitions.
|
21 | | (A) For the purpose of this Act, the following
terms shall |
22 | | have the following definitions:
|
23 | | (1) "Minority person" shall mean a person who is a |
24 | | citizen or lawful
permanent resident of the United States |
25 | | and who is any of the following:
|
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1 | | (a) American Indian or Alaska Native (a person |
2 | | having origins in any of the original peoples of North |
3 | | and South America, including Central America, and who |
4 | | maintains tribal affiliation or community attachment). |
5 | | (b) Asian (a person having origins in any of the |
6 | | original peoples of the Far East, Southeast Asia, or |
7 | | the Indian subcontinent, including, but not limited |
8 | | to, Cambodia, China, India, Japan, Korea, Malaysia, |
9 | | Pakistan, the Philippine Islands, Thailand, and |
10 | | Vietnam). |
11 | | (c) Black or African American (a person having |
12 | | origins in any of the black racial groups of Africa). |
13 | | Terms such as "Haitian" or "Negro" can be used in |
14 | | addition to "Black or African American". |
15 | | (d) Hispanic or Latino (a person of Cuban, Mexican, |
16 | | Puerto Rican, South or Central American, or other |
17 | | Spanish culture or origin, regardless of race). |
18 | | (e) Native Hawaiian or Other Pacific Islander (a |
19 | | person having origins in any of the original peoples of |
20 | | Hawaii, Guam, Samoa, or other Pacific Islands).
|
21 | | (2) "Woman" shall mean a person who is a citizen or |
22 | | lawful permanent
resident of the United States and who is |
23 | | of the female gender.
|
24 | | (2.05) "Person with a disability" means a person who is |
25 | | a citizen or
lawful resident of the United States and is a |
26 | | person qualifying as a person with a disability under |
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1 | | subdivision (2.1) of this subsection (A).
|
2 | | (2.1) "Person with a disability" means a person with a |
3 | | severe physical or mental disability that:
|
4 | | (a) results from:
|
5 | | amputation,
|
6 | | arthritis,
|
7 | | autism,
|
8 | | blindness,
|
9 | | burn injury,
|
10 | | cancer,
|
11 | | cerebral palsy,
|
12 | | Crohn's disease, |
13 | | cystic fibrosis,
|
14 | | deafness,
|
15 | | head injury,
|
16 | | heart disease,
|
17 | | hemiplegia,
|
18 | | hemophilia,
|
19 | | respiratory or pulmonary dysfunction,
|
20 | | an intellectual disability,
|
21 | | mental illness,
|
22 | | multiple sclerosis,
|
23 | | muscular dystrophy,
|
24 | | musculoskeletal disorders,
|
25 | | neurological disorders, including stroke and |
26 | | epilepsy,
|
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1 | | paraplegia,
|
2 | | quadriplegia and other spinal cord conditions,
|
3 | | sickle cell anemia,
|
4 | | ulcerative colitis, |
5 | | specific learning disabilities, or
|
6 | | end stage renal failure disease; and
|
7 | | (b) substantially limits one or more of the |
8 | | person's major life activities.
|
9 | | Another disability or combination of disabilities may |
10 | | also be considered
as a severe disability for the purposes |
11 | | of item (a) of this
subdivision (2.1) if it is determined |
12 | | by an evaluation of
rehabilitation potential to
cause a |
13 | | comparable degree of substantial functional limitation |
14 | | similar to
the specific list of disabilities listed in item |
15 | | (a) of this
subdivision (2.1).
|
16 | | (2.15) "Veteran" means a person who (i) has been a |
17 | | member of the armed forces of the United States or, while a |
18 | | citizen of the United States, was a member of the armed |
19 | | forces of allies of the United States in time of |
20 | | hostilities with a foreign country and (ii) has served |
21 | | under one or more of the following conditions: (a) the |
22 | | veteran served a total of at least 6 months; (b) the |
23 | | veteran served for the duration of hostilities regardless |
24 | | of the length of the engagement; (c) the veteran was |
25 | | discharged on the basis of hardship; or (d) the veteran was |
26 | | released from active duty because of a service connected |
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1 | | disability and was discharged under honorable conditions. |
2 | | (3) "Minority-owned business" means a business which |
3 | | is at least
51% owned by one or more minority persons, or |
4 | | in the case of a
corporation, at least 51% of the stock in |
5 | | which is owned by one or
more minority persons; and the |
6 | | management and daily business operations of
which are |
7 | | controlled by one or more of the minority individuals who |
8 | | own it.
|
9 | | (4) "Women-owned business" means a business which is at |
10 | | least
51% owned by one or more women, or, in the case of a |
11 | | corporation, at
least 51% of the stock in which is owned by |
12 | | one or more women; and the
management and daily business |
13 | | operations of which are controlled by one or
more of the |
14 | | women who own it.
|
15 | | (4.1) "Business owned by a person with a disability" |
16 | | means a business
that is at least 51% owned by one or more |
17 | | persons with a disability
and the management and daily |
18 | | business operations of which
are controlled by one or more |
19 | | of the persons with disabilities who own it. A
|
20 | | not-for-profit agency for persons with disabilities that |
21 | | is exempt from
taxation under Section 501 of the Internal |
22 | | Revenue Code of 1986 is also
considered a "business owned |
23 | | by a person with a disability".
|
24 | | (4.1-5) "Veteran-owned business" means a business |
25 | | which is at least 51% owned by one or more veterans, or, in |
26 | | the case of a corporation, at least 51% of the stock in |
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1 | | which is owned by one or more veterans; and the management |
2 | | and daily business operations of which are controlled by |
3 | | one or more of the veterans who own it. |
4 | | (4.2) "Council" means the Business Enterprise Council |
5 | | for Minorities, Women, Veterans, and Persons with |
6 | | Disabilities created under Section 5 of this Act.
|
7 | | (5) "State contracts" means all contracts entered into |
8 | | by the State, any agency or department thereof, or any |
9 | | public institution of higher education, including |
10 | | community college districts, regardless of the source of |
11 | | the funds with which the contracts are paid, which are not |
12 | | subject to federal reimbursement. "State contracts" does |
13 | | not include contracts awarded by a retirement system, |
14 | | pension fund, or investment board subject to Section |
15 | | 1-109.1 of the Illinois Pension Code. This definition shall |
16 | | control over any existing definition under this Act or |
17 | | applicable administrative rule.
|
18 | | "State construction contracts" means all State |
19 | | contracts entered
into by a State agency or public |
20 | | institution of higher education for the repair, |
21 | | remodeling,
renovation or
construction of a building or |
22 | | structure, or for the construction or
maintenance of a |
23 | | highway defined in Article 2 of the Illinois Highway
Code.
|
24 | | (6) "State agencies" shall mean all departments, |
25 | | officers, boards,
commissions, institutions and bodies |
26 | | politic and corporate of the State,
but does not include |
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1 | | the Board of Trustees of the University of Illinois,
the |
2 | | Board of Trustees of Southern Illinois University,
the |
3 | | Board of Trustees
of Chicago State University, the Board of |
4 | | Trustees of Eastern Illinois
University, the Board of |
5 | | Trustees of Governors State University, the Board of
|
6 | | Trustees of Illinois State University, the Board of |
7 | | Trustees of Northeastern
Illinois
University, the Board of |
8 | | Trustees of Northern Illinois University, the Board of
|
9 | | Trustees of Western Illinois University,
municipalities or |
10 | | other local governmental units, or other State |
11 | | constitutional
officers.
|
12 | | (7) "Public institutions of higher education" means |
13 | | the University of Illinois, Southern Illinois University, |
14 | | Chicago State University, Eastern Illinois University, |
15 | | Governors State University, Illinois State University, |
16 | | Northeastern Illinois University, Northern Illinois |
17 | | University, Western Illinois University, the public |
18 | | community colleges of the State, and any other public |
19 | | universities, colleges, and community colleges now or |
20 | | hereafter established or authorized by the General |
21 | | Assembly.
|
22 | | (8) "Certification" means a determination made by the |
23 | | Council
or by one delegated authority from the Council to |
24 | | make certifications, or by
a State agency with statutory |
25 | | authority to make such a certification, that a
business |
26 | | entity is a business owned by a
minority, woman, veteran, |
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1 | | or person with a disability for whatever
purpose. If a |
2 | | business qualifies for more than one certification, it |
3 | | shall be certified for all designations for which it |
4 | | qualifies. A business owned and controlled by women shall |
5 | | be certified as a "woman-owned business". A business owned |
6 | | and controlled by women who are also minorities shall be |
7 | | certified as both a "women-owned business" and a |
8 | | "minority-owned business".
|
9 | | (9) "Control" means the exclusive or ultimate and sole |
10 | | control of the
business including, but not limited to, |
11 | | capital investment and all other
financial matters, |
12 | | property, acquisitions, contract negotiations, legal
|
13 | | matters, officer-director-employee selection and |
14 | | comprehensive hiring,
operating responsibilities, |
15 | | cost-control matters, income and dividend
matters, |
16 | | financial transactions and rights of other shareholders or |
17 | | joint
partners. Control shall be real, substantial and |
18 | | continuing, not pro forma.
Control shall include the power |
19 | | to direct or cause the direction of the
management and |
20 | | policies of the business and to make the day-to-day as well
|
21 | | as major decisions in matters of policy, management and |
22 | | operations.
Control shall be exemplified by possessing the |
23 | | requisite knowledge and
expertise to run the particular |
24 | | business and control shall not include
simple majority or |
25 | | absentee ownership.
|
26 | | (10) "Business" means a business that has annual gross |
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1 | | sales of less than $75,000,000 as evidenced by the federal |
2 | | income tax return of the business. A firm with gross sales |
3 | | in excess of this cap may apply to the Council for |
4 | | certification for a particular contract if the firm can |
5 | | demonstrate that the contract would have significant |
6 | | impact on businesses owned by minorities, women, veterans, |
7 | | or persons with disabilities as suppliers or |
8 | | subcontractors or in employment of minorities, women, |
9 | | veterans, or persons with disabilities.
|
10 | | (11) "Utilization plan" means a form and additional |
11 | | documentations included in all bids or proposals that |
12 | | demonstrates a vendor's proposed utilization of vendors |
13 | | certified by the Business Enterprise Program to meet the |
14 | | targeted goal. The utilization plan shall demonstrate that |
15 | | the Vendor has either: (1) met the entire contract goal or |
16 | | (2) requested a full or partial waiver and made good faith |
17 | | efforts towards meeting the goal. |
18 | | (12) "Business Enterprise Program" means the Business |
19 | | Enterprise Program of the Department of Central Management |
20 | | Services. |
21 | | (13) "Armed forces of the United States" means the |
22 | | United States Army, Navy, Air Force, Marine Corps, Coast |
23 | | Guard, or service in active duty as defined under 38 U.S.C. |
24 | | Section 101. Service in the Merchant Marine that |
25 | | constitutes active duty under Section 401 of federal Public |
26 | | Act 95-202 shall also be considered service in the armed |
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1 | | forces for purposes of this Section. |
2 | | (14) "Time of hostilities with a foreign country" means |
3 | | any period of time in the past, present, or future during |
4 | | which a declaration of war by the United States Congress |
5 | | has been or is in effect or during which an emergency |
6 | | condition has been or is in effect that is recognized by |
7 | | the issuance of a Presidential proclamation or a |
8 | | Presidential executive order and in which the armed forces |
9 | | expeditionary medal or other campaign service medals are |
10 | | awarded according to Presidential executive order. |
11 | | (B) When a business is owned at least 51% by any |
12 | | combination of
minority persons, women, veterans, or persons |
13 | | with disabilities,
even though none of the 3 classes alone |
14 | | holds at least a 51% interest, the
ownership
requirement for |
15 | | purposes of this Act is considered to be met. The
certification |
16 | | category for the business is that of the class holding the
|
17 | | largest ownership
interest in the business. If 2 or more |
18 | | classes have equal ownership interests,
the certification |
19 | | category shall be determined by
the business.
|
20 | | (Source: P.A. 99-143, eff. 7-27-15; 99-462, eff. 8-25-15; |
21 | | 99-642, eff. 7-28-16; 100-391, eff. 8-25-17.)
|
22 | | (30 ILCS 575/4) (from Ch. 127, par. 132.604)
|
23 | | (Section scheduled to be repealed on June 30, 2020)
|
24 | | Sec. 4. Award of State contracts.
|
25 | | (a) Except as provided in subsections (b) and (c), not less |
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1 | | than 20% of
the total dollar amount of State contracts, as |
2 | | defined by the Secretary of
the Council and approved by the |
3 | | Council, shall be established as an aspirational goal to
be |
4 | | awarded to businesses owned by minorities,
women, veterans, and |
5 | | persons with disabilities ; provided, however, that
of the total |
6 | | amount of all
State contracts awarded to businesses owned by
|
7 | | minorities, women, and persons with disabilities pursuant to
|
8 | | this Section, contracts representing at least 11% shall be |
9 | | awarded to businesses owned by minorities, contracts |
10 | | representing at least 7% shall be awarded to women-owned |
11 | | businesses, and contracts representing at least 2% shall be |
12 | | awarded to businesses owned by persons with disabilities .
|
13 | | The above percentage relates to the total dollar amount of |
14 | | State
contracts during each State fiscal year, calculated by |
15 | | examining
independently each type of contract for each agency |
16 | | or public institutions of higher education which
lets such |
17 | | contracts. Only that percentage of arrangements which |
18 | | represents the participation of businesses owned by
|
19 | | minorities, women, veterans, and persons with disabilities on |
20 | | such contracts shall
be included.
|
21 | | (b) In the case of State construction contracts, the |
22 | | provisions of
subsection (a) requiring a portion of State |
23 | | contracts to be awarded to
businesses owned and controlled by |
24 | | persons with
disabilities do not apply. The following |
25 | | aspirational goals are established for State construction |
26 | | contracts: not less
than 20% of the total dollar amount of |
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1 | | State construction contracts is
established as a goal to be |
2 | | awarded to businesses owned by minorities, women, veterans, and |
3 | | persons with disabilities minority-owned and women-owned
|
4 | | businesses .
|
5 | | (c) In the case of all work undertaken by the University of |
6 | | Illinois related to the planning, organization, and staging of |
7 | | the games, the University of Illinois shall establish a goal of |
8 | | awarding not less than 30% 25% of the annual dollar value of |
9 | | all contracts, purchase orders, and other agreements |
10 | | (collectively referred to as "the contracts") to businesses |
11 | | owned by minorities, women, veterans, and persons with |
12 | | disabilities minority-owned businesses or businesses owned by |
13 | | a person with a disability and 5% of the annual dollar value |
14 | | the contracts to women-owned businesses . For purposes of this |
15 | | subsection, the term "games" has the meaning set forth in the |
16 | | Olympic Games and Paralympic Games (2016) Law. |
17 | | (d) Within one year after April 28, 2009 (the effective |
18 | | date of Public Act 96-8), the Department of Central Management |
19 | | Services shall conduct a social scientific study that measures |
20 | | the impact of discrimination on minority and women business |
21 | | development in Illinois. Within 18 months after April 28, 2009 |
22 | | (the effective date of Public Act 96-8), the Department shall |
23 | | issue a report of its findings and any recommendations on |
24 | | whether to adjust the goals for minority and women |
25 | | participation established in this Act. Copies of this report |
26 | | and the social scientific study shall be filed with the |
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1 | | Governor and the General Assembly. |
2 | | (e) Except as permitted under this Act or as otherwise |
3 | | mandated by federal law or regulation, those who submit bids or |
4 | | proposals for State contracts subject to the provisions of this |
5 | | Act, whose bids or proposals are successful and include a |
6 | | utilization plan but that fail to meet the goals set forth in |
7 | | subsection (b) of this Section, shall be notified of that |
8 | | deficiency and shall be afforded a period not to exceed 10 |
9 | | calendar days from the date of notification to cure that |
10 | | deficiency in the bid or proposal. The deficiency in the bid or |
11 | | proposal may only be cured by contracting with additional |
12 | | subcontracting businesses owned by minorities, women, |
13 | | veterans, or persons with disabilities subcontractors who are |
14 | | owned by minorities or women , but in no case shall an |
15 | | identified subcontractor with a certification made pursuant to |
16 | | this Act be terminated from the contract without the written |
17 | | consent of the State agency or public institution of higher |
18 | | education entering into the contract. |
19 | | (f) Non-construction solicitations that include Business |
20 | | Enterprise Program participation goals shall require bidders |
21 | | and offerors to include utilization plans. Utilization plans |
22 | | are due at the time of bid or offer submission. Failure to |
23 | | complete and include a utilization plan, including |
24 | | documentation demonstrating good faith effort when requesting |
25 | | a waiver, shall render the bid or offer non-responsive. |
26 | | (Source: P.A. 99-462, eff. 8-25-15; 99-514, eff. 6-30-16; |
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1 | | 100-391, eff. 8-25-17.) |
2 | | (30 ILCS 575/4f) |
3 | | (Section scheduled to be repealed on June 30, 2020) |
4 | | Sec. 4f. Award of State contracts. |
5 | | (1) It is hereby declared to be the public policy of the |
6 | | State of Illinois to promote and encourage each State agency |
7 | | and public institution of higher education to use businesses |
8 | | owned by minorities, women, veterans, and persons with |
9 | | disabilities in the area of goods and services, including, but |
10 | | not limited to, insurance services, investment management |
11 | | services, information technology services, accounting |
12 | | services, architectural and engineering services, and legal |
13 | | services. Furthermore, each State agency and public |
14 | | institution of higher education shall utilize such firms to the |
15 | | greatest extent feasible within the bounds of financial and |
16 | | fiduciary prudence, and take affirmative steps to remove any |
17 | | barriers to the full participation of such firms in the |
18 | | procurement and contracting opportunities afforded. |
19 | | (a) When a State agency or public institution of higher |
20 | | education, other than a community college, awards a |
21 | | contract for insurance services, for each State agency or |
22 | | public institution of higher education, it shall be the |
23 | | aspirational goal to use insurance brokers owned by |
24 | | minorities, women, veterans, and persons with disabilities |
25 | | as defined by this Act, for not less than 20% of the total |
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1 | | annual premiums or fees. |
2 | | (b) When a State agency or public institution of higher |
3 | | education, other than a community college, awards a |
4 | | contract for investment services, for each State agency or |
5 | | public institution of higher education, it shall be the |
6 | | aspirational goal to use emerging investment managers |
7 | | owned by minorities, women, veterans, and persons with |
8 | | disabilities as defined by this Act, for not less than 20% |
9 | | of the total funds under management. Furthermore, it is the |
10 | | aspirational goal that not less than 20% of the direct |
11 | | asset managers of the State funds be minorities, women, |
12 | | veterans, and persons with disabilities. |
13 | | (c) When a State agency or public institution of higher |
14 | | education, other than a community college, awards |
15 | | contracts for information technology services, accounting |
16 | | services, architectural and engineering services, and |
17 | | legal services, for each State agency and public |
18 | | institution of higher education, it shall be the |
19 | | aspirational goal to use such firms owned by minorities, |
20 | | women, veterans, and persons with disabilities as defined |
21 | | by this Act and lawyers who are minorities, women, |
22 | | veterans, and persons with disabilities as defined by this |
23 | | Act, for not less than 20% of the total dollar amount of |
24 | | State contracts. |
25 | | (d) When a community college awards a contract for |
26 | | insurance services, investment services, information |
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1 | | technology services, accounting services, architectural |
2 | | and engineering services, and legal services, it shall be |
3 | | the aspirational goal of each community college to use |
4 | | businesses owned by minorities, women, veterans, and |
5 | | persons with disabilities as defined in this Act for not |
6 | | less than 20% of the total amount spent on contracts for |
7 | | these services collectively. When a community college |
8 | | awards contracts for investment services, contracts |
9 | | awarded to investment managers who are not emerging |
10 | | investment managers as defined in this Act shall not be |
11 | | considered businesses owned by minorities, women, |
12 | | veterans, or persons with disabilities for the purposes of |
13 | | this Section. |
14 | | (2) As used in this Section: |
15 | | "Accounting services" means the measurement, |
16 | | processing and communication of financial information |
17 | | about economic entities including, but is not limited to, |
18 | | financial accounting, management accounting, auditing, |
19 | | cost containment and auditing services, taxation and |
20 | | accounting information systems. |
21 | | "Architectural and engineering services" means |
22 | | professional services of an architectural or engineering |
23 | | nature, or incidental services, that members of the |
24 | | architectural and engineering professions, and individuals |
25 | | in their employ, may logically or justifiably perform, |
26 | | including studies, investigations, surveying and mapping, |
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1 | | tests, evaluations, consultations, comprehensive planning, |
2 | | program management, conceptual designs, plans and |
3 | | specifications, value engineering, construction phase |
4 | | services, soils engineering, drawing reviews, preparation |
5 | | of operating and maintenance manuals, and other related |
6 | | services. |
7 | | "Emerging investment manager" means an investment |
8 | | manager or claims consultant having assets under |
9 | | management below $10 billion or otherwise adjudicating |
10 | | claims. |
11 | | "Information technology services" means, but is not |
12 | | limited to, specialized technology-oriented solutions by |
13 | | combining the processes and functions of software, |
14 | | hardware, networks, telecommunications, web designers, |
15 | | cloud developing resellers, and electronics. |
16 | | "Insurance broker" means an insurance brokerage firm, |
17 | | claims administrator, or both, that procures, places all |
18 | | lines of insurance, or administers claims with annual |
19 | | premiums or fees of at least $5,000,000 but not more than |
20 | | $10,000,000. |
21 | | "Legal services" means work performed by a lawyer |
22 | | including, but not limited to, contracts in anticipation of |
23 | | litigation, enforcement actions, or investigations. |
24 | | (3) Each State agency and public institution of higher |
25 | | education shall adopt policies that identify its plan and |
26 | | implementation procedures for increasing the use of service |
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1 | | firms owned by minorities, women, veterans, and persons with |
2 | | disabilities. |
3 | | (4) Except as provided in subsection (5), the Council shall |
4 | | file no later than March 1 of each year an annual report to the |
5 | | Governor and the General Assembly. The report filed with the |
6 | | General Assembly shall be filed as required in Section 3.1 of |
7 | | the General Assembly Organization Act. This report shall: (i) |
8 | | identify the service firms used by each State agency and public |
9 | | institution of higher education, (ii) identify the actions it |
10 | | has undertaken to increase the use of service firms owned by |
11 | | minorities, women, veterans, and persons with disabilities, |
12 | | including encouraging non-minority-owned firms to use other |
13 | | service firms owned by minorities, women, veterans, and persons |
14 | | with disabilities as subcontractors when the opportunities |
15 | | arise, (iii) state any recommendations made by the Council to |
16 | | each State agency and public institution of higher education to |
17 | | increase participation by the use of service firms owned by |
18 | | minorities, women, veterans, and persons with disabilities, |
19 | | and (iv) include the following: |
20 | | (A) For insurance services: the names of the insurance |
21 | | brokers or claims consultants used, the total of risk |
22 | | managed by each State agency and public institution of |
23 | | higher education by insurance brokers, the total |
24 | | commissions, fees paid, or both, the lines or insurance |
25 | | policies placed, and the amount of premiums placed; and the |
26 | | percentage of the risk managed by insurance brokers, the |
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1 | | percentage of total commission, fees paid, or both, the |
2 | | lines or insurance policies placed, and the amount of |
3 | | premiums placed with each by the insurance brokers owned by |
4 | | minorities, women, veterans, and persons with disabilities |
5 | | by each State agency and public institution of higher |
6 | | education. |
7 | | (B) For investment management services: the names of |
8 | | the investment managers used, the total funds under |
9 | | management of investment managers; the total commissions, |
10 | | fees paid, or both; the total and percentage of funds under |
11 | | management of emerging investment managers owned by |
12 | | minorities, women, veterans, and persons with |
13 | | disabilities, including the total and percentage of total |
14 | | commissions, fees paid, or both by each State agency and |
15 | | public institution of higher education. |
16 | | (C) The names of service firms, the percentage and |
17 | | total dollar amount paid for professional services by |
18 | | category by each State agency and public institution of |
19 | | higher education. |
20 | | (D) The names of service firms, the percentage and |
21 | | total dollar amount paid for services by category to firms |
22 | | owned by minorities, women, veterans, and persons with |
23 | | disabilities by each State agency and public institution of |
24 | | higher education. |
25 | | (E) The total number of contracts awarded for services |
26 | | by category and the total number of contracts awarded to |
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1 | | firms owned by minorities, women, veterans, and persons |
2 | | with disabilities by each State agency and public |
3 | | institution of higher education. |
4 | | (5) For community college districts, the Business |
5 | | Enterprise Council shall only report the following information |
6 | | for each community college district: (i) the name of the |
7 | | community colleges in the district, (ii) the name and contact |
8 | | information of a person at each community college appointed to |
9 | | be the single point of contact for vendors owned by minorities, |
10 | | women, veterans, or persons with disabilities, (iii) the policy |
11 | | of the community college district concerning certified |
12 | | vendors, (iv) the certifications recognized by the community |
13 | | college district for determining whether a business is owned or |
14 | | controlled by a minority, woman, veteran, or person with a |
15 | | disability, (v) outreach efforts conducted by the community |
16 | | college district to increase the use of certified vendors, (vi) |
17 | | the total expenditures by the community college district in the |
18 | | prior fiscal year in the divisions of work specified in |
19 | | paragraphs (a), (b), and (c) of subsection (1) of this Section |
20 | | and the amount paid to certified vendors in those divisions of |
21 | | work, and (vii) the total number of contracts entered into for |
22 | | the divisions of work specified in paragraphs (a), (b), and (c) |
23 | | of subsection (1) of this Section and the total number of |
24 | | contracts awarded to certified vendors providing these |
25 | | services to the community college district. The Business |
26 | | Enterprise Council shall not make any utilization reports under |
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1 | | this Act for community college districts for Fiscal Year 2015 |
2 | | and Fiscal Year 2016, but shall make the report required by |
3 | | this subsection for Fiscal Year 2017 and for each fiscal year |
4 | | thereafter. The Business Enterprise Council shall report the |
5 | | information in items (i), (ii), (iii), and (iv) of this |
6 | | subsection beginning in September of 2016. The Business |
7 | | Enterprise Council may collect the data needed to make its |
8 | | report from the Illinois Community College Board. |
9 | | (6) The status of the utilization of services shall be |
10 | | discussed at each of the regularly scheduled Business |
11 | | Enterprise Council meetings. Time shall be allotted for the |
12 | | Council to receive, review, and discuss the progress of the use |
13 | | of service firms owned by minorities, women, veterans, and |
14 | | persons with disabilities by each State agency and public |
15 | | institution of higher education; and any evidence regarding |
16 | | past or present racial, ethnic, or gender-based discrimination |
17 | | which directly impacts a State agency or public institution of |
18 | | higher education contracting with such firms. If after |
19 | | reviewing such evidence the Council finds that there is or has |
20 | | been such discrimination against a specific group, race or sex, |
21 | | the Council shall establish sheltered markets or adjust |
22 | | existing sheltered markets tailored to address the Council's |
23 | | specific findings for the divisions of work specified in |
24 | | paragraphs (a), (b), and (c) of subsection (1) of this Section.
|
25 | | (Source: P.A. 99-462, eff. 8-25-15; 99-642, eff. 7-28-16; |
26 | | 100-391, eff. 8-25-17.)
|
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1 | | (30 ILCS 575/5) (from Ch. 127, par. 132.605)
|
2 | | (Section scheduled to be repealed on June 30, 2020)
|
3 | | Sec. 5. Business Enterprise Council.
|
4 | | (1) To help implement, monitor and enforce the goals of |
5 | | this Act, there
is created the Business Enterprise Council for
|
6 | | Minorities, Women, Veterans, and Persons with Disabilities, |
7 | | hereinafter
referred to as the Council, composed of the |
8 | | Secretary of Human Services and
the Directors of the Department |
9 | | of
Human Rights, the Department of Commerce and Economic |
10 | | Opportunity, the
Department of Central Management Services, |
11 | | the Department of Transportation and
the
Capital Development |
12 | | Board, or their duly appointed representatives, with the |
13 | | Comptroller, or his or her designee, serving as an advisory |
14 | | member of the Council. Ten
individuals representing businesses |
15 | | that are minority-owned , or women-owned , veteran-owned, or
|
16 | | owned by persons with disabilities, 2 individuals representing |
17 | | the business
community, and a representative of public |
18 | | institutions of higher education shall be appointed by the |
19 | | Governor. These members shall serve 2
year terms and shall be |
20 | | eligible for reappointment. Any vacancy occurring on
the |
21 | | Council shall also be filled by the Governor. Any member |
22 | | appointed to fill
a vacancy occurring prior to the expiration |
23 | | of the term for which his
predecessor was appointed shall be |
24 | | appointed for the remainder of such term.
Members of the |
25 | | Council shall serve without compensation but shall be |
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1 | | reimbursed
for any ordinary and necessary expenses incurred in |
2 | | the performance of their
duties.
|
3 | | The Director of the Department of Central Management |
4 | | Services shall serve
as the Council chairperson and shall |
5 | | select, subject to approval of the
council, a Secretary |
6 | | responsible for the operation of the program who shall
serve as |
7 | | the Division Manager of the Business
Enterprise for Minorities, |
8 | | Women, Veterans, and Persons with Disabilities Division
of the |
9 | | Department of Central Management Services.
|
10 | | The Director of each State agency and the chief executive |
11 | | officer of
each public institutions of higher education shall |
12 | | appoint a liaison to the Council. The liaison
shall be |
13 | | responsible for submitting to the Council any reports and
|
14 | | documents necessary under this Act.
|
15 | | (2) The Council's authority and responsibility shall be to:
|
16 | | (a) Devise a certification procedure to assure that |
17 | | businesses taking
advantage of this Act are legitimately |
18 | | classified as businesses owned by minorities, women, |
19 | | veterans, or persons with
disabilities.
|
20 | | (b) Maintain a list of all
businesses legitimately |
21 | | classified as businesses owned by minorities, women, |
22 | | veterans, or persons with disabilities to provide to State |
23 | | agencies and public institutions of higher education.
|
24 | | (c) Review rules and regulations for the |
25 | | implementation of the program for businesses owned by |
26 | | minorities, women, veterans,
and persons with |
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1 | | disabilities.
|
2 | | (d) Review compliance plans submitted by each State |
3 | | agency and public institutions of higher education
|
4 | | pursuant to this Act.
|
5 | | (e) Make annual reports as provided in Section 8f to |
6 | | the Governor and
the General Assembly on the
status of the |
7 | | program.
|
8 | | (f) Serve as a central clearinghouse for information on |
9 | | State
contracts, including the maintenance of a list of all |
10 | | pending State
contracts upon which businesses owned by |
11 | | minorities, women, veterans, and persons with disabilities |
12 | | may bid.
At the Council's discretion, maintenance of the |
13 | | list may include 24-hour
electronic access to the list |
14 | | along with the bid and application information.
|
15 | | (g) Establish a toll free telephone number to |
16 | | facilitate information
requests concerning the |
17 | | certification process and pending contracts.
|
18 | | (3) No premium bond rate of a surety company for a bond |
19 | | required of a business owned by a minority, woman, veteran, or |
20 | | person
with a disability bidding for a State contract shall be
|
21 | | higher than the lowest rate charged by that surety company for |
22 | | a similar
bond in the same classification of work that would be |
23 | | written for a business not owned by a minority, woman, veteran, |
24 | | or person with a disability.
|
25 | | (4) Any Council member who has direct financial or personal |
26 | | interest in
any measure pending before the Council shall |
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1 | | disclose this fact to the
Council and refrain from |
2 | | participating in the determination upon such measure.
|
3 | | (5) The Secretary shall have the following duties and |
4 | | responsibilities:
|
5 | | (a) To be responsible for the day-to-day operation of |
6 | | the Council.
|
7 | | (b) To serve as a coordinator for all of the State's |
8 | | programs for businesses owned by minorities, women, |
9 | | veterans,
and persons with disabilities and as the |
10 | | information and referral center
for all State initiatives |
11 | | for businesses
owned by minorities, women, veterans, and |
12 | | persons with disabilities.
|
13 | | (c) To establish an enforcement procedure whereby the |
14 | | Council may
recommend to the appropriate State legal |
15 | | officer that the State exercise
its legal remedies which |
16 | | shall include (1) termination of the contract
involved, (2) |
17 | | prohibition of participation by the respondent in public
|
18 | | contracts for a period not to exceed 3 years, (3) |
19 | | imposition of a penalty
not to exceed any profit acquired |
20 | | as a result of violation, or (4) any
combination thereof. |
21 | | Such procedures shall require prior approval by Council.
|
22 | | (d) To devise appropriate policies, regulations and |
23 | | procedures for
including participation by businesses owned
|
24 | | by minorities, women, veterans, and persons with |
25 | | disabilities as prime contractors
including, but not |
26 | | limited to, (i) encouraging the inclusions of qualified |
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1 | | businesses owned by minorities, women, veterans, and
|
2 | | persons with disabilities on solicitation lists, (ii)
|
3 | | investigating the potential of blanket bonding programs |
4 | | for small
construction jobs, (iii) investigating and |
5 | | making recommendations
concerning the use of the sheltered |
6 | | market process.
|
7 | | (e) To devise procedures for the waiver of the |
8 | | participation goals in
appropriate circumstances.
|
9 | | (f) To accept donations and, with the approval of the |
10 | | Council or the
Director of Central Management Services, |
11 | | grants related to the purposes of
this Act; to conduct |
12 | | seminars related to the purpose of this Act and to
charge |
13 | | reasonable registration fees; and to sell directories, |
14 | | vendor lists
and other such information to interested |
15 | | parties, except that forms
necessary to become eligible for |
16 | | the program shall be provided free of
charge to a business |
17 | | or individual applying for the program.
|
18 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17; |
19 | | 100-801, eff. 8-10-18.)
|
20 | | (30 ILCS 575/6) (from Ch. 127, par. 132.606)
|
21 | | (Section scheduled to be repealed on June 30, 2020)
|
22 | | Sec. 6. Agency compliance plans. Each State agency and |
23 | | public institutions of higher education
under the
jurisdiction |
24 | | of this Act
shall file
with the Council an annual compliance |
25 | | plan which shall outline the
goals of the State agency or |
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1 | | public institutions of higher education for contracting with |
2 | | businesses owned by minorities, women, veterans, and
persons |
3 | | with disabilities for the then current fiscal
year, the manner |
4 | | in which the agency intends to reach these goals and a
|
5 | | timetable for reaching these goals. The Council shall review |
6 | | and approve
the plan of each State agency and public |
7 | | institutions of higher education and may reject any
plan that |
8 | | does
not comply with
this Act or any rules or regulations |
9 | | promulgated pursuant to this Act.
|
10 | | (a) The compliance plan shall also include, but not be |
11 | | limited to, (1) a
policy statement, signed by the State agency |
12 | | or public institution of higher education head,
expressing a
|
13 | | commitment to
encourage the use of
businesses owned by
|
14 | | minorities, women, veterans, and persons with disabilities, |
15 | | (2) the designation of
the liaison
officer
provided for in |
16 | | Section 5 of this Act, (3) procedures to distribute to
|
17 | | potential contractors and vendors the list of all businesses |
18 | | legitimately classified as businesses owned by
minorities, |
19 | | women, veterans, and persons with disabilities and so certified |
20 | | under
this Act, (4) procedures to set
separate contract goals |
21 | | on specific prime contracts and purchase orders
with |
22 | | subcontracting possibilities based upon the type of work or |
23 | | services
and subcontractor availability, (5) procedures to |
24 | | assure that contractors
and vendors make good faith efforts to |
25 | | meet contract goals, (6) procedures
for contract goal |
26 | | exemption, modification and waiver, and (7) the delineation
of |
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1 | | separate contract goals for businesses owned by minorities, |
2 | | women, veterans, and persons with
disabilities.
|
3 | | (b) Approval of the compliance plans shall include such |
4 | | delegation of
responsibilities to the requesting State agency |
5 | | or public institution of higher education as
the Council
deems |
6 | | necessary
and appropriate to fulfill the purpose of this Act. |
7 | | Such responsibilities
may include, but need not be limited to |
8 | | those outlined in subsections (1),
(2) and (3) of Section 7, |
9 | | paragraph (a) of Section 8, and Section 8a of this Act.
|
10 | | (c) Each State agency and public institution of higher |
11 | | education under the jurisdiction of
this Act
shall
file with |
12 | | the Council an annual report of its utilization of businesses |
13 | | owned
by minorities, women, veterans, and persons with |
14 | | disabilities during the preceding fiscal year including lapse |
15 | | period spending
and a mid-fiscal year report of its utilization |
16 | | to date for the then current
fiscal year. The reports shall |
17 | | include a self-evaluation of the efforts of the
State agency or |
18 | | public institution of higher education to meet its goals under |
19 | | the
Act.
|
20 | | (d) Notwithstanding any provisions to the contrary in this |
21 | | Act,
any State
agency or public institution of higher education |
22 | | which administers a construction program,
for which federal law |
23 | | or regulations establish standards and procedures for
the |
24 | | utilization of businesses owned by minorities, women, |
25 | | veterans, and persons with disabilities minority-owned and |
26 | | women-owned businesses and disadvantaged businesses ,
shall |
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1 | | implement a disadvantaged business enterprise program to |
2 | | include businesses owned by minorities, women, veterans, and |
3 | | persons with disabilities minority-owned and women-owned |
4 | | businesses and disadvantaged businesses , using
the federal
|
5 | | standards and procedures for the establishment of goals and
|
6 | | utilization procedures for the State-funded, as well as the |
7 | | federally
assisted, portions of the program. In such cases, |
8 | | these goals shall not
exceed those established pursuant to the |
9 | | relevant federal statutes or
regulations.
Notwithstanding the |
10 | | provisions of Section 8b, the Illinois Department of
|
11 | | Transportation is authorized to establish sheltered markets |
12 | | for the
State-funded portions of the program consistent with |
13 | | federal law and
regulations.
Additionally, a compliance plan |
14 | | which is filed by such State
agency or public institution of |
15 | | higher education pursuant to this Act, which incorporates
|
16 | | equivalent terms and
conditions of its federally-approved |
17 | | compliance plan, shall be deemed
approved under this Act.
|
18 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17.)
|
19 | | (30 ILCS 575/6a) (from Ch. 127, par. 132.606a)
|
20 | | (Section scheduled to be repealed on June 30, 2020)
|
21 | | Sec. 6a. Notice of contracts to Council. Except in case of |
22 | | emergency as
defined in the Illinois Procurement Code, or as |
23 | | authorized by rule promulgated by the Department of
Central |
24 | | Management Services, each agency and public institution of |
25 | | higher education under the
jurisdiction of
this Act shall |
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1 | | notify the Secretary of the
Council
of proposed contracts
for |
2 | | professional and artistic services and provide the information |
3 | | in the
form and detail as required by rule promulgated by the |
4 | | Department of Central
Management Services. Notification may be |
5 | | made through
direct written communication to the Secretary to |
6 | | be received at least 14 days
before execution of the contract |
7 | | (or the solicitation response date, if
applicable). The agency |
8 | | or public institution of higher education must
consider any |
9 | | vendor referred by the Secretary before execution of the
|
10 | | contract. The provisions of this Section
shall not apply to any |
11 | | State agency or public institution of higher education that has |
12 | | awarded
contracts for
professional and artistic services to |
13 | | businesses
owned by minorities, women, veterans, and persons |
14 | | with disabilities totaling
in the aggregate $40,000,000 or more |
15 | | during the preceding fiscal year.
|
16 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17.)
|
17 | | (30 ILCS 575/7) (from Ch. 127, par. 132.607) |
18 | | (Section scheduled to be repealed on June 30, 2020) |
19 | | Sec. 7. Exemptions; waivers; publication of data. |
20 | | (1) Individual contract exemptions.
The Council, on its own |
21 | | initiative or at the request of the affected agency,
public |
22 | | institution of higher education, or recipient of a grant or |
23 | | loan of State funds of $250,000 or more complying with Section |
24 | | 45 of the State Finance Act, may permit an individual contract |
25 | | or contract package,
(related contracts being bid or awarded |
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1 | | simultaneously for the same project
or improvements) be made |
2 | | wholly or partially exempt from State contracting
goals for |
3 | | businesses owned by
minorities, women, veterans, and persons |
4 | | with disabilities prior to the advertisement
for bids or |
5 | | solicitation of proposals whenever there has been a
|
6 | | determination, reduced to writing and based on the best |
7 | | information
available at the time of the determination, that |
8 | | there is an insufficient
number of businesses owned by |
9 | | minorities, women, veterans, and persons with disabilities to |
10 | | ensure adequate
competition and an expectation of reasonable |
11 | | prices on bids or proposals
solicited for the individual |
12 | | contract or contract package in question. |
13 | | (2) Class exemptions. |
14 | | (a) Creation. The Council, on its own initiative
or at |
15 | | the request of the affected agency or public institution of |
16 | | higher education, may permit an entire
class of
contracts |
17 | | be made exempt from State
contracting goals for businesses |
18 | | owned by minorities, women, veterans, and persons
with |
19 | | disabilities whenever there has been a determination, |
20 | | reduced to
writing and based on the best information |
21 | | available at the time of the
determination, that there is |
22 | | an insufficient number of qualified businesses owned by |
23 | | minorities, women, veterans, and persons with
disabilities |
24 | | to ensure adequate competition and an
expectation of |
25 | | reasonable prices on bids or proposals within that class. |
26 | | (b) Limitation. Any such class exemption shall not be |
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1 | | permitted for a
period of more than one year at a time. |
2 | | (3) Waivers. Where a particular contract requires a |
3 | | contractor to meet
a goal established pursuant to this Act, the |
4 | | contractor shall have the right
to request a waiver from such |
5 | | requirements. The Council shall grant the
waiver where the |
6 | | contractor demonstrates that there has been made a good
faith |
7 | | effort to comply with the goals for
participation by businesses |
8 | | owned by minorities, women, veterans, and persons with
|
9 | | disabilities. |
10 | | (4) Conflict with other laws. In the event that any State |
11 | | contract, which
otherwise would be subject to the provisions of |
12 | | this Act, is or becomes
subject to federal laws or regulations |
13 | | which conflict with the provisions
of this Act or actions of |
14 | | the State taken pursuant hereto, the provisions
of the federal |
15 | | laws or regulations shall apply and the contract shall be
|
16 | | interpreted and enforced accordingly. |
17 | | (5) Each chief procurement officer, as defined in the |
18 | | Illinois Procurement Code, shall maintain on his or her |
19 | | official Internet website a database of waivers granted under |
20 | | this Section with respect to contracts under his or her |
21 | | jurisdiction. The database, which shall be updated |
22 | | periodically as necessary, shall be searchable by contractor |
23 | | name and by contracting State agency. |
24 | | (6) Each chief procurement officer, as defined by the |
25 | | Illinois Procurement Code, shall maintain on its website a list |
26 | | of all firms that have been prohibited from bidding, offering, |
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1 | | or entering into a contract with the State of Illinois as a |
2 | | result of violations of this Act. |
3 | | Each public notice required by law of the award of a State |
4 | | contract shall include for each bid or offer submitted for that |
5 | | contract the following: (i) the bidder's or offeror's name, |
6 | | (ii) the bid amount, (iii) the name or names of the certified |
7 | | firms identified in the bidder's or offeror's submitted |
8 | | utilization plan, and (iv) the bid's amount and percentage of |
9 | | the contract awarded to businesses owned by minorities, women, |
10 | | veterans, and persons with disabilities identified in the |
11 | | utilization plan. |
12 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17.)
|
13 | | (30 ILCS 575/8) (from Ch. 127, par. 132.608)
|
14 | | (Section scheduled to be repealed on June 30, 2020)
|
15 | | Sec. 8. Enforcement. |
16 | | (1) The Council shall make such findings, recommendations
|
17 | | and proposals to the Governor as are necessary and appropriate |
18 | | to enforce
this Act. If, as a result of its monitoring |
19 | | activities, the Council determines
that its goals and policies |
20 | | are not being met by any State agency or public institution of |
21 | | higher education,
the Council
may recommend any or all of the |
22 | | following actions:
|
23 | | (a) Establish enforcement procedures whereby the |
24 | | Council may recommend
to the appropriate State agency, |
25 | | public institutions of higher education, or law |
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1 | | enforcement
officer that legal or
administrative remedies |
2 | | be initiated for violations of contract provisions
or rules |
3 | | issued hereunder or by a contracting State agency or public |
4 | | institutions of higher education. State agencies and |
5 | | public institutions of higher education
shall be |
6 | | authorized to adopt remedies for such violations which |
7 | | shall include
(1) termination of the contract involved, (2) |
8 | | prohibition of participation
of the respondents in public |
9 | | contracts for a period not to exceed one year,
(3) |
10 | | imposition of a penalty not to exceed any profit acquired |
11 | | as a result
of violation, or (4) any combination thereof.
|
12 | | (b) If the Council concludes that a compliance plan |
13 | | submitted under Section
6 is unlikely to produce the
|
14 | | participation
goals for businesses owned by minorities, |
15 | | women, veterans, and persons with
disabilities within the |
16 | | then current fiscal year, the Council may recommend
that
|
17 | | the State agency or public institution of higher education |
18 | | revise its plan to provide
additional
opportunities
for |
19 | | participation by businesses owned by minorities, women, |
20 | | veterans, and persons with disabilities. Such recommended |
21 | | revisions may
include, but shall not be limited to, the |
22 | | following:
|
23 | | (i) assurances of stronger and better focused |
24 | | solicitation efforts to
obtain more businesses owned |
25 | | by minorities, women, veterans, and persons with |
26 | | disabilities as potential sources of
supply;
|
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1 | | (ii) division of job or project requirements, when |
2 | | economically feasible,
into tasks or quantities to |
3 | | permit participation of
businesses owned by |
4 | | minorities, women, veterans, and persons with |
5 | | disabilities;
|
6 | | (iii) elimination of extended experience or |
7 | | capitalization requirements,
when programmatically |
8 | | feasible, to permit participation of businesses owned |
9 | | by minorities, women, veterans, and persons with
|
10 | | disabilities;
|
11 | | (iv) identification of specific proposed contracts |
12 | | as particularly
attractive or appropriate for |
13 | | participation by
businesses owned by minorities, |
14 | | women, veterans, and persons with disabilities,
such |
15 | | identification to result from and be coupled with the
|
16 | | efforts of subparagraphs
(i) through (iii);
|
17 | | (v) implementation of those regulations |
18 | | established for the use of the
sheltered market |
19 | | process.
|
20 | | (2) State agencies and public institutions of higher |
21 | | education shall review a vendor's compliance with its |
22 | | utilization plan and the terms of its contract. Without |
23 | | limitation, a vendor's failure to comply with its contractual |
24 | | commitments as contained in the utilization plan; failure to |
25 | | cooperate in providing information regarding its compliance |
26 | | with its utilization plan; or the provision of false or |
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1 | | misleading information or statements concerning compliance, |
2 | | certification status, or eligibility of the Business |
3 | | Enterprise Program-certified vendor, good faith efforts, or |
4 | | any other material fact or representation shall constitute a |
5 | | material breach of the contract and entitle the State agency or |
6 | | public institution of higher education to declare a default, |
7 | | terminate the contract, or exercise those remedies provided for |
8 | | in the contract, at law, or in equity. |
9 | | (3) A vendor shall be in breach of the contract and may be |
10 | | subject to penalties for failure to meet contract goals |
11 | | established under this Act, unless the vendor can show that it |
12 | | made good faith efforts to meet the contract goals. |
13 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17.)
|
14 | | (30 ILCS 575/8a) (from Ch. 127, par. 132.608a)
|
15 | | (Section scheduled to be repealed on June 30, 2020)
|
16 | | Sec. 8a. Advance and progress payments. Any contract |
17 | | awarded to a business
owned by a minority, woman, veteran, or |
18 | | person with a disability
pursuant to this Act may contain a |
19 | | provision for advance or progress
payments, or both, except |
20 | | that a State construction contract awarded to a businesses |
21 | | owned by minorities, women, veterans, and persons with |
22 | | disabilities minority-owned
or women-owned business pursuant |
23 | | to this Act may contain a
provision for progress payments but |
24 | | may not contain a provision for
advance payments.
|
25 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
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1 | | (30 ILCS 575/8b) (from Ch. 127, par. 132.608b)
|
2 | | (Section scheduled to be repealed on June 30, 2020)
|
3 | | Sec. 8b. Scheduled council meetings; sheltered market. The |
4 | | Council shall
conduct regular meetings to carry out its
|
5 | | responsibilities under this Act. At each of the regularly |
6 | | scheduled
meetings, time shall be allocated for the Council to |
7 | | receive, review and
discuss any evidence regarding past or |
8 | | present racial, ethnic or gender
based discrimination which |
9 | | directly impacts State contracting with businesses
owned by |
10 | | minorities, women, veterans, and persons with
disabilities. If |
11 | | after reviewing such evidence the Council
finds that there is |
12 | | or has been such discrimination against a specific
group, race |
13 | | or sex, the Council shall establish sheltered markets
or adjust |
14 | | existing sheltered markets
tailored to address the Council's |
15 | | specific findings.
|
16 | | "Sheltered market" shall mean a procurement procedure |
17 | | whereby certain
contracts are selected and specifically set |
18 | | aside for businesses owned by
minorities, women, veterans, and |
19 | | persons with
disabilities on a competitive bid or negotiated |
20 | | basis.
|
21 | | As part of the annual report which the Council must file |
22 | | pursuant to
paragraph (e) of subsection (2) of Section 5, the |
23 | | Council shall report on
any findings made pursuant to this |
24 | | Section.
|
25 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
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1 | | (30 ILCS 575/8f)
|
2 | | (Section scheduled to be repealed on June 30, 2020)
|
3 | | Sec. 8f. Annual report. The Council shall file no later |
4 | | than March 1
of each year, an annual report that shall detail |
5 | | the level of achievement
toward the
goals specified in this Act |
6 | | over the 3 most recent fiscal years. The annual
report shall |
7 | | include, but need not be limited to the following:
|
8 | | (1) a summary detailing expenditures subject to the |
9 | | goals, the
actual goals specified, and the goals attained |
10 | | by each State agency and public institution of higher |
11 | | education;
|
12 | | (2) a summary of the number of contracts awarded and |
13 | | the average contract
amount by each State agency and public |
14 | | institution of higher education;
|
15 | | (3) an analysis of the level of overall goal |
16 | | achievement concerning
purchases
from minority-owned |
17 | | businesses, women-owned businesses, veteran-owned |
18 | | businesses, and businesses owned by
persons with |
19 | | disabilities;
|
20 | | (4) an analysis of the number of businesses owned by |
21 | | minorities, women, veterans,
and persons with disabilities |
22 | | that are certified under the program as well as
the number |
23 | | of those businesses that received State procurement |
24 | | contracts; and
|
25 | | (5) a summary of the number of contracts awarded to |
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1 | | businesses with annual
gross sales of less than $1,000,000; |
2 | | of $1,000,000 or more, but less than
$5,000,000; of
|
3 | | $5,000,000 or more, but less than $10,000,000; and of |
4 | | $10,000,000 or more.
|
5 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17.)
|
6 | | (30 ILCS 575/8g) |
7 | | (Section scheduled to be repealed on June 30, 2020) |
8 | | Sec. 8g. Business Enterprise Program Council reports. |
9 | | (a) The Department of Central Management Services shall |
10 | | provide a report to the Council identifying all State agency |
11 | | non-construction solicitations that exceed $20,000,000 and |
12 | | that have less than a 20% established goal prior to |
13 | | publication. |
14 | | (b) The Department of Central Management Services shall |
15 | | provide a report to the Council identifying all State agency |
16 | | non-construction awards that exceed $20,000,000. The report |
17 | | shall contain the following: (i) the name of the awardee; (ii) |
18 | | the total bid amount; (iii) the established Business Enterprise |
19 | | Program goal; (iv) the dollar amount and percentage of |
20 | | participation by businesses owned by minorities, women, |
21 | | veterans, and persons with disabilities; and (v) the names of |
22 | | the certified firms identified in the utilization plan.
|
23 | | (Source: P.A. 100-391, eff. 8-25-17; 100-863, eff. 8-14-18.) |
24 | | (30 ILCS 575/8h) |
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1 | | (Section scheduled to be repealed on June 30, 2020) |
2 | | Sec. 8h. Encouragement for telecom and communications |
3 | | entities to submit supplier diversity reports. |
4 | | (1) The following entities that do business in Illinois or |
5 | | serve Illinois customers shall be subject to this Section: |
6 | | (i) all local exchange telecommunications carriers |
7 | | with at least 35,000 subscriber access lines; |
8 | | (ii) cable and video providers, as defined in Section |
9 | | 21-20l of the Public Utilities Act; |
10 | | (iii) interconnected VoIP providers, as defined in |
11 | | Section 13-235 of the Public Utilities Act; |
12 | | (iv) wireless service providers; |
13 | | (v) broadband internet access services providers; and |
14 | | (vi) any other entity that provides messaging, voice, |
15 | | or video services via the Internet or a social media |
16 | | platform. |
17 | | (2) Each entity subject to this Section may submit to the |
18 | | Illinois Commerce Commission and the Business Enterprise |
19 | | Council an annual report by April 15, 20l8, and every April 15 |
20 | | thereafter, which provides, for the previous calendar year, |
21 | | information and data on diversity goals, and progress toward |
22 | | achieving those goals, by certified businesses owned by |
23 | | minorities, women, veterans, and persons with disabilities , |
24 | | and service-disabled veterans, provided that if the entity does |
25 | | not track such information and data for businesses owned by |
26 | | service-disabled veterans, the entity may provide information |
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1 | | and data for businesses owned by veterans . |
2 | | The diversity report shall include the following: |
3 | | (i) Overall annual spending on all such certified |
4 | | businesses. |
5 | | (ii) A narrative description of the entity's supplier |
6 | | diversity goals and plans for meeting those goals. |
7 | | (iii) The entity's best estimate of its annual spending |
8 | | in professional services and spending with certified |
9 | | businesses owned by minorities, women, veterans, and |
10 | | persons with disabilities , and service-disabled veterans |
11 | | (or veterans, if the reporting entity does not track |
12 | | spending with service-disabled veterans) , including, but |
13 | | not limited to, the following professional services |
14 | | categories: accounting; architecture and engineering; |
15 | | consulting; information technology; insurance; financial, |
16 | | legal, and marketing services; and other professional |
17 | | services. The diversity report shall also include the |
18 | | entity's overall annual spending in the listed |
19 | | professional service categories. For the diversity reports |
20 | | due on April 15, 2018 and April 15, 2019, the information |
21 | | on annual spending with certified businesses for |
22 | | professional services required by this Section may be |
23 | | provided for all professional services on an aggregated |
24 | | basis. |
25 | | (iv) Beginning with the diversity report due on April |
26 | | 15, 2020, the total number and percentage of women , |
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1 | | veterans, and minorities that provided services for each |
2 | | construction project in the State. |
3 | | An entity subject to this Section which is part of an |
4 | | affiliated group of entities may provide information for the |
5 | | affiliated group as a whole. |
6 | | (3) Any entity that is subject to this Section that does |
7 | | not submit a report shall be reported by the Business |
8 | | Enterprise Council to each chief procurement officer. Upon |
9 | | receiving a report from the Business Enterprise Council, the |
10 | | chief procurement officer may prohibit any entities that do not |
11 | | submit a report from bidding on State contracts for a period of |
12 | | one year beginning the first day of the following fiscal year |
13 | | and post on its respective bulletin the names of all entities |
14 | | that fail to comply with the provisions of this Section. |
15 | | (4) A vendor may appeal any of the actions taken pursuant |
16 | | to this Section in the same manner as a vendor denied |
17 | | certification, by following the appeal procedures in the |
18 | | administrative rules created pursuant to this Act.
|
19 | | (Source: P.A. 100-391, eff. 8-25-17.) |
20 | | Section 110. The Illinois Income Tax Act is amended by |
21 | | changing Section 220 as follows: |
22 | | (35 ILCS 5/220) |
23 | | Sec. 220. Angel investment credit. |
24 | | (a) As used in this Section: |
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1 | | "Applicant" means a corporation, partnership, limited |
2 | | liability company, or a natural person that makes an investment |
3 | | in a qualified new business venture. The term "applicant" does |
4 | | not include (i) a corporation, partnership, limited liability |
5 | | company, or a natural person who has a direct or indirect |
6 | | ownership interest of at least 51% in the profits, capital, or |
7 | | value of the qualified new business venture receiving the |
8 | | investment or (ii) a related member. |
9 | | "Claimant" means an applicant certified by the Department |
10 | | who files a claim for a credit under this Section. |
11 | | "Department" means the Department of Commerce and Economic |
12 | | Opportunity. |
13 | | "Investment" means money (or its equivalent) given to a |
14 | | qualified new business venture, at a risk of loss, in |
15 | | consideration for an equity interest of the qualified new |
16 | | business venture. The Department may adopt rules to permit |
17 | | certain forms of contingent equity investments to be considered |
18 | | eligible for a tax credit under this Section. |
19 | | "Qualified new business venture" means a business that is |
20 | | registered with the Department under this Section. |
21 | | "Related member" means a person that, with respect to the
|
22 | | applicant, is any one of the following: |
23 | | (1) An individual, if the individual and the members of |
24 | | the individual's family (as defined in Section 318 of the |
25 | | Internal Revenue Code) own directly, indirectly,
|
26 | | beneficially, or constructively, in the aggregate, at |
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1 | | least 50% of the value of the outstanding profits, capital, |
2 | | stock, or other ownership interest in the qualified new |
3 | | business venture that is the recipient of the applicant's |
4 | | investment. |
5 | | (2) A partnership, estate, or trust and any partner or |
6 | | beneficiary, if the partnership, estate, or trust and its |
7 | | partners or beneficiaries own directly, indirectly, |
8 | | beneficially, or constructively, in the aggregate, at |
9 | | least 50% of the profits, capital, stock, or other |
10 | | ownership interest in the qualified new business venture |
11 | | that is the recipient of the applicant's investment. |
12 | | (3) A corporation, and any party related to the |
13 | | corporation in a manner that would require an attribution |
14 | | of stock from the corporation under the attribution rules
|
15 | | of Section 318 of the Internal Revenue Code, if the |
16 | | applicant and any other related member own, in the |
17 | | aggregate, directly, indirectly, beneficially, or |
18 | | constructively, at least 50% of the value of the |
19 | | outstanding stock of the qualified new business venture |
20 | | that is the recipient of the applicant's investment. |
21 | | (4) A corporation and any party related to that |
22 | | corporation in a manner that would require an attribution |
23 | | of stock from the corporation to the party or from the
|
24 | | party to the corporation under the attribution rules of |
25 | | Section 318 of the Internal Revenue Code, if the |
26 | | corporation and all such related parties own, in the |
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1 | | aggregate, at least 50% of the profits, capital, stock, or |
2 | | other ownership interest in the qualified new business |
3 | | venture that is the recipient of the applicant's |
4 | | investment. |
5 | | (5) A person to or from whom there is attribution of |
6 | | ownership of stock in the qualified new business venture |
7 | | that is the recipient of the applicant's investment in |
8 | | accordance with Section 1563(e) of the Internal Revenue |
9 | | Code, except that for purposes of determining whether a |
10 | | person is a related member under this paragraph, "20%" |
11 | | shall be substituted for "5%" whenever "5%" appears in |
12 | | Section 1563(e) of the Internal Revenue Code. |
13 | | (b) For taxable years beginning after December 31, 2010, |
14 | | and ending on or before December 31, 2021, subject to the |
15 | | limitations provided in this Section, a claimant may claim, as |
16 | | a credit against the tax imposed under subsections (a) and (b) |
17 | | of Section 201 of this Act, an amount equal to 25% of the |
18 | | claimant's investment made directly in a qualified new business |
19 | | venture. In order for an investment in a qualified new business |
20 | | venture to be eligible for tax credits, the business must have |
21 | | applied for and received certification under subsection (e) for |
22 | | the taxable year in which the investment was made prior to the |
23 | | date on which the investment was made. The credit under this |
24 | | Section may not exceed the taxpayer's Illinois income tax |
25 | | liability for the taxable year. If the amount of the credit |
26 | | exceeds the tax liability for the year, the excess may be |
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1 | | carried forward and applied to the tax liability of the 5 |
2 | | taxable years following the excess credit year. The credit |
3 | | shall be applied to the earliest year for which there is a tax |
4 | | liability. If there are credits from more than one tax year |
5 | | that are available to offset a liability, the earlier credit |
6 | | shall be applied first. In the case of a partnership or |
7 | | Subchapter S Corporation, the credit is allowed to the partners |
8 | | or shareholders in accordance with the determination of income |
9 | | and distributive share of income under Sections 702 and 704 and |
10 | | Subchapter S of the Internal Revenue Code. |
11 | | (c) The minimum amount an applicant must invest in any |
12 | | single qualified new business venture in order to be eligible |
13 | | for a credit under this Section is $10,000. The maximum amount |
14 | | of an applicant's total investment made in any single qualified |
15 | | new business venture that may be used as the basis for a credit |
16 | | under this Section is $2,000,000. |
17 | | (d) The Department shall implement a program to certify an |
18 | | applicant for an angel investment credit. Upon satisfactory |
19 | | review, the Department shall issue a tax credit certificate |
20 | | stating the amount of the tax credit to which the applicant is |
21 | | entitled. The Department shall annually certify that: (i) each |
22 | | qualified new business venture that receives an angel |
23 | | investment under this Section has maintained a minimum |
24 | | employment threshold, as defined by rule, in the State (and |
25 | | continues to maintain a minimum employment threshold in the |
26 | | State for a period of no less than 3 years from the issue date |
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1 | | of the last tax credit certificate issued by the Department |
2 | | with respect to such business pursuant to this Section); and |
3 | | (ii) the claimant's investment has been made and remains, |
4 | | except in the event of a qualifying liquidity event, in the |
5 | | qualified new business venture for no less than 3 years. |
6 | | If an investment for which a claimant is allowed a credit |
7 | | under subsection (b) is held by the claimant for less than 3 |
8 | | years, other than as a result of a permitted sale of the |
9 | | investment to person who is not a related member, the claimant |
10 | | shall pay to the Department of Revenue, in the manner |
11 | | prescribed by the Department of Revenue, the aggregate amount |
12 | | of the disqualified credits that the claimant received related |
13 | | to the subject investment. |
14 | | If the Department determines that a qualified new business |
15 | | venture failed to maintain a minimum employment threshold in |
16 | | the State through the date which is 3 years from the issue date |
17 | | of the last tax credit certificate issued by the Department |
18 | | with respect to the subject business pursuant to this Section, |
19 | | the claimant or claimants shall pay to the Department of |
20 | | Revenue, in the manner prescribed by the Department of Revenue, |
21 | | the aggregate amount of the disqualified credits that claimant |
22 | | or claimants received related to investments in that business. |
23 | | (e) The Department shall implement a program to register |
24 | | qualified new business ventures for purposes of this Section. A |
25 | | business desiring registration under this Section shall be |
26 | | required to submit a full and complete application to the |
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1 | | Department. A submitted application shall be effective only for |
2 | | the taxable year in which it is submitted, and a business |
3 | | desiring registration under this Section shall be required to |
4 | | submit a separate application in and for each taxable year for |
5 | | which the business desires registration. Further, if at any |
6 | | time prior to the acceptance of an application for registration |
7 | | under this Section by the Department one or more events occurs |
8 | | which makes the information provided in that application |
9 | | materially false or incomplete (in whole or in part), the |
10 | | business shall promptly notify the Department of the same. Any |
11 | | failure of a business to promptly provide the foregoing |
12 | | information to the Department may, at the discretion of the |
13 | | Department, result in a revocation of a previously approved |
14 | | application for that business, or disqualification of the |
15 | | business from future registration under this Section, or both. |
16 | | The Department may register the business only if all of the |
17 | | following conditions are satisfied: |
18 | | (1) it has its principal place of business in this |
19 | | State; |
20 | | (2) at least 51% of the employees employed by the |
21 | | business are employed in this State; |
22 | | (3) the business has the potential for increasing jobs |
23 | | in this State, increasing capital investment in this State, |
24 | | or both, as determined by the Department, and either of the |
25 | | following apply: |
26 | | (A) it is principally engaged in innovation in any |
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1 | | of the following: manufacturing; biotechnology; |
2 | | nanotechnology; communications; agricultural sciences; |
3 | | clean energy creation or storage technology; |
4 | | processing or assembling products, including medical |
5 | | devices, pharmaceuticals, computer software, computer |
6 | | hardware, semiconductors, other innovative technology |
7 | | products, or other products that are produced using |
8 | | manufacturing methods that are enabled by applying |
9 | | proprietary technology; or providing services that are |
10 | | enabled by applying proprietary technology; or |
11 | | (B) it is undertaking pre-commercialization |
12 | | activity related to proprietary technology that |
13 | | includes conducting research, developing a new product |
14 | | or business process, or developing a service that is |
15 | | principally reliant on applying proprietary |
16 | | technology; |
17 | | (4) it is not principally engaged in real estate |
18 | | development, insurance, banking, lending, lobbying, |
19 | | political consulting, professional services provided by |
20 | | attorneys, accountants, business consultants, physicians, |
21 | | or health care consultants, wholesale or retail trade, |
22 | | leisure, hospitality, transportation, or construction, |
23 | | except construction of power production plants that derive |
24 | | energy from a renewable energy resource, as defined in |
25 | | Section 1 of the Illinois Power Agency Act; |
26 | | (5) at the time it is first certified: |
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1 | | (A) it has fewer than 100 employees; |
2 | | (B) it has been in operation in Illinois for not |
3 | | more than 10 consecutive years prior to the year of |
4 | | certification; and |
5 | | (C) it has received not more than $10,000,000 in |
6 | | aggregate investments; |
7 | | (5.1) it agrees to maintain a minimum employment |
8 | | threshold in the State of Illinois prior to the date which |
9 | | is 3 years from the issue date of the last tax credit |
10 | | certificate issued by the Department with respect to that |
11 | | business pursuant to this Section; |
12 | | (6) (blank); and |
13 | | (7) it has received not more than $4,000,000 in |
14 | | investments that qualified for tax credits under this |
15 | | Section. |
16 | | (f) The Department, in consultation with the Department of |
17 | | Revenue, shall adopt rules to administer this Section. The |
18 | | aggregate amount of the tax credits that may be claimed under |
19 | | this Section for investments made in qualified new business |
20 | | ventures shall be limited at $10,000,000 per calendar year, of |
21 | | which $500,000 shall be reserved for investments made in |
22 | | qualified new business ventures which are minority-owned |
23 | | businesses, women-owned female-owned businesses, veteran-owned |
24 | | businesses, or businesses owned by a person with a disability |
25 | | (as those terms are used and defined in the Business Enterprise |
26 | | for Minorities, Women, Veterans, and Persons with Disabilities |
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1 | | Act), and an additional $500,000 shall be reserved for |
2 | | investments made in qualified new business ventures with their |
3 | | principal place of business in counties with a population of |
4 | | not more than 250,000. The foregoing annual allowable amounts |
5 | | shall be allocated by the Department, on a per calendar quarter |
6 | | basis and prior to the commencement of each calendar year, in |
7 | | such proportion as determined by the Department, provided that: |
8 | | (i) the amount initially allocated by the Department for any |
9 | | one calendar quarter shall not exceed 35% of the total |
10 | | allowable amount; (ii) any portion of the allocated allowable |
11 | | amount remaining unused as of the end of any of the first 3 |
12 | | calendar quarters of a given calendar year shall be rolled |
13 | | into, and added to, the total allocated amount for the next |
14 | | available calendar quarter; and (iii) the reservation of tax |
15 | | credits for investments in minority-owned businesses, |
16 | | women-owned businesses, veteran-owned businesses, businesses |
17 | | owned by a person with a disability, and in businesses in |
18 | | counties with a population of not more than 250,000 is limited |
19 | | to the first 3 calendar quarters of a given calendar year, |
20 | | after which they may be claimed by investors in any qualified |
21 | | new business venture. |
22 | | (g) A claimant may not sell or otherwise transfer a credit |
23 | | awarded under this Section to another person. |
24 | | (h) On or before March 1 of each year, the Department shall |
25 | | report to the Governor and to the General Assembly on the tax |
26 | | credit certificates awarded under this Section for the prior |
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1 | | calendar year. |
2 | | (1) This report must include, for each tax credit |
3 | | certificate awarded: |
4 | | (A) the name of the claimant and the amount of |
5 | | credit awarded or allocated to that claimant; |
6 | | (B) the name and address (including the county) of |
7 | | the qualified new business venture that received the |
8 | | investment giving rise to the credit, the North |
9 | | American Industry Classification System (NAICS) code |
10 | | applicable to that qualified new business venture, and |
11 | | the number of employees of the qualified new business |
12 | | venture; and |
13 | | (C) the date of approval by the Department of each |
14 | | claimant's tax credit certificate. |
15 | | (2) The report must also include: |
16 | | (A) the total number of applicants and the total |
17 | | number of claimants, including the amount of each tax |
18 | | credit certificate awarded to a claimant under this |
19 | | Section in the prior calendar year; |
20 | | (B) the total number of applications from |
21 | | businesses seeking registration under this Section, |
22 | | the total number of new qualified business ventures |
23 | | registered by the Department, and the aggregate amount |
24 | | of investment upon which tax credit certificates were |
25 | | issued in the prior calendar year; and |
26 | | (C) the total amount of tax credit certificates |
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1 | | sought by applicants, the amount of each tax credit |
2 | | certificate issued to a claimant, the aggregate amount |
3 | | of all tax credit certificates issued in the prior |
4 | | calendar year and the aggregate amount of tax credit |
5 | | certificates issued as authorized under this Section |
6 | | for all calendar years.
|
7 | | (i) For each business seeking registration under this |
8 | | Section after December 31, 2016, the Department shall require |
9 | | the business to include in its application the North American |
10 | | Industry Classification System (NAICS) code applicable to the |
11 | | business and the number of employees of the business at the |
12 | | time of application. Each business registered by the Department |
13 | | as a qualified new business venture that receives an investment |
14 | | giving rise to the issuance of a tax credit certificate |
15 | | pursuant to this Section shall, for each of the 3 years |
16 | | following the issue date of the last tax credit certificate |
17 | | issued by the Department with respect to such business pursuant |
18 | | to this Section, report to the Department the following: |
19 | | (1) the number of employees and the location at which |
20 | | those employees are employed, both as of the end of each |
21 | | year; |
22 | | (2) the amount of additional new capital investment |
23 | | raised as of the end of each year, if any; and |
24 | | (3) the terms of any liquidity event occurring during |
25 | | such year; for the purposes of this Section, a "liquidity |
26 | | event" means any event that would be considered an exit for |
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1 | | an illiquid investment, including any event that allows the |
2 | | equity holders of the business (or any material portion |
3 | | thereof) to cash out some or all of their respective equity |
4 | | interests. |
5 | | (Source: P.A. 100-328, eff. 1-1-18; 100-686, eff. 1-1-19; |
6 | | 100-863, eff. 8-14-18; revised 10-5-18.) |
7 | | Section 115. The Film
Production Services Tax Credit Act of |
8 | | 2008 is amended by changing Sections 30 and 45 as follows: |
9 | | (35 ILCS 16/30)
|
10 | | Sec. 30. Review of application for accredited production |
11 | | certificate.
|
12 | | (a) In
determining whether to issue an accredited |
13 | | production certificate,
the Department must determine that a |
14 | | preponderance of the following conditions
exist:
|
15 | | (1) The applicant's production intends to make the |
16 | | expenditure in the
State required for certification.
|
17 | | (2) The applicant's production is economically sound |
18 | | and will benefit the
people of the State of Illinois by |
19 | | increasing opportunities for employment and
strengthen the |
20 | | economy of Illinois.
|
21 | | (3) The applicant has filed a diversity plan with the |
22 | | Department outlining specific goals (i) for hiring |
23 | | minority persons and women, as defined in the Business |
24 | | Enterprise for Minorities, Women, Veterans, and Persons |
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1 | | with Disabilities Act, and (ii) for using vendors receiving |
2 | | certification under the Business Enterprise for |
3 | | Minorities, Women, Veterans, and Persons with Disabilities |
4 | | Act; the Department has approved the plan as meeting the |
5 | | requirements established by the Department; and the |
6 | | Department has verified that the applicant has met or made |
7 | | good-faith efforts in achieving those goals. The |
8 | | Department must adopt any rules that are necessary to |
9 | | ensure compliance with the provisions of this item (3) and |
10 | | that are necessary to require that the applicant's plan |
11 | | reflects the diversity of this State.
|
12 | | (4) The applicant's production application
indicates |
13 | | whether the applicant intends to participate in training, |
14 | | education,
and
recruitment programs that are organized in |
15 | | cooperation with Illinois colleges
and
universities,
labor |
16 | | organizations, and the motion picture industry and are |
17 | | designed to
promote
and
encourage the training and hiring |
18 | | of Illinois residents who represent the
diversity of the
|
19 | | Illinois population.
|
20 | | (5) That, if not for the credit, the applicant's |
21 | | production would not
occur in
Illinois, which may be |
22 | | demonstrated by any means including, but not limited to,
|
23 | | evidence that the applicant has multi-state or |
24 | | international location options
and could reasonably and |
25 | | efficiently locate outside of the State, or
demonstration |
26 | | that at least one other state or nation is being considered |
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1 | | for
the production, or evidence that the receipt of the |
2 | | credit is a major factor in
the
applicant's decision and |
3 | | that without the credit the applicant likely would
not |
4 | | create or retain jobs in Illinois, or demonstration that |
5 | | receiving the
credit is essential to the applicant's |
6 | | decision to create or retain new jobs in
the State.
|
7 | | (6) Awarding the credit will result in an overall |
8 | | positive impact
to the State, as determined by the |
9 | | Department using the best available
data.
|
10 | | (b) If any of the provisions in this Section conflict with |
11 | | any existing
collective
bargaining agreements, the terms and |
12 | | conditions of those collective bargaining
agreements shall |
13 | | control.
|
14 | | (Source: P.A. 100-391, eff. 8-25-17.) |
15 | | (35 ILCS 16/45)
|
16 | | Sec. 45. Evaluation of tax credit program; reports to the |
17 | | General Assembly. |
18 | | (a) The Department shall evaluate the tax credit program. |
19 | | The evaluation must include an assessment of the effectiveness |
20 | | of the program in creating and retaining new jobs in Illinois |
21 | | and of the revenue impact of the program, and may include a |
22 | | review of the practices and experiences of other states or |
23 | | nations with similar programs. Upon completion of this |
24 | | evaluation, the Department shall determine the overall success |
25 | | of the program, and may make a recommendation to extend, |
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1 | | modify, or not extend the program based on this evaluation. |
2 | | (b) At the end of each fiscal quarter, the Department must |
3 | | submit to the General Assembly a report that includes, without |
4 | | limitation, the following information: |
5 | | (1) the economic impact of the tax credit program,
|
6 | | including the number of jobs created and retained, |
7 | | including whether the job positions are entry level, |
8 | | management, talent-related, vendor-related, or |
9 | | production-related; |
10 | | (2) the amount of film production spending brought to
|
11 | | Illinois, including the amount of spending and type of |
12 | | Illinois vendors hired in connection with an accredited |
13 | | production; and |
14 | | (3) an overall picture of whether the human
|
15 | | infrastructure of the motion picture industry in Illinois |
16 | | reflects the geographical, racial and ethnic, gender, and |
17 | | income-level diversity of the State of Illinois.
|
18 | | (c) At the end of each fiscal year, the Department must
|
19 | | submit to the General Assembly a report that includes the |
20 | | following information: |
21 | | (1) an identification of each vendor that provided
|
22 | | goods or services that were included in an accredited |
23 | | production's Illinois production spending, provided that |
24 | | the accredited production's Illinois production spending |
25 | | attributable to that vendor exceeds, in the aggregate, |
26 | | $10,000 or 10% of the accredited production's Illinois |
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1 | | production spending, whichever is less; |
2 | | (2) the amount paid to each identified vendor by the
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3 | | accredited production; |
4 | | (3) for each identified vendor, a statement as to
|
5 | | whether the vendor is a minority-owned business or a |
6 | | women-owned business, as defined under Section 2 of the |
7 | | Business Enterprise for Minorities, Women, Veterans, and |
8 | | Persons with Disabilities Act, based on the best efforts of |
9 | | an accredited production; and |
10 | | (4) a description of any steps taken by the
Department |
11 | | to encourage accredited productions to use vendors who are |
12 | | a minority-owned business or a women-owned business.
|
13 | | (Source: P.A. 100-391, eff. 8-25-17; 100-603, eff. 7-13-18; |
14 | | revised 7-31-18.) |
15 | | Section 120. The Live Theater Production Tax Credit Act is |
16 | | amended by changing Sections 10-30 and 10-50 as follows: |
17 | | (35 ILCS 17/10-30)
|
18 | | Sec. 10-30. Review of application for accredited theater |
19 | | production certificate. |
20 | | (a) The Department shall issue an accredited theater |
21 | | production certificate to an applicant if it finds that by a |
22 | | preponderance the following conditions exist: |
23 | | (1) the applicant intends to make the expenditure in |
24 | | the State required for certification of the accredited |
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1 | | theater production; |
2 | | (2) the applicant's accredited theater production is |
3 | | economically sound and will benefit the people of the State |
4 | | of Illinois by increasing opportunities for employment and |
5 | | will strengthen the economy of Illinois; |
6 | | (3) the following requirements related to the |
7 | | implementation of a diversity plan have been met: (i) the |
8 | | applicant has filed with the Department a diversity plan |
9 | | outlining specific goals for hiring Illinois labor |
10 | | expenditure eligible minority persons and women, as |
11 | | defined in the Business Enterprise for Minorities, Women, |
12 | | Veterans, and Persons with Disabilities Act, and for using |
13 | | vendors receiving certification under the Business |
14 | | Enterprise for Minorities, Women, Veterans, and Persons |
15 | | with Disabilities Act; (ii) the Department has approved the |
16 | | plan as meeting the requirements established by the |
17 | | Department and verified that the applicant has met or made |
18 | | good faith efforts in achieving those goals; and (iii) the |
19 | | Department has adopted any rules that are necessary to |
20 | | ensure compliance with the provisions set forth in this |
21 | | paragraph and necessary to require that the applicant's |
22 | | plan reflects the diversity of the population of this |
23 | | State; |
24 | | (4) the applicant's accredited theater production |
25 | | application indicates whether the applicant intends to |
26 | | participate in training, education, and recruitment |
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1 | | programs that are organized in cooperation with Illinois |
2 | | colleges and universities, labor organizations, and the |
3 | | holders of accredited theater production certificates and |
4 | | are designed to promote and encourage the training and |
5 | | hiring of Illinois residents who represent the diversity of |
6 | | Illinois; |
7 | | (5) if not for the tax credit award, the applicant's |
8 | | accredited theater production would not occur in Illinois, |
9 | | which may be demonstrated by any means, including, but not |
10 | | limited to, evidence that: (i) the applicant, presenter, |
11 | | owner, or licensee of the production rights has other state |
12 | | or international location options at which to present the |
13 | | production and could reasonably and efficiently locate |
14 | | outside of the State, (ii) at least one other state or |
15 | | nation could be considered for the production, (iii) the |
16 | | receipt of the tax award credit is a major factor in the |
17 | | decision of the applicant, presenter, production owner or |
18 | | licensee as to where the production will be presented and |
19 | | that without the tax credit award the applicant likely |
20 | | would not create or retain jobs in Illinois, or (iv) |
21 | | receipt of the tax credit award is essential to the |
22 | | applicant's decision to create or retain new jobs in the |
23 | | State; and |
24 | | (6) the tax credit award will result in an overall |
25 | | positive impact to the State, as determined by the |
26 | | Department using the best available data. |
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1 | | (b) If any of the provisions in this Section conflict with |
2 | | any existing collective bargaining agreements, the terms and |
3 | | conditions of those collective bargaining agreements shall |
4 | | control.
|
5 | | (c) The Department shall act expeditiously regarding |
6 | | approval of applications for accredited theater production |
7 | | certificates so as to accommodate the pre-production work, |
8 | | booking, commencement of ticket sales, determination of |
9 | | performance dates, load in, and other matters relating to the |
10 | | live theater productions for which approval is sought.
|
11 | | (Source: P.A. 100-391, eff. 8-25-17.) |
12 | | (35 ILCS 17/10-50)
|
13 | | Sec. 10-50. Live theater tax credit award program |
14 | | evaluation and reports. |
15 | | (a) The Department's live theater tax credit award |
16 | | evaluation must include: |
17 | | (i) an assessment of the effectiveness of the program |
18 | | in creating and retaining new jobs in Illinois; |
19 | | (ii) an assessment of the revenue impact of the |
20 | | program; |
21 | | (iii) in the discretion of the Department, a review of |
22 | | the practices and experiences of other states or nations |
23 | | with similar programs; and |
24 | | (iv) an assessment of the overall success of the |
25 | | program. The Department may make a recommendation to |
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1 | | extend, modify, or not extend the program based on the |
2 | | evaluation. |
3 | | (b) At the end of each fiscal quarter, the Department shall |
4 | | submit to the General Assembly a report that includes, without |
5 | | limitation: |
6 | | (i) an assessment of the economic impact of the |
7 | | program, including the number of jobs created and retained, |
8 | | and whether the job positions are entry level, management, |
9 | | vendor, or production related; |
10 | | (ii) the amount of accredited theater production |
11 | | spending brought to Illinois, including the amount of |
12 | | spending and type of Illinois vendors hired in connection |
13 | | with an accredited theater production; and |
14 | | (iii) a determination of whether those receiving |
15 | | qualifying Illinois labor expenditure salaries or wages |
16 | | reflect the geographical, racial and ethnic, gender, and |
17 | | income level diversity of the State of Illinois. |
18 | | (c) At the end of each fiscal year, the Department shall |
19 | | submit to the General Assembly a report that includes, without |
20 | | limitation: |
21 | | (i) the identification of each vendor that provided |
22 | | goods or services that were included in an accredited |
23 | | theater production's Illinois production spending; |
24 | | (ii) a statement of the amount paid to each identified |
25 | | vendor by the accredited theater production and whether the |
26 | | vendor is a minority-owned or women-owned business as |
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1 | | defined in Section 2 of the Business Enterprise for |
2 | | Minorities, Women, Veterans, and Persons with Disabilities |
3 | | Act; and |
4 | | (iii) a description of the steps taken by the |
5 | | Department to encourage accredited theater productions to |
6 | | use vendors who are minority-owned or women-owned |
7 | | businesses.
|
8 | | (Source: P.A. 100-391, eff. 8-25-17.) |
9 | | Section 125. The Illinois Pension Code is amended by |
10 | | changing Sections 1-109.1, 1-113.21, and 1-113.22 as follows:
|
11 | | (40 ILCS 5/1-109.1) (from Ch. 108 1/2, par. 1-109.1)
|
12 | | Sec. 1-109.1. Allocation and delegation of fiduciary |
13 | | duties.
|
14 | | (1) Subject to the provisions of Section 22A-113 of this |
15 | | Code and
subsections (2) and (3) of this Section, the board of |
16 | | trustees of a
retirement system or pension fund established |
17 | | under this Code may:
|
18 | | (a) Appoint one or more investment managers as |
19 | | fiduciaries to manage
(including the power to acquire and |
20 | | dispose of) any assets of the
retirement system or pension |
21 | | fund; and
|
22 | | (b) Allocate duties among themselves and designate |
23 | | others as fiduciaries
to carry out specific fiduciary |
24 | | activities other than the management of the
assets of the |
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1 | | retirement system or pension fund.
|
2 | | (2) The board of trustees of a pension fund established |
3 | | under Article 5, 6,
8, 9, 10, 11, 12 or 17 of this Code may not |
4 | | transfer its investment authority,
nor transfer the assets of |
5 | | the fund to any other person or entity for the
purpose of |
6 | | consolidating or merging its assets and management with any |
7 | | other
pension fund or public investment authority, unless the |
8 | | board resolution
authorizing such transfer is submitted for |
9 | | approval to the contributors and
pensioners of the fund at |
10 | | elections held not less than 30 days after the
adoption of such |
11 | | resolution by the board, and such resolution is approved by a
|
12 | | majority of the votes cast on the question in both the |
13 | | contributors election
and the pensioners election. The |
14 | | election procedures and qualifications
governing the election |
15 | | of trustees shall govern the submission of resolutions
for |
16 | | approval under this paragraph, insofar as they may be made |
17 | | applicable.
|
18 | | (3) Pursuant to subsections (h) and (i) of Section 6 of |
19 | | Article VII of
the Illinois Constitution, the investment |
20 | | authority of boards of trustees
of retirement systems and |
21 | | pension funds established under this Code is declared
to be a |
22 | | subject of exclusive State jurisdiction, and the concurrent |
23 | | exercise
by a home rule unit of any power affecting such |
24 | | investment authority is
hereby specifically denied and |
25 | | preempted.
|
26 | | (4) For the purposes of this Code, "emerging investment |
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1 | | manager" means a
qualified investment adviser that manages an |
2 | | investment portfolio of at
least $10,000,000 but less than |
3 | | $10,000,000,000 and is a
"minority-owned business", |
4 | | "women-owned business" , "veteran-owned business", or "business |
5 | | owned by a person with a disability" as those terms are
defined |
6 | | in the Business Enterprise for Minorities, Women, Veterans, and |
7 | | Persons with Disabilities Act.
|
8 | | It is hereby declared to be the public policy of the State |
9 | | of Illinois to
encourage the trustees of public employee |
10 | | retirement systems, pension funds, and investment boards
to use |
11 | | emerging investment managers in managing their system's |
12 | | assets, encompassing all asset classes, and increase the |
13 | | racial, ethnic, and gender diversity of its fiduciaries, to the
|
14 | | greatest extent feasible within the bounds of financial and |
15 | | fiduciary
prudence, and to take affirmative steps to remove any |
16 | | barriers to the full
participation in investment opportunities
|
17 | | afforded by those retirement systems, pension funds, and |
18 | | investment boards.
|
19 | | A On or before January 1, 2010, a retirement system, |
20 | | pension fund, or investment board subject to this Code, except |
21 | | those whose investments are restricted by Section 1-113.2 of |
22 | | this Code, shall adopt a policy that sets forth goals for |
23 | | utilization of emerging investment managers. This policy shall |
24 | | include quantifiable goals for the management of assets in |
25 | | specific asset classes by emerging investment managers. The |
26 | | retirement system, pension fund, or investment board shall |
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1 | | establish 4 3 separate goals for: (i) emerging investment |
2 | | managers that are minority-owned businesses; (ii) emerging |
3 | | investment managers that are women-owned businesses; and (iii) |
4 | | emerging investment managers that are veteran-owned |
5 | | businesses; and (iv) emerging investment managers that are |
6 | | businesses owned by a person with a disability. The goals |
7 | | established shall be based on the percentage of total dollar |
8 | | amount of investment service contracts let to minority-owned |
9 | | businesses, women-owned businesses, veteran-owned businesses, |
10 | | and businesses owned by a person with a disability, as those |
11 | | terms are defined in the Business Enterprise for Minorities, |
12 | | Women, Veterans, and Persons with Disabilities Act. The |
13 | | retirement system, pension fund, or investment board shall |
14 | | annually review the goals established under this subsection. |
15 | | If in any case an emerging investment manager meets the |
16 | | criteria established by a board for a specific search and meets |
17 | | the criteria established by a consultant for that search, then |
18 | | that emerging investment manager shall receive an invitation by |
19 | | the board of trustees, or an investment committee of the board |
20 | | of trustees, to present his or her firm for final consideration |
21 | | of a contract. In the case where multiple emerging investment |
22 | | managers meet the criteria of this Section, the staff may |
23 | | choose the most qualified firm or firms to present to the |
24 | | board.
|
25 | | The use of an emerging investment manager does not |
26 | | constitute a transfer
of investment authority for the purposes |
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1 | | of subsection (2) of this Section.
|
2 | | (5) Each retirement system, pension fund, or investment |
3 | | board subject to this Code, except those whose investments are |
4 | | restricted by Section 1-113.2 of this Code, shall establish a |
5 | | policy that sets forth goals for increasing the racial, ethnic, |
6 | | and gender diversity of its fiduciaries, including its |
7 | | consultants and senior staff. Each retirement system, pension |
8 | | fund, or
investment board shall make its best efforts to ensure |
9 | | that
the racial and ethnic makeup of its senior administrative
|
10 | | staff represents the racial and ethnic makeup of its
|
11 | | membership. Each system, fund, and investment board shall |
12 | | annually review the goals established under this subsection. |
13 | | (6) A On or before January 1, 2010, a retirement system, |
14 | | pension fund, or investment board subject to this Code, except |
15 | | those whose investments are restricted by Section 1-113.2 of |
16 | | this Code, shall adopt a policy that sets forth goals for |
17 | | utilization of businesses owned by minorities, women, |
18 | | veterans, and persons with disabilities for all contracts and |
19 | | services. The goals established shall be based on the |
20 | | percentage of total dollar amount of all contracts let to |
21 | | minority-owned businesses, women-owned businesses, |
22 | | veteran-owned businesses, and businesses owned by a person with |
23 | | a disability, as those terms are defined in the Business |
24 | | Enterprise for Minorities, Women, Veterans, and Persons with |
25 | | Disabilities Act. The retirement system, pension fund, or |
26 | | investment board shall annually review the goals established |
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1 | | under this subsection. |
2 | | (7) A On or before January 1, 2010, a retirement system, |
3 | | pension fund, or investment board subject to this Code, except |
4 | | those whose investments are restricted by Section 1-113.2 of |
5 | | this Code, shall adopt a policy that sets forth goals for |
6 | | increasing the utilization of minority broker-dealers. For the |
7 | | purposes of this Code, "minority broker-dealer" means a |
8 | | qualified broker-dealer who meets the definition of |
9 | | "minority-owned business", "women-owned business", |
10 | | "veteran-owned businesses", or "business owned by a person with |
11 | | a disability", as those terms are defined in the Business |
12 | | Enterprise for Minorities, Women, Veterans, and Persons with |
13 | | Disabilities Act. The retirement system, pension fund, or |
14 | | investment board shall annually review the goals established |
15 | | under this Section. |
16 | | (8) Each retirement system, pension fund, and investment |
17 | | board subject to this Code, except those whose investments are |
18 | | restricted by Section 1-113.2 of this Code, shall submit a |
19 | | report to the Governor and the General Assembly by January 1 of |
20 | | each year that includes the following: (i) the policy adopted |
21 | | under subsection (4) of this Section, including the names and |
22 | | addresses of the emerging investment managers used, percentage |
23 | | of the assets under the investment control of emerging |
24 | | investment managers for the 4 3 separate goals, and the actions |
25 | | it has undertaken to increase the use of emerging investment |
26 | | managers, including encouraging other investment managers to |
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1 | | use emerging investment managers as subcontractors when the |
2 | | opportunity arises; (ii) the policy adopted under subsection |
3 | | (5) of this Section; (iii) the policy adopted under subsection |
4 | | (6) of this Section; (iv) the policy adopted under subsection |
5 | | (7) of this Section, including specific actions undertaken to |
6 | | increase the use of minority broker-dealers; and (v) the policy |
7 | | adopted under subsection (9) of this Section. |
8 | | (9) A On or before February 1, 2015, a retirement system, |
9 | | pension fund, or investment board subject to this Code, except |
10 | | those whose investments are restricted by Section 1-113.2 of |
11 | | this Code, shall adopt a policy that sets forth goals for |
12 | | increasing the utilization of minority investment managers. |
13 | | For the purposes of this Code, "minority investment manager" |
14 | | means a qualified investment manager that manages an investment |
15 | | portfolio and meets the definition of "minority-owned |
16 | | business", "women-owned business", "veteran-owned business", |
17 | | or "business owned by a person with a disability", as those |
18 | | terms are defined in the Business Enterprise for Minorities, |
19 | | Women, Veterans, and Persons with Disabilities Act. |
20 | | It is hereby declared to be the public policy of the State |
21 | | of Illinois to
encourage the trustees of public employee |
22 | | retirement systems, pension funds, and investment boards
to use |
23 | | minority investment managers in managing their systems' |
24 | | assets, encompassing all asset classes, and to increase the |
25 | | racial, ethnic, and gender diversity of their fiduciaries, to |
26 | | the
greatest extent feasible within the bounds of financial and |
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1 | | fiduciary
prudence, and to take affirmative steps to remove any |
2 | | barriers to the full
participation in investment opportunities
|
3 | | afforded by those retirement systems, pension funds, and |
4 | | investment boards. |
5 | | The retirement system, pension fund, or investment board |
6 | | shall establish 4 3 separate goals for: (i) minority investment |
7 | | managers that are minority-owned businesses; (ii) minority |
8 | | investment managers that are women-owned businesses; and (iii) |
9 | | minority investment managers that are veteran-owned |
10 | | businesses; and (iv) minority investment managers that are |
11 | | businesses owned by a person with a disability. The retirement |
12 | | system, pension fund, or investment board shall annually review |
13 | | the goals established under this Section. |
14 | | If in any case a minority investment manager meets the |
15 | | criteria established by a board for a specific search and meets |
16 | | the criteria established by a consultant for that search, then |
17 | | that minority investment manager shall receive an invitation by |
18 | | the board of trustees, or an investment committee of the board |
19 | | of trustees, to present his or her firm for final consideration |
20 | | of a contract. In the case where multiple minority investment |
21 | | managers meet the criteria of this Section, the staff may |
22 | | choose the most qualified firm or firms to present to the |
23 | | board. |
24 | | The use of a minority investment manager does not |
25 | | constitute a transfer
of investment authority for the purposes |
26 | | of subsection (2) of this Section. |
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1 | | (10) It Beginning January 1, 2016, it shall be the |
2 | | aspirational goal for a retirement system, pension fund, or |
3 | | investment board subject to this Code to use emerging |
4 | | investment managers for not less than 20% of the total funds |
5 | | under management. Furthermore, it shall be the aspirational |
6 | | goal that not less than 20% of investment advisors be |
7 | | minorities, women, veterans, and persons with disabilities as |
8 | | those terms are defined in the Business Enterprise for |
9 | | Minorities, Women, Veterans, and Persons with Disabilities |
10 | | Act. It shall be the aspirational goal to utilize businesses |
11 | | owned by minorities, women, veterans, and persons with |
12 | | disabilities for not less than 20% of contracts awarded for |
13 | | "information technology services", "accounting services", |
14 | | "insurance brokers", "architectural and engineering services", |
15 | | and "legal services" as those terms are defined in the Act. |
16 | | (Source: P.A. 99-462, eff. 8-25-15; 100-391, eff. 8-25-17; |
17 | | 100-902, eff. 8-17-18.)
|
18 | | (40 ILCS 5/1-113.21) |
19 | | Sec. 1-113.21. Contracts for services. |
20 | | (a) No Beginning January 1, 2015, no contract, oral or |
21 | | written, for investment services, consulting services, or |
22 | | commitment to a private market fund shall be awarded by a |
23 | | retirement system, pension fund, or investment board |
24 | | established under this Code unless the investment advisor, |
25 | | consultant, or private market fund first discloses: |
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1 | | (1) the number of its investment and senior staff and |
2 | | the percentage of its investment and senior staff who are |
3 | | (i) a minority person, (ii) a woman, and (iii) a person |
4 | | with a disability; and |
5 | | (2) the number of contracts, oral or written, for |
6 | | investment services, consulting services, and professional |
7 | | and artistic services that the investment advisor, |
8 | | consultant, or private market fund has with (i) a |
9 | | minority-owned business, (ii) a women-owned business, or |
10 | | (iii) a business owned by a person with a disability , or |
11 | | (iv) a veteran-owned business ; and |
12 | | (3) the number of contracts, oral or written, for |
13 | | investment services, consulting services, and professional |
14 | | and artistic services the investment advisor, consultant, |
15 | | or private market fund has with a business other than (i) a |
16 | | minority-owned business, (ii) a women-owned business , or |
17 | | (iii) a business owned by a person with a disability , or |
18 | | (iv) a veteran-owned business , if more than 50% of services |
19 | | performed pursuant to the contract are performed by (i) a |
20 | | minority person, (ii) a woman, and (iii) a person with a |
21 | | disability , and (iv) a veteran . |
22 | | (b) The disclosures required by this Section shall be |
23 | | considered, within the bounds of financial and fiduciary |
24 | | prudence, prior to the awarding of a contract, oral or written, |
25 | | for investment services, consulting services, or commitment to |
26 | | a private market fund. |
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1 | | (c) For the purposes of this Section, the terms "minority |
2 | | person", "woman", "veteran", "person
with a disability", |
3 | | "minority-owned business", "women-owned business", |
4 | | "veteran-owned business", and
"business owned by a person with |
5 | | a disability" have the same meaning as those
terms have in the |
6 | | Business Enterprise for Minorities, Women, Veterans, and |
7 | | Persons
with Disabilities Act. |
8 | | (d) For purposes of this Section, the term "private market |
9 | | fund" means any private equity fund, private equity fund of |
10 | | funds, venture capital fund, hedge fund, hedge fund of funds, |
11 | | real estate fund, or other investment vehicle that is not |
12 | | publicly traded.
|
13 | | (Source: P.A. 100-391, eff. 8-25-17.) |
14 | | (40 ILCS 5/1-113.22) |
15 | | Sec. 1-113.22. Required disclosures from consultants; |
16 | | minority-owned businesses, women-owned businesses, |
17 | | veteran-owned businesses, and businesses owned by persons with |
18 | | a disability. |
19 | | (a) No later than January 1, 2018 and each January 1 |
20 | | thereafter, each consultant retained by the board of a |
21 | | retirement system, board of a pension fund, or investment board |
22 | | shall disclose to that board of the retirement system, board of |
23 | | the pension fund, or investment board: |
24 | | (1) the total number of searches for investment |
25 | | services made by the consultant in the prior calendar year; |
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1 | | (2) the total number of searches for investment |
2 | | services made by the consultant in the prior calendar year |
3 | | that included (i) a minority-owned business, (ii) a |
4 | | women-owned business, or (iii) a business owned by a person |
5 | | with a disability , or (iv) a veteran-owned business ; |
6 | | (3) the total number of searches for investment |
7 | | services made by the consultant in the prior calendar year |
8 | | in which the consultant recommended for selection (i) a |
9 | | minority-owned business, (ii) a women-owned business, or |
10 | | (iii) a business owned by a person with a disability , or |
11 | | (iv) a veteran-owned business ; |
12 | | (4) the total number of searches for investment |
13 | | services made by the consultant in the prior calendar year |
14 | | that resulted in the selection of (i) a minority-owned |
15 | | business, (ii) a women-owned business, or (iii) a business |
16 | | owned by a person with a disability , or (iv) a |
17 | | veteran-owned business ; and |
18 | | (5) the total dollar amount of investment made in the |
19 | | previous calendar year with (i) a minority-owned business, |
20 | | (ii) a women-owned business, or (iii) a business owned by a |
21 | | person with a disability , or (iv) a veteran-owned business |
22 | | that was selected after a search for investment services |
23 | | performed by the consultant. |
24 | | (b) No Beginning January 1, 2018, no contract, oral or |
25 | | written, for consulting services shall be awarded by a board of |
26 | | a retirement system, a board of a pension fund, or an |
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1 | | investment board without first requiring the consultant to make |
2 | | the disclosures required in subsection (a) of this Section. |
3 | | (c) The disclosures required by subsection (b) of this |
4 | | Section shall be considered, within the bounds of financial and |
5 | | fiduciary prudence, prior to the awarding of a contract, oral |
6 | | or written, for consulting services. |
7 | | (d) As used in this Section, the terms "minority person", |
8 | | "woman", "veteran", "person with a disability", |
9 | | "minority-owned business", "women-owned business", |
10 | | "veteran-owned business", and "business owned by a person with |
11 | | a disability" have the same meaning as those terms have in the |
12 | | Business Enterprise for Minorities, Women, Veterans, and |
13 | | Persons with Disabilities Act.
|
14 | | (Source: P.A. 100-542, eff. 11-8-17; 100-863, eff. 8-14-18.) |
15 | | Section 130. The Counties Code is amended by changing |
16 | | Section 5-1134 as follows: |
17 | | (55 ILCS 5/5-1134) |
18 | | Sec. 5-1134. Project labor agreements. |
19 | | (a) Any sports, arts, or entertainment facilities that |
20 | | receive revenue from a tax imposed under subsection (b) of |
21 | | Section 5-1030 of this Code shall be considered to be public |
22 | | works within the meaning of the Prevailing Wage Act. The county |
23 | | authorities responsible for the construction, renovation, |
24 | | modification, or alteration of the sports, arts, or |
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1 | | entertainment facilities shall enter into project labor |
2 | | agreements with labor organizations as defined in the National |
3 | | Labor Relations Act to assure that no labor dispute interrupts |
4 | | or interferes with the construction, renovation, modification, |
5 | | or alteration of the projects. |
6 | | (b) The project labor agreements must include the |
7 | | following: |
8 | | (1) provisions establishing the minimum hourly wage |
9 | | for each class of labor organization employees; |
10 | | (2) provisions establishing the benefits and other |
11 | | compensation for such class of labor organization; and |
12 | | (3) provisions establishing that no strike or disputes |
13 | | will be engaged in by the labor organization employees. |
14 | | The county, taxing bodies, municipalities, and the labor |
15 | | organizations shall have the authority to include other terms |
16 | | and conditions as they deem necessary. |
17 | | (c) The project labor agreement shall be filed with the |
18 | | Director of the Illinois Department of Labor in accordance with |
19 | | procedures established by the Department. At a minimum, the |
20 | | project labor agreement must provide the names, addresses, and |
21 | | occupations of the owner of the facilities and the individuals |
22 | | representing the labor organization employees participating in |
23 | | the project labor agreement. The agreement must also specify |
24 | | the terms and conditions required in subsection (b) of this |
25 | | Section. |
26 | | (d) In any agreement for the construction or rehabilitation |
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1 | | of a facility using revenue generated under subsection (b) of |
2 | | Section 5-1030 of this Code, in connection with the |
3 | | prequalification of general contractors for construction or |
4 | | rehabilitation of the facility, it shall be required that a |
5 | | commitment will be submitted detailing how the general |
6 | | contractor will expend 15% or more of the aggregate dollar |
7 | | value of the project as a whole with one or more minority-owned |
8 | | businesses, women-owned businesses, veteran-owned businesses, |
9 | | or businesses owned by a person with a disability, as these |
10 | | terms are defined in Section 2 of the Business Enterprise for |
11 | | Minorities, Women, Veterans, and Persons with Disabilities |
12 | | Act.
|
13 | | (Source: P.A. 100-391, eff. 8-25-17.) |
14 | | Section 135. The River Edge Redevelopment Zone Act is |
15 | | amended by changing Section 10-5.3 as follows: |
16 | | (65 ILCS 115/10-5.3)
|
17 | | Sec. 10-5.3. Certification of River Edge Redevelopment |
18 | | Zones. |
19 | | (a) Approval of designated River Edge Redevelopment Zones |
20 | | shall be made by the Department by certification of the |
21 | | designating ordinance. The Department shall promptly issue a |
22 | | certificate for each zone upon its approval. The certificate |
23 | | shall be signed by the Director of the Department, shall make |
24 | | specific reference to the designating ordinance, which shall be |
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1 | | attached thereto, and shall be filed in the office of the |
2 | | Secretary of State. A certified copy of the River Edge |
3 | | Redevelopment Zone Certificate, or a duplicate original |
4 | | thereof, shall be recorded in the office of the recorder of |
5 | | deeds of the county in which the River Edge Redevelopment Zone |
6 | | lies. |
7 | | (b) A River Edge Redevelopment Zone shall be effective upon |
8 | | its certification. The Department shall transmit a copy of the |
9 | | certification to the Department of Revenue, and to the |
10 | | designating municipality.
Upon certification of a River Edge |
11 | | Redevelopment Zone, the terms and provisions of the designating |
12 | | ordinance shall be in effect, and may not be amended or |
13 | | repealed except in accordance with Section 10-5.4. |
14 | | (c) A River Edge Redevelopment Zone shall be in effect for |
15 | | the period stated in the certificate, which shall in no event |
16 | | exceed 30 calendar years. Zones shall terminate at midnight of |
17 | | December 31 of the final calendar year of the certified term, |
18 | | except as provided in Section 10-5.4. |
19 | | (d) In calendar years 2006 and 2007, the Department may |
20 | | certify one pilot River Edge Redevelopment Zone in the City of |
21 | | East St. Louis, one pilot River Edge Redevelopment Zone in the |
22 | | City of Rockford, and one pilot River Edge Redevelopment Zone |
23 | | in the City of Aurora. |
24 | | In calendar year 2009, the Department may certify one pilot |
25 | | River Edge Redevelopment Zone in the City of Elgin. |
26 | | On or after the effective date of this amendatory Act of |
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1 | | the 97th General Assembly, the Department may certify one |
2 | | additional pilot River Edge Redevelopment Zone in the City of |
3 | | Peoria. |
4 | | Thereafter the Department may not certify any additional |
5 | | River Edge Redevelopment Zones, but may amend and rescind |
6 | | certifications of existing River Edge Redevelopment Zones in |
7 | | accordance with Section 10-5.4, except that no River Edge |
8 | | Redevelopment Zone may be extended on or after the effective |
9 | | date of this amendatory Act of the 97th General Assembly. Each |
10 | | River Edge Redevelopment Zone in existence on the effective |
11 | | date of this amendatory Act of the 97th General Assembly shall |
12 | | continue until its scheduled termination under this Act, unless |
13 | | the Zone is decertified sooner. At the time of its term |
14 | | expiration each River Edge Redevelopment Zone will become an |
15 | | open enterprise zone, available for the previously designated |
16 | | area or a different area to compete for designation as an |
17 | | enterprise zone. No preference for designation as a Zone will |
18 | | be given to the previously designated area. |
19 | | (e) A municipality in which a River Edge Redevelopment Zone |
20 | | has been certified must submit to the Department, within 60 |
21 | | days after the certification, a plan for encouraging the |
22 | | participation by minority persons, women, persons with |
23 | | disabilities, and veterans in the zone. The Department may |
24 | | assist the municipality in developing and implementing the |
25 | | plan. The terms "minority person", "woman", "veteran", and |
26 | | "person with a disability" have the meanings set forth under |
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1 | | Section 2 of the Business Enterprise for Minorities, Women, |
2 | | Veterans, and Persons with Disabilities Act. "Veteran" means an |
3 | | Illinois resident who is a veteran as defined in subsection (h) |
4 | | of Section 1491 of Title 10 of the United States Code.
|
5 | | (Source: P.A. 100-391, eff. 8-25-17.) |
6 | | Section 140. The Metropolitan Pier and Exposition |
7 | | Authority Act is amended by changing Sections 10.2 and 23.1 as |
8 | | follows: |
9 | | (70 ILCS 210/10.2) |
10 | | Sec. 10.2. Bonding disclosure. |
11 | | (a) Truth in borrowing disclosure. Within 60 business days |
12 | | after the issuance of any bonds under this Act, the Authority |
13 | | shall disclose the total principal and interest payments to be |
14 | | paid on the bonds over the full stated term of the bonds. The |
15 | | disclosure also shall include principal and interest payments |
16 | | to be made by each fiscal year over the full stated term of the |
17 | | bonds and total principal and interest payments to be made by |
18 | | each fiscal year on all other outstanding bonds issued under |
19 | | this Act over the full stated terms of those bonds. These |
20 | | disclosures shall be calculated assuming bonds are not redeemed |
21 | | or refunded prior to their stated maturities. Amounts included |
22 | | in these disclosures as payment of interest on variable rate |
23 | | bonds shall be computed at an interest rate equal to the rate |
24 | | at which the variable rate bonds are first set upon issuance, |
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1 | | plus 2.5%, after taking into account any credits permitted in |
2 | | the related indenture or other instrument against the amount of |
3 | | such interest for each fiscal year. |
4 | | (b) Bond sale expenses disclosure. Within 60 business days |
5 | | after the issuance of any bonds under this Act, the Authority |
6 | | shall disclose all costs of issuance on each sale of bonds |
7 | | under this Act. The disclosure shall include, as applicable, |
8 | | the respective percentages of participation and compensation |
9 | | of each underwriter that is a member of the underwriting |
10 | | syndicate, legal counsel, financial advisors, and other |
11 | | professionals for the bond issue and an identification of all |
12 | | costs of issuance paid to minority-owned businesses, |
13 | | women-owned businesses, veteran-owned businesses, and |
14 | | businesses owned by persons with disabilities. The terms |
15 | | "minority-owned businesses", "women-owned businesses", |
16 | | "veteran-owned businesses", and "business owned by a person |
17 | | with a disability" have the meanings given to those terms in |
18 | | the Business Enterprise for Minorities, Women, Veterans, and |
19 | | Persons with Disabilities Act. In addition, the Authority shall |
20 | | provide copies of all contracts under which any costs of |
21 | | issuance are paid or to be paid to the Commission on Government |
22 | | Forecasting and Accountability within 60 business days after |
23 | | the issuance of bonds for which those costs are paid or to be |
24 | | paid. Instead of filing a second or subsequent copy of the same |
25 | | contract, the Authority may file a statement that specified |
26 | | costs are paid under specified contracts filed earlier with the |
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1 | | Commission. |
2 | | (c) The disclosures required in this Section shall be |
3 | | published by posting the disclosures for no less than 30 days |
4 | | on the website of the Authority and shall be available to the |
5 | | public upon request. The Authority shall also provide the |
6 | | disclosures to the Governor's Office of Management and Budget, |
7 | | the Commission on Government Forecasting and Accountability, |
8 | | and the General Assembly.
|
9 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
10 | | (70 ILCS 210/23.1) (from Ch. 85, par. 1243.1)
|
11 | | Sec. 23.1. Affirmative action.
|
12 | | (a) The Authority shall, within 90 days after the effective
|
13 | | date of this amendatory Act of 1984, establish and maintain an |
14 | | affirmative
action program designed to promote equal |
15 | | employment opportunity and
eliminate the effects of past |
16 | | discrimination. Such program shall include a
plan, including |
17 | | timetables where appropriate, which shall specify goals
and |
18 | | methods for increasing participation by women , veterans, and |
19 | | minorities , and persons with disabilities in
employment, |
20 | | including employment related to the planning, organization, |
21 | | and staging of the games, by the Authority and by parties which |
22 | | contract with the Authority.
The Authority shall submit a |
23 | | detailed plan with the General Assembly prior
to September 1 of |
24 | | each year. Such program shall also establish procedures and
|
25 | | sanctions, which the Authority shall enforce to
ensure |
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1 | | compliance with the plan established pursuant to this Section |
2 | | and
with State and federal laws and regulations relating to the |
3 | | employment of
women , veterans, and minorities , and persons with |
4 | | disabilities . A determination by the Authority as to whether a
|
5 | | party to a contract with the Authority has achieved the goals |
6 | | or employed
the methods for increasing participation by women , |
7 | | veterans, and minorities , and persons with disabilities shall |
8 | | be
determined in accordance with the terms of such contracts or |
9 | | the applicable
provisions of rules and regulations of the |
10 | | Authority existing at the time
such contract was executed, |
11 | | including any provisions for consideration of
good faith |
12 | | efforts at compliance which the Authority may reasonably adopt.
|
13 | | (b) The Authority shall adopt and maintain minority-owned , |
14 | | veteran-owned, and women-owned
business , and persons with |
15 | | disabilities-owned enterprise procurement programs under the |
16 | | affirmative
action program described in subsection (a) for any |
17 | | and all work, including all contracting related to the |
18 | | planning, organization, and staging of the games, undertaken
by |
19 | | the Authority. That work shall include, but is not limited to, |
20 | | the
purchase of professional services, construction services, |
21 | | supplies,
materials, and equipment. The programs shall |
22 | | establish goals of awarding
not less than 30% 25% of the annual |
23 | | dollar value of all contracts, purchase
orders, or other |
24 | | agreements (collectively referred to as "contracts") to |
25 | | minority-owned
businesses , woman-owned businesses, |
26 | | veteran-owned businesses, and businesses owned by persons with |
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1 | | disabilities and 5% of the annual dollar value of all
contracts |
2 | | to women-owned businesses . Without limiting the generality of
|
3 | | the foregoing, the programs shall require in connection with |
4 | | the
prequalification or consideration of vendors for |
5 | | professional service
contracts, construction contracts, and |
6 | | contracts for supplies, materials,
equipment, and services |
7 | | that each proposer or bidder submit as part of his
or her |
8 | | proposal or bid a commitment detailing how he or she will |
9 | | expend 30% 25%
or more of the dollar value of his or her |
10 | | contracts with one or more minority-owned
businesses , |
11 | | woman-owned businesses, veteran-owned businesses, or |
12 | | businesses owned by persons with disabilities and 5% or more of |
13 | | the dollar value with one or
more women-owned businesses . Bids |
14 | | or proposals that do not include such
detailed commitments are |
15 | | not responsive and shall be rejected unless the
Authority deems |
16 | | it appropriate to grant a waiver of these requirements. In
|
17 | | addition the Authority may, in connection with the selection of |
18 | | providers
of professional services, reserve the right to select |
19 | | a minority-owned business, or women-owned business , |
20 | | veteran-owned business, or business owned by a person with a |
21 | | disability or businesses to fulfill the commitment to minority , |
22 | | and woman , veteran, and person with a disability
business |
23 | | participation. The commitment to minority , and woman , veteran, |
24 | | and person with a disability
business participation may be met |
25 | | by the contractor or professional service
provider's status as |
26 | | a minority-owned , or women-owned , or veteran-owned business or |
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1 | | a business owned by a person with a disability , by joint |
2 | | venture
or by subcontracting a portion of the work with or |
3 | | purchasing materials for
the work from one or more such |
4 | | businesses, or by any combination thereof.
Each contract shall |
5 | | require the contractor or provider to submit a
certified |
6 | | monthly report detailing the status of that contractor or
|
7 | | provider's compliance with the Authority's minority-owned , and |
8 | | women-owned , veteran-owned, and persons with a |
9 | | disability-owned
business enterprise procurement program. The |
10 | | Authority, after reviewing
the monthly reports of the |
11 | | contractors and providers, shall
compile a comprehensive |
12 | | report regarding compliance with this procurement
program and |
13 | | file it quarterly with the General Assembly. If, in connection
|
14 | | with a particular contract, the Authority determines that it is
|
15 | | impracticable or excessively costly to obtain minority-owned , |
16 | | or women-owned , veteran-owned, and persons with a |
17 | | disability-owned
businesses to perform sufficient work to |
18 | | fulfill the commitment required by
this subsection, the |
19 | | Authority shall reduce or waive the commitment in the
contract, |
20 | | as may be appropriate. The Authority shall establish rules and
|
21 | | regulations setting forth the standards to be used in |
22 | | determining whether
or not a reduction or waiver is |
23 | | appropriate. The terms "minority-owned
business" , and |
24 | | "women-owned business" , "veteran-owned business", and |
25 | | "business owned by a person with a disability" have the |
26 | | meanings given to those
terms in the Business Enterprise for |
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1 | | Minorities, Women, Veterans, and Persons with Disabilities |
2 | | Act.
|
3 | | (c) The Authority shall adopt and maintain an affirmative
|
4 | | action program in connection with the hiring
of minorities , and |
5 | | women , veterans, and persons with a disability on the Expansion |
6 | | Project and on any and all
construction projects, including all |
7 | | contracting related to the planning, organization, and staging |
8 | | of the games, undertaken by the Authority. The program shall be
|
9 | | designed to promote equal employment opportunity and shall |
10 | | specify the
goals and methods for increasing the participation |
11 | | of minorities , and women , veterans, and persons with a |
12 | | disability
in a representative mix of job classifications |
13 | | required to perform the
respective contracts awarded by the |
14 | | Authority.
|
15 | | (d) In connection with the Expansion Project, the Authority |
16 | | shall
incorporate the following elements into its |
17 | | minority-owned , and women-owned , veteran-owned, and persons |
18 | | with a disability-owned
business procurement programs to the |
19 | | extent feasible: (1) a major
contractors program that permits |
20 | | minority-owned businesses , and women-owned
businesses , |
21 | | veteran-owned businesses, and businesses owned by a person with |
22 | | a disability to bear significant responsibility and risk for a |
23 | | portion of the
project; (2) a mentor/protege program that |
24 | | provides financial, technical,
managerial, equipment, and |
25 | | personnel support to minority-owned businesses ,
and |
26 | | women-owned businesses , veteran-owned businesses, and |
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1 | | businesses owned by a person with a disability ; (3) an emerging |
2 | | firms program that includes minority-owned
businesses , and |
3 | | women-owned businesses , veteran-owned businesses, and |
4 | | businesses owned by a person with a disability that would not
|
5 | | otherwise qualify for the project due to inexperience or |
6 | | limited resources;
(4) a small projects program that includes |
7 | | participation by smaller minority-owned
businesses , and |
8 | | women-owned businesses , veteran-owned businesses, and |
9 | | businesses owned by a person with a disability on jobs where |
10 | | the
total dollar value is $5,000,000 or less; and (5) a |
11 | | set-aside program that
will identify contracts requiring the |
12 | | expenditure of funds less than
$50,000 for bids to be submitted |
13 | | solely by minority-owned businesses , and women-owned
|
14 | | businesses , veteran-owned businesses, and businesses owned by |
15 | | a person with a disability .
|
16 | | (e) The Authority is authorized to enter into agreements |
17 | | with
contractors' associations, labor unions, and the |
18 | | contractors working on the
Expansion Project to establish an |
19 | | Apprenticeship Preparedness Training
Program to provide for an |
20 | | increase in the number of minority , and women , veteran, and |
21 | | persons with a disability
journeymen and apprentices in the |
22 | | building trades and to enter into
agreements with Community |
23 | | College District 508 to provide readiness training.
The |
24 | | Authority is further authorized to enter into contracts with |
25 | | public and
private educational institutions and persons in the |
26 | | hospitality industry to
provide training for employment in the |
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1 | | hospitality industry.
|
2 | | (f) McCormick Place Advisory Board. There is created a |
3 | | McCormick Place
Advisory Board composed as follows:
2 members |
4 | | shall be appointed by the Mayor of Chicago;
2 members shall be |
5 | | appointed by the Governor;
2 members shall be State Senators |
6 | | appointed by the President of the Senate;
2 members shall be |
7 | | State Senators appointed by the Minority Leader of the
Senate;
|
8 | | 2 members shall be State Representatives appointed by the |
9 | | Speaker of the House
of Representatives; and
2 members shall be |
10 | | State Representatives appointed by the Minority Leader of
the |
11 | | House of Representatives.
The terms of all previously appointed |
12 | | members of the Advisory Board expire on
the effective date of |
13 | | this amendatory Act of the 92nd General Assembly. A
State |
14 | | Senator or State Representative member may appoint a designee |
15 | | to serve
on the McCormick Place Advisory Board in his or her |
16 | | absence.
|
17 | | "Minority person", "woman", "veteran", "person with a |
18 | | disability", "minority-owned business", "women-owned |
19 | | business", "veteran-owned business", and "business owned by a |
20 | | person with a disability" have the meanings provided in the |
21 | | Business Enterprise and Minorities, Women, Veterans, and |
22 | | Persons with Disabilities Act. |
23 | | A "member of a minority group" shall mean a person who is a |
24 | | citizen or
lawful permanent resident of the United States and |
25 | | who is any of the following:
|
26 | | (1) American Indian or Alaska Native (a person having |
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1 | | origins in any of the original peoples of North and South |
2 | | America, including Central America, and who maintains |
3 | | tribal affiliation or community attachment). |
4 | | (2) Asian (a person having origins in any of the |
5 | | original peoples of the Far East, Southeast Asia, or the |
6 | | Indian subcontinent, including, but not limited to, |
7 | | Cambodia, China, India, Japan, Korea, Malaysia, Pakistan, |
8 | | the Philippine Islands, Thailand, and Vietnam). |
9 | | (3) Black or African American (a person having origins |
10 | | in any of the black racial groups of Africa). Terms such as |
11 | | "Haitian" or "Negro" can be used in addition to "Black or |
12 | | African American". |
13 | | (4) Hispanic or Latino (a person of Cuban, Mexican, |
14 | | Puerto Rican, South or Central American, or other Spanish |
15 | | culture or origin, regardless of race). |
16 | | (5) Native Hawaiian or Other Pacific Islander (a person |
17 | | having origins in any of the original peoples of Hawaii, |
18 | | Guam, Samoa, or other Pacific Islands).
|
19 | | Members of the McCormick Place Advisory Board shall serve |
20 | | 2-year terms
and until their successors are appointed, except |
21 | | members who serve as a
result of their elected position whose |
22 | | terms shall continue as long as
they hold their designated |
23 | | elected positions. Vacancies shall be filled by
appointment for |
24 | | the unexpired term in the same manner as original
appointments |
25 | | are made. The McCormick Place Advisory Board shall elect
its |
26 | | own chairperson.
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1 | | Members of the McCormick Place Advisory Board shall serve |
2 | | without
compensation but, at the Authority's discretion, shall |
3 | | be reimbursed for
necessary expenses in connection with the |
4 | | performance of their duties.
|
5 | | The McCormick Place Advisory Board shall meet quarterly, or |
6 | | as needed,
shall produce any reports it deems necessary, and |
7 | | shall:
|
8 | | (1) Work with the Authority on ways to improve the area |
9 | | physically
and economically;
|
10 | | (2) Work with the Authority regarding potential means |
11 | | for providing
increased economic opportunities to |
12 | | minorities and women produced
indirectly or directly from |
13 | | the construction and operation of the
Expansion Project;
|
14 | | (3) Work with the Authority to minimize any potential |
15 | | impact on the
area surrounding the McCormick Place |
16 | | Expansion Project, including any
impact on minority-owned |
17 | | or women-owned businesses, resulting from the
construction |
18 | | and operation of the Expansion Project;
|
19 | | (4) Work with the Authority to find candidates for |
20 | | building trades
apprenticeships, for employment in the |
21 | | hospitality industry, and to identify
job training |
22 | | programs;
|
23 | | (5) Work with the Authority to implement the provisions |
24 | | of subsections
(a) through (e) of this Section in the |
25 | | construction of the Expansion
Project, including the |
26 | | Authority's goal of awarding not less than 30% 25% and
5% |
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1 | | of the annual dollar value of contracts to minority-owned |
2 | | businesses, and women-owned
businesses, veteran-owned |
3 | | businesses, and businesses owned by persons with a |
4 | | disability, the outreach program for minorities , and |
5 | | women, veterans, and persons with a disability, and the
|
6 | | mentor/protege program for providing assistance to |
7 | | minority-owned businesses, and women-owned businesses , |
8 | | veteran-owned businesses, and businesses owned by persons |
9 | | with a disability .
|
10 | | (g) The Authority shall comply with subsection (e) of |
11 | | Section 5-42 of the Olympic Games and Paralympic Games (2016) |
12 | | Law. For purposes of this Section, the term "games" has the |
13 | | meaning set forth in the Olympic Games and Paralympic Games |
14 | | (2016) Law. |
15 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
16 | | Section 145. The Illinois Sports Facilities Authority Act |
17 | | is amended by changing Section 9 as follows:
|
18 | | (70 ILCS 3205/9) (from Ch. 85, par. 6009)
|
19 | | Sec. 9. Duties. In addition to the powers set forth |
20 | | elsewhere in
this Act, subject to the terms of any agreements |
21 | | with the holders of the
Authority's bonds or notes, the |
22 | | Authority shall:
|
23 | | (1) Comply with all zoning, building, and land use |
24 | | controls of the
municipality within which is located any |
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1 | | stadium facility
owned by the Authority or for which the |
2 | | Authority provides financial
assistance.
|
3 | | (2) With respect to a facility owned or to be owned by |
4 | | the Authority,
enter or have entered into a management |
5 | | agreement with a tenant of the
Authority to operate the |
6 | | facility that requires the tenant to operate the
facility |
7 | | for a period at least as long as the term of any bonds |
8 | | issued to
finance the development, establishment, |
9 | | construction, erection, acquisition,
repair, |
10 | | reconstruction, remodeling, adding to, extension, |
11 | | improvement,
equipping, operation, and maintenance of the |
12 | | facility. Such agreement shall
contain appropriate and |
13 | | reasonable provisions with respect to termination,
default |
14 | | and legal remedies.
|
15 | | (3) With respect to a facility owned or to be owned by |
16 | | a governmental
owner other than the Authority, enter into |
17 | | an assistance agreement with either
a governmental owner of |
18 | | a facility or its tenant, or both,
that requires the |
19 | | tenant, or if the tenant is not a party to the assistance
|
20 | | agreement requires the governmental owner to enter into an |
21 | | agreement with the
tenant that requires the tenant to use |
22 | | the facility for a period at least as
long as the term of |
23 | | any bonds issued to finance the reconstruction, |
24 | | renovation,
remodeling, extension or improvement of all or |
25 | | substantially all of the
facility.
|
26 | | (4) Create and maintain a separate financial reserve |
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1 | | for repair and
replacement of capital assets of any |
2 | | facility owned by the Authority or for
which the Authority |
3 | | provides financial assistance and deposit into this |
4 | | reserve
not less than $1,000,000 per year for each such |
5 | | facility beginning at such time
as the Authority and the |
6 | | tenant, or the Authority and a governmental owner of a
|
7 | | facility, as applicable, shall agree.
|
8 | | (5) In connection with prequalification of general |
9 | | contractors for the
construction of a new stadium facility |
10 | | or the reconstruction, renovation,
remodeling, extension, |
11 | | or improvement of all or substantially all of an
existing |
12 | | facility, the Authority shall require submission of a |
13 | | commitment
detailing how the general contractor will |
14 | | expend 30% 25% or more of the dollar
value of the general |
15 | | contract with one or more minority-owned businesses , |
16 | | women-owned businesses, veteran-owned businesses, and |
17 | | businesses owned by persons with a disability
and 5% or |
18 | | more of the dollar value with one or more women-owned |
19 | | businesses . This commitment may be met by contractor's |
20 | | status as a minority-owned business, businesses or |
21 | | women-owned business businesses , veteran-owned business, |
22 | | or business owned by a person with a disability, by a joint |
23 | | venture or by
subcontracting a portion of the work with or |
24 | | by purchasing materials for the
work from one or more such |
25 | | businesses, or by any combination thereof. Any
contract |
26 | | with the general contractor for construction of the new |
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1 | | stadium
facility and any contract for the reconstruction, |
2 | | renovation, remodeling,
adding to, extension or |
3 | | improvement of all or substantially all of an
existing |
4 | | facility shall require the general contractor to meet the |
5 | | foregoing
obligations and shall require monthly reporting |
6 | | to the Authority with
respect to the status of the |
7 | | implementation of the contractor's affirmative
action plan |
8 | | and compliance with that plan. This report shall be filed |
9 | | with
the General Assembly. The Authority shall establish
|
10 | | and maintain an affirmative action program designed to |
11 | | promote equal
employment opportunity which specifies the |
12 | | goals and methods for increasing
participation by |
13 | | minorities and women in a representative mix of job
|
14 | | classifications required to perform the respective |
15 | | contracts. The
Authority shall file a report before March 1 |
16 | | of each year with the General
Assembly detailing its |
17 | | implementation of this paragraph. The terms |
18 | | "minority-owned business businesses ", "women-owned |
19 | | business businesses ", veteran-owned business, and |
20 | | "business owned by a person with a disability" have the |
21 | | meanings given to those terms in the Business Enterprise |
22 | | for Minorities, Women, Veterans, and Persons with |
23 | | Disabilities Act.
|
24 | | (6) Provide for the construction of any new facility |
25 | | pursuant to one
or more contracts which require delivery of |
26 | | a completed facility at a fixed
maximum price to be insured |
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1 | | or guaranteed by a third party determined by
the Authority |
2 | | to be financially capable of causing completion of
such |
3 | | construction of the new facility.
|
4 | | In connection with any assistance agreement with a |
5 | | governmental owner that
provides financial assistance for a |
6 | | facility to be used by a National Football
League team, the |
7 | | assistance agreement shall provide that the Authority or
its |
8 | | agent shall enter into the contract or contracts for the design |
9 | | and
construction services or design/build services for such |
10 | | facility and thereafter
transfer its rights and obligations |
11 | | under the contract or contracts to the
governmental
owner of |
12 | | the facility. In seeking parties to provide design and |
13 | | construction
services or design/build services with respect to |
14 | | such facility, the Authority
may use such procurement |
15 | | procedures as it may determine, including, without
limitation, |
16 | | the selection of design professionals and construction |
17 | | managers or
design/builders as may be required by a team that |
18 | | is at risk, in whole or in
part, for the cost of design and |
19 | | construction of the facility.
|
20 | | An assistance agreement may not provide, directly or |
21 | | indirectly, for the
payment to the Chicago Park District of |
22 | | more than a total of $10,000,000 on
account of the District's |
23 | | loss of property or revenue in connection with the
renovation |
24 | | of a facility pursuant to the assistance agreement.
|
25 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
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1 | | Section 150. The Downstate Illinois Sports Facilities |
2 | | Authority Act is amended by changing Section 40 as follows:
|
3 | | (70 ILCS 3210/40)
|
4 | | Sec. 40. Duties.
|
5 | | (a) In addition to the powers set forth elsewhere in this |
6 | | Act, subject to
the terms of any agreements with the holders of |
7 | | the Authority's evidences of
indebtedness, the Authority shall |
8 | | do the following:
|
9 | | (1) Comply with all zoning, building, and land use |
10 | | controls of the
municipality within which is located any |
11 | | stadium facility owned by the
Authority or for which the |
12 | | Authority provides financial assistance.
|
13 | | (2) Enter into a loan agreement with an owner of a |
14 | | facility to finance the
acquisition, construction, |
15 | | maintenance, or rehabilitation of the facility. The
|
16 | | agreement shall contain appropriate and reasonable |
17 | | provisions with respect to
termination, default, and legal |
18 | | remedies. The loan may be at below-market
interest rates.
|
19 | | (3) Create and maintain a financial reserve for repair |
20 | | and replacement of
capital assets.
|
21 | | (b) In a loan agreement for the construction of a new |
22 | | facility, in
connection with prequalification of general |
23 | | contractors for construction of the
facility, the Authority |
24 | | shall require that the owner of the facility require
submission |
25 | | of a commitment detailing how the general contractor will |
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1 | | expend 30% 25%
or more of the dollar value of the general |
2 | | contract with one or more minority-owned businesses , |
3 | | women-owned businesses, veteran-owned businesses, or |
4 | | businesses owned by persons with a disability and 5% or more of |
5 | | the dollar value with one or more women-owned businesses . This |
6 | | commitment may be met by contractor's status as a |
7 | | minority-owned business, businesses
or women-owned business, |
8 | | businesses , veteran-owned business, or a business owned by a |
9 | | person with a disability by a joint venture,
or by |
10 | | subcontracting a portion of the work with or by purchasing |
11 | | materials for
the work from one or more such businesses, or by |
12 | | any combination thereof. Any
contract with the general |
13 | | contractor for construction of the new facility shall
require |
14 | | the general contractor to meet the foregoing obligations and |
15 | | shall
require monthly reporting to the Authority with respect |
16 | | to the status of the
implementation of the contractor's |
17 | | affirmative action plan and compliance with
that plan. This |
18 | | report shall be filed with the General Assembly. The Authority
|
19 | | shall require that the facility owner establish and maintain an |
20 | | affirmative
action program designed to promote equal |
21 | | employment opportunity and that
specifies the goals and methods |
22 | | for increasing participation by minorities and
women in a |
23 | | representative mix of job classifications required to perform |
24 | | the
respective contracts. The Authority shall file a report |
25 | | before March 1 of each
year with the General Assembly detailing |
26 | | its implementation of this subsection.
The terms |
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1 | | "minority-owned businesses" , and "women-owned businesses" , |
2 | | "veteran-owned business", and "business owned by persons with a |
3 | | disability" have
the meanings provided in the Business |
4 | | Enterprise for Minorities, Women, Veterans, and
Persons with |
5 | | Disabilities Act.
|
6 | | (c) With respect to a facility owned or to be owned by the |
7 | | Authority, enter
or have entered into a management agreement |
8 | | with a tenant of the Authority to
operate the facility that |
9 | | requires the tenant to operate the facility for a
period at |
10 | | least as long as the term of any bonds issued to finance the
|
11 | | development, establishment, construction, erection, |
12 | | acquisition, repair,
reconstruction, remodeling, adding to, |
13 | | extension, improvement, equipping,
operation, and maintenance |
14 | | of the facility. Such agreement shall contain
appropriate and |
15 | | reasonable provisions with respect to termination, default, |
16 | | and
legal remedies.
|
17 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
18 | | Section 155. The Metropolitan Transit Authority Act is |
19 | | amended by changing Section 12c as follows: |
20 | | (70 ILCS 3605/12c)
|
21 | | Sec. 12c. Retiree Benefits Bonds and Notes. |
22 | | (a) In addition to all other bonds or notes that it is |
23 | | authorized to issue, the Authority is authorized to issue its |
24 | | bonds or notes for the purposes of providing funds for the |
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1 | | Authority to make the deposits described in Section 12c(b)(1) |
2 | | and (2), for refunding any bonds authorized to be issued under |
3 | | this Section, as well as for the purposes of paying costs of |
4 | | issuance, obtaining bond insurance or other credit enhancement |
5 | | or liquidity facilities, paying costs of obtaining related |
6 | | swaps as authorized in the Bond Authorization Act ("Swaps"), |
7 | | providing a debt service reserve fund, paying Debt Service (as |
8 | | defined in paragraph (i) of this Section 12c), and paying all |
9 | | other costs related to any such bonds or notes. |
10 | | (b)(1) After its receipt of a certified copy of a report of |
11 | | the Auditor General of the State of Illinois meeting the |
12 | | requirements of Section 3-2.3 of the Illinois State Auditing |
13 | | Act, the Authority may issue $1,348,550,000 aggregate original |
14 | | principal amount of bonds and notes. After payment of the costs |
15 | | of issuance and necessary deposits to funds and accounts |
16 | | established with respect to debt service, the net proceeds of |
17 | | such bonds or notes shall be deposited only in the Retirement |
18 | | Plan for Chicago Transit Authority Employees and used only for |
19 | | the purposes required by Section 22-101 of the Illinois Pension |
20 | | Code. Provided that no less than $1,110,500,000 has been |
21 | | deposited in the Retirement Plan, remaining proceeds of bonds |
22 | | issued under this subparagraph (b)(1) may be used to pay costs |
23 | | of issuance and make necessary deposits to funds and accounts |
24 | | with respect to debt service for bonds and notes issued under |
25 | | this subparagraph or subparagraph (b)(2). |
26 | | (2) After its receipt of a certified copy of a report of |
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1 | | the Auditor General of the State of Illinois meeting the |
2 | | requirements of Section 3-2.3 of the Illinois State Auditing |
3 | | Act, the Authority may issue $639,680,000 aggregate original |
4 | | principal amount of bonds and notes. After payment of the costs |
5 | | of issuance and necessary deposits to funds and accounts |
6 | | established with respect to debt service, the net proceeds of |
7 | | such bonds or notes shall be deposited only in the Retiree |
8 | | Health Care Trust and used only for the purposes required by |
9 | | Section 22-101B of the Illinois Pension Code. Provided that no |
10 | | less than $528,800,000 has been deposited in the Retiree Health |
11 | | Care Trust, remaining proceeds of bonds issued under this |
12 | | subparagraph (b)(2) may be used to pay costs of issuance and |
13 | | make necessary deposits to funds and accounts with respect to |
14 | | debt service for bonds and notes issued under this subparagraph |
15 | | or subparagraph (b)(1).
|
16 | | (3) In addition, refunding bonds are authorized to be |
17 | | issued for the purpose of refunding outstanding bonds or notes |
18 | | issued under this Section 12c. |
19 | | (4) The bonds or notes issued under 12c(b)(1) shall be |
20 | | issued as soon as practicable after the Auditor General issues |
21 | | the report provided in Section 3-2.3(b) of the Illinois State |
22 | | Auditing Act. The bonds or notes issued under 12c(b)(2) shall |
23 | | be issued as soon as practicable after the Auditor General |
24 | | issues the report provided in Section 3-2.3(c) of the Illinois |
25 | | State Auditing Act. |
26 | | (5) With respect to bonds and notes issued under |
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1 | | subparagraph (b), scheduled aggregate annual payments of |
2 | | interest or deposits into funds and accounts established for |
3 | | the purpose of such payment shall commence within one year |
4 | | after the bonds and notes are issued. With respect to principal |
5 | | and interest, scheduled aggregate annual payments of principal |
6 | | and interest or deposits into funds and accounts established |
7 | | for the purpose of such payment shall be not less than 70% in |
8 | | 2009, 80% in 2010, and 90% in 2011, respectively, of scheduled |
9 | | payments or deposits of principal and interest in 2012 and |
10 | | shall be substantially equal beginning in 2012 and each year |
11 | | thereafter. For purposes of this subparagraph (b), |
12 | | "substantially equal" means that debt service in any full year |
13 | | after calendar year 2011 is not more than 115% of debt service |
14 | | in any other full year after calendar year 2011 during the term |
15 | | of the bonds or notes. For the purposes of this subsection (b), |
16 | | with respect to bonds and notes that bear interest at a |
17 | | variable rate, interest shall be assumed at a rate equal to the |
18 | | rate for United States Treasury Securities - State and Local |
19 | | Government Series for the same maturity, plus 75 basis points. |
20 | | If the Authority enters into a Swap with a counterparty |
21 | | requiring the Authority to pay a fixed interest rate on a |
22 | | notional amount, and the Authority has made a determination |
23 | | that such Swap was entered into for the purpose of providing |
24 | | substitute interest payments for variable interest rate bonds |
25 | | or notes of a particular maturity or maturities in a principal |
26 | | amount equal to the notional amount of the Swap, then during |
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1 | | the term of the Swap for purposes of any calculation of |
2 | | interest payable on such bonds or notes, the interest rate on |
3 | | the bonds or notes of such maturity or maturities shall be |
4 | | determined as if such bonds or notes bore interest at the fixed |
5 | | interest rate payable by the Authority under such Swap. |
6 | | (6) No bond or note issued under this Section 12c shall |
7 | | mature later than December 31, 2040. |
8 | | (c) The Chicago Transit Board shall provide for the |
9 | | issuance of bonds or notes as authorized in this Section 12c by |
10 | | the adoption of an ordinance. The ordinance, together with the |
11 | | bonds or notes, shall constitute a contract among the |
12 | | Authority, the owners from time to time of the bonds or notes, |
13 | | any bond trustee with respect to the bonds or notes, any |
14 | | related credit enhancer and any provider of any related Swaps. |
15 | | (d) The Authority is authorized to cause the proceeds of |
16 | | the bonds or notes, and any interest or investment earnings on |
17 | | the bonds or notes, and of any Swaps, to be invested until the |
18 | | proceeds and any interest or investment earnings have been |
19 | | deposited with the Retirement Plan or the Retiree Health Care |
20 | | Trust. |
21 | | (e) Bonds or notes issued pursuant to this Section 12c may |
22 | | be general obligations of the Authority, to which shall be |
23 | | pledged the full faith and credit of the Authority, or may be |
24 | | obligations payable solely from particular sources of funds all |
25 | | as may be provided in the authorizing ordinance. The |
26 | | authorizing ordinance for the bonds and notes, whether or not |
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1 | | general obligations of the Authority, may provide for the Debt |
2 | | Service (as defined in paragraph (i) of this Section 12c) to |
3 | | have a claim for payment from particular sources of funds, |
4 | | including, without limitation, amounts to be paid to the |
5 | | Authority or a bond trustee. The authorizing ordinance may |
6 | | provide for the means by which the bonds or notes (and any |
7 | | related Swaps) may be secured, which may include, a pledge of |
8 | | any revenues or funds of the Authority from whatever source |
9 | | which may by law be utilized for paying Debt Service. In |
10 | | addition to any other security, upon the written approval of |
11 | | the Regional Transportation Authority by the affirmative vote |
12 | | of 12 of its then Directors, the ordinance may provide a |
13 | | specific pledge or assignment of and lien on or security |
14 | | interest in amounts to be paid to the Authority by the Regional |
15 | | Transportation Authority and direct payment thereof to the bond |
16 | | trustee for payment of Debt Service with respect to the bonds |
17 | | or notes, subject to the provisions of existing lease |
18 | | agreements of the Authority with any public building |
19 | | commission. The authorizing ordinance may also provide a |
20 | | specific pledge or assignment of and lien on or security |
21 | | interest in and direct payment to the trustee of all or a |
22 | | portion of the moneys otherwise payable to the Authority from |
23 | | the City of Chicago pursuant to an intergovernmental agreement |
24 | | with the Authority to provide financial assistance to the |
25 | | Authority.
Any such pledge, assignment, lien or security |
26 | | interest for the benefit of owners of bonds or notes shall be |
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1 | | valid and binding from the time the bonds or notes are issued, |
2 | | without any physical delivery or further act, and shall be |
3 | | valid and binding as against and prior to the claims of all |
4 | | other parties having claims of any kind against the Authority |
5 | | or any other person, irrespective of whether such other parties |
6 | | have notice of such pledge, assignment, lien or security |
7 | | interest, all as provided in the Local Government Debt Reform |
8 | | Act, as it may be amended from time to time. The bonds or notes |
9 | | of the Authority issued pursuant to this Section 12c shall have |
10 | | such priority of payment and as to their claim for payment from |
11 | | particular sources of funds, including their priority with |
12 | | respect to obligations of the Authority issued under other |
13 | | Sections of this Act, all as shall be provided in the |
14 | | ordinances authorizing the issuance of the bonds or notes. The |
15 | | ordinance authorizing the issuance of any bonds or notes under |
16 | | this Section may provide for the creation of, deposits in, and |
17 | | regulation and disposition of sinking fund or reserve accounts |
18 | | relating to those bonds or notes and related agreements. The |
19 | | ordinance authorizing the issuance of any such bonds or notes |
20 | | authorized under this Section 12c may contain provisions for |
21 | | the creation of a separate fund to provide for the payment of |
22 | | principal of and interest on those bonds or notes and related |
23 | | agreements. The ordinance may also provide limitations on the |
24 | | issuance of additional bonds or notes of the Authority. |
25 | | (f) Bonds or notes issued under this Section 12c shall not |
26 | | constitute an indebtedness of the Regional Transportation |
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1 | | Authority, the State of Illinois, or of any other political |
2 | | subdivision of or municipality within the State, except the |
3 | | Authority. |
4 | | (g) The ordinance of the Chicago Transit Board authorizing |
5 | | the issuance of bonds or notes pursuant to this Section 12c may |
6 | | provide for the appointment of a corporate trustee (which may |
7 | | be any trust company or bank having the powers of a trust |
8 | | company within Illinois) with respect to bonds or notes issued |
9 | | pursuant to this Section 12c. The ordinance shall prescribe the |
10 | | rights, duties, and powers of the trustee to be exercised for |
11 | | the benefit of the Authority and the protection of the owners |
12 | | of bonds or notes issued pursuant to this Section 12c. The |
13 | | ordinance may provide for the trustee to hold in trust, invest |
14 | | and use amounts in funds and accounts created as provided by |
15 | | the ordinance with respect to the bonds or notes in accordance |
16 | | with this Section 12c. The Authority may apply, as it shall |
17 | | determine, any amounts received upon the sale of the bonds or |
18 | | notes to pay any Debt Service on the bonds or notes. The |
19 | | ordinance may provide for a trust indenture to set forth terms |
20 | | of, sources of payment for and security for the bonds and |
21 | | notes. |
22 | | (h) The State of Illinois pledges to and agrees with the |
23 | | owners of the bonds or notes issued pursuant to Section 12c |
24 | | that the State of Illinois will not limit the powers vested in |
25 | | the Authority by this Act to pledge and assign its revenues and |
26 | | funds as security for the payment of the bonds or notes, or |
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1 | | vested in the Regional Transportation Authority by the Regional |
2 | | Transportation Authority Act or this Act, so as to materially |
3 | | impair the payment obligations of the Authority under the terms |
4 | | of any contract made by the Authority with those owners or to |
5 | | materially impair the rights and remedies of those owners until |
6 | | those bonds or notes, together with interest and any redemption |
7 | | premium, and all costs and expenses in connection with any |
8 | | action or proceedings by or on behalf of such owners are fully |
9 | | met and discharged. The Authority is authorized to include |
10 | | these pledges and agreements of the State of Illinois in any |
11 | | contract with owners of bonds or notes issued pursuant to this |
12 | | Section 12c. |
13 | | (i) For purposes of this Section, "Debt Service" with |
14 | | respect to bonds or notes includes, without limitation, |
15 | | principal (at maturity or upon mandatory redemption), |
16 | | redemption premium, interest, periodic, upfront, and |
17 | | termination payments on Swaps, fees for bond insurance or other |
18 | | credit enhancement, liquidity facilities, the funding of bond |
19 | | or note reserves, bond trustee fees, and all other costs of |
20 | | providing for the security or payment of the bonds or notes. |
21 | | (j) The Authority shall adopt a procurement program with |
22 | | respect to contracts relating to the following service |
23 | | providers in connection with the issuance of debt for the |
24 | | benefit of the Retirement Plan for Chicago Transit Authority |
25 | | Employees: underwriters, bond counsel, financial advisors, and |
26 | | accountants. The program shall include goals for the payment of |
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1 | | not less than 30% of the total dollar value of the fees from |
2 | | these contracts to minority-owned businesses , and women-owned |
3 | | businesses , veteran-owned businesses, and businesses owned by |
4 | | persons with a disability as defined in the Business Enterprise |
5 | | for Minorities, Women, Veterans, and Persons with Disabilities |
6 | | Act. The Authority shall conduct outreach to minority-owned |
7 | | businesses , and women-owned businesses , veteran-owned |
8 | | businesses, and businesses owned by persons with a disability . |
9 | | Outreach shall include, but is not limited to, advertisements |
10 | | in periodicals and newspapers, mailings, and other appropriate |
11 | | media. The Authority shall submit to the General Assembly a |
12 | | comprehensive report that shall include, at a minimum, the |
13 | | details of the procurement plan, outreach efforts, and the |
14 | | results of the efforts to achieve goals for the payment of |
15 | | fees. The service providers selected by the Authority pursuant |
16 | | to such program shall not be subject to approval by the |
17 | | Regional Transportation Authority, and the Regional |
18 | | Transportation Authority's approval pursuant to subsection (e) |
19 | | of this Section 12c related to the issuance of debt shall not |
20 | | be based in any way on the service providers selected by the |
21 | | Authority pursuant to this Section. |
22 | | (k) No person holding an elective office in this State, |
23 | | holding a seat in the General Assembly, serving as a director, |
24 | | trustee, officer, or employee of the Regional Transportation |
25 | | Authority or the Chicago Transit Authority, including the |
26 | | spouse or minor child of that person, may receive a legal, |
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1 | | banking, consulting, or other fee related to the issuance of |
2 | | any bond issued by the Chicago Transit Authority pursuant to |
3 | | this Section.
|
4 | | (Source: P.A. 100-391, eff. 8-25-17.) |
5 | | Section 160. The School Code is amended by changing Section |
6 | | 10-20.44 as follows: |
7 | | (105 ILCS 5/10-20.44) |
8 | | Sec. 10-20.44. Report on contracts. |
9 | | (a) This Section applies to all school districts, including |
10 | | a school district organized under Article 34 of this Code. |
11 | | (b) A school board must
list on the district's Internet |
12 | | website, if any, all contracts
over $25,000 and any contract |
13 | | that the school board enters into
with an exclusive bargaining |
14 | | representative. |
15 | | (c) Each year, in conjunction with the submission of the |
16 | | Statement of Affairs to the State Board of Education prior to |
17 | | December 1, provided for in Section 10-17, each school district |
18 | | shall submit to the State Board of Education an annual report |
19 | | on all contracts over $25,000 awarded by the school district |
20 | | during the previous fiscal year. The report shall include at |
21 | | least the following: |
22 | | (1) the total number of all contracts awarded by the |
23 | | school district; |
24 | | (2) the total value of all contracts awarded; |
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1 | | (3) the number of contracts awarded to minority-owned |
2 | | businesses, women-owned businesses, veteran-owned |
3 | | businesses, and businesses owned by persons with |
4 | | disabilities, as defined in the Business Enterprise for |
5 | | Minorities, Women, Veterans, and Persons with Disabilities |
6 | | Act, and locally owned businesses; and |
7 | | (4) the total value of contracts awarded to |
8 | | minority-owned businesses, women-owned businesses, |
9 | | veteran-owned businesses, and businesses owned by persons |
10 | | with disabilities, as defined in the Business Enterprise |
11 | | for Minorities, Women, Veterans, and Persons with |
12 | | Disabilities Act, and locally owned businesses. |
13 | | The report shall be made available to the public, including |
14 | | publication on the school district's Internet website, if any.
|
15 | | (Source: P.A. 100-391, eff. 8-25-17.) |
16 | | Section 165. The Public University Energy Conservation Act |
17 | | is amended by changing Sections 3 and 5-10 as follows: |
18 | | (110 ILCS 62/3)
|
19 | | Sec. 3. Applicable laws. Other State laws and related |
20 | | administrative requirements apply to this Act, including, but |
21 | | not limited to, the following laws and related administrative |
22 | | requirements: the Illinois Human Rights Act, the Prevailing |
23 | | Wage Act, the Public Construction Bond Act, the Public Works |
24 | | Preference Act (repealed on June 16, 2010 by Public Act |
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1 | | 96-929), the Employment of Illinois Workers on Public Works |
2 | | Act, the Freedom of Information Act, the Open Meetings Act, the |
3 | | Illinois Architecture Practice Act of 1989, the Professional |
4 | | Engineering Practice Act of 1989, the Structural Engineering |
5 | | Practice Act of 1989, the Architectural, Engineering, and Land |
6 | | Surveying Qualifications Based Selection Act, the Public |
7 | | Contract Fraud Act, the Business Enterprise for Minorities, |
8 | | Women, Veterans, and Persons with Disabilities Act, and the |
9 | | Public Works Employment Discrimination Act.
|
10 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
11 | | (110 ILCS 62/5-10)
|
12 | | Sec. 5-10. Energy conservation measure. |
13 | | (a) "Energy conservation
measure" means any improvement, |
14 | | repair, alteration, or betterment of any
building or facility, |
15 | | subject to all applicable building codes, owned or operated by |
16 | | a public university or any
equipment, fixture, or furnishing to |
17 | | be added to or used in any
such building or facility
that is |
18 | | designed to reduce
energy consumption or operating costs, and |
19 | | may include, without limitation,
one or more of the following:
|
20 | | (1) Insulation of the building structure or systems |
21 | | within the building.
|
22 | | (2) Storm windows or doors, caulking or |
23 | | weatherstripping, multiglazed
windows or doors, heat |
24 | | absorbing or heat reflective glazed and coated
window or |
25 | | door systems, additional glazing, reductions in glass |
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1 | | area, or
other window and door system modifications that |
2 | | reduce energy consumption.
|
3 | | (3) Automated or computerized energy control systems.
|
4 | | (4) Heating, ventilating, or air conditioning system |
5 | | modifications or
replacements.
|
6 | | (5) Replacement or modification of lighting fixtures |
7 | | to increase the
energy efficiency of the lighting system |
8 | | without increasing the overall
illumination of a facility, |
9 | | unless an increase in illumination is necessary
to conform |
10 | | to the applicable State or local building code for the |
11 | | lighting
system after the proposed modifications are made.
|
12 | | (6) Energy recovery systems.
|
13 | | (7) Energy conservation measures that provide |
14 | | long-term operating cost
reductions.
|
15 | | (b) From the effective date of this amendatory Act of the |
16 | | 96th General Assembly until January 1, 2015, "energy |
17 | | conservation measure" includes a renewable energy center pilot |
18 | | project at Eastern Illinois University, provided that: |
19 | | (1) the University signs a partnership contract with a |
20 | | qualified energy conservation measure provider as provided |
21 | | in this Act; |
22 | | (2) the University has responsibility for the |
23 | | qualified provider's actions with regard to applicable |
24 | | laws; |
25 | | (3) the University obtains a performance bond in
|
26 | | accordance with this Act; |
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1 | | (4) the University and the qualified provider follow |
2 | | all aspects of the Prevailing Wage Act as provided by this |
3 | | Act; |
4 | | (5) the University and the qualified provider use an |
5 | | approved list of firms from the Capital Development Board |
6 | | (CDB), unless the University requires services that are not |
7 | | typically performed by the firms on CDB's list; |
8 | | (6) the University provides monthly progress reports |
9 | | to the Procurement Policy Board, and the University allows |
10 | | a representative from CDB to monitor the project, provided |
11 | | that such involvement is at no cost to the University; |
12 | | (7) the University requires the qualified provider to |
13 | | follow the provisions of the Business Enterprise for |
14 | | Minorities, Women, Veterans, and Persons with Disabilities |
15 | | Act and the Public Works Employment Discrimination Act as |
16 | | provided in this Act; |
17 | | (8) the University agrees to award new building |
18 | | construction work to a responsible bidder, as defined in |
19 | | Section 30-22 of the Illinois Procurement Code; |
20 | | (9) the University includes in its contract with the |
21 | | qualified provider a requirement that the qualified |
22 | | provider name the sub-contractors that it will use, and the |
23 | | qualified provider may not change these without the |
24 | | University's written approval; |
25 | | (10) the University follows, to the extent possible, |
26 | | the Design-Build Procurement Act for construction of the |
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1 | | project, taking into consideration the current status of |
2 | | the project; for purposes of this Act, the definition of |
3 | | "State construction agency" in the Design-Build |
4 | | Procurement Act means Eastern Illinois University for the |
5 | | purpose of this project; |
6 | | (11) the University follows, to the extent possible, |
7 | | the Architectural, Engineering, and Land Surveying |
8 | | Qualifications Based Selection Act; |
9 | | (12) the University requires all engineering, |
10 | | architecture, and design work related to the installation |
11 | | or modification of facilities be performed by design |
12 | | professionals licensed by the State of Illinois and |
13 | | professional design firms registered in the State of |
14 | | Illinois; and |
15 | | (13) the University produces annual reports and a final |
16 | | report describing the project upon completion and files the |
17 | | reports with the Procurement Policy Board, CDB, and the |
18 | | General Assembly. |
19 | | The provisions of this subsection (b), other than this |
20 | | sentence, are inoperative after January 1, 2015. |
21 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
22 | | Section 170. The Illinois State University Law is amended |
23 | | by changing Section 20-115 as follows:
|
24 | | (110 ILCS 675/20-115)
|
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1 | | Sec. 20-115. Illinois Institute for Entrepreneurship |
2 | | Education.
|
3 | | (a) There is created, effective July 1, 1997, within the |
4 | | State
at Illinois State University, the Illinois Institute for |
5 | | Entrepreneurship
Education, hereinafter referred to as the |
6 | | Institute.
|
7 | | (b) The Institute created under this Section shall commence |
8 | | its operations
on July 1, 1997 and shall have a board composed |
9 | | of 15 members
representative of education, commerce and |
10 | | industry, government, or labor,
appointed as follows:
2 members |
11 | | shall be
appointees of the Governor, one of whom shall be a |
12 | | minority or woman person
as defined in Section 2 of the |
13 | | Business Enterprise for Minorities, Women, Veterans, and
|
14 | | Persons with Disabilities Act; one member
shall be an appointee |
15 | | of the President of the Senate; one member shall be
an |
16 | | appointee of the Minority Leader of the Senate; one member |
17 | | shall be an
appointee of the Speaker of the House of |
18 | | Representatives; one member shall
be an appointee of the |
19 | | Minority Leader of the House of Representatives;
2 members |
20 | | shall be appointees of Illinois State University;
one member
|
21 | | shall be an appointee of the Board of Higher Education;
one |
22 | | member shall be an appointee of the State Board of Education;
|
23 | | one member shall be
an appointee of the Department of Commerce |
24 | | and Economic Opportunity; one
member
shall be an appointee of |
25 | | the Illinois chapter of Economics America; and 3
members shall |
26 | | be appointed by majority vote of the other 12 appointed members
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1 | | to
represent business owner-entrepreneurs.
Each member shall |
2 | | have
expertise and experience in the area of entrepreneurship |
3 | | education,
including small business and entrepreneurship. The |
4 | | majority of voting
members must be from the private sector.
The |
5 | | members initially appointed to the board of the Institute |
6 | | created under
this Section shall be appointed to take office on |
7 | | July 1, 1997 and shall by lot
determine the length of their |
8 | | respective terms as follows: 5 members shall be
selected by lot |
9 | | to serve terms of one year, 5 members shall be selected by lot
|
10 | | to serve terms of 2 years, and 5 members shall be selected by |
11 | | lot to serve
terms of 3 years.
Subsequent appointees shall each |
12 | | serve terms of 3 years.
The board shall annually select a
|
13 | | chairperson from among its members. Each board member shall |
14 | | serve without
compensation but shall be reimbursed for expenses |
15 | | incurred in the
performance of his or her duties.
|
16 | | (c) The purpose of the Institute shall be to foster the |
17 | | growth and
development of entrepreneurship education in the |
18 | | State of Illinois. The
Institute shall help remedy the |
19 | | deficiencies in the preparation of
entrepreneurship education |
20 | | teachers, increase the quality and quantity of
|
21 | | entrepreneurship education programs, improve instructional |
22 | | materials, and
prepare personnel to serve as leaders and |
23 | | consultants in the field of
entrepreneurship education and |
24 | | economic development. The Institute shall
promote |
25 | | entrepreneurship as a career option, promote and support the
|
26 | | development of innovative entrepreneurship education materials |
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1 | | and delivery
systems, promote business, industry, and |
2 | | education partnerships, promote
collaboration and involvement |
3 | | in entrepreneurship education programs,
encourage and support |
4 | | in-service and preservice teacher education programs
within |
5 | | various
educational systems, and develop and distribute |
6 | | relevant materials. The
Institute shall provide a framework |
7 | | under which the public and private
sectors may work together |
8 | | toward entrepreneurship education goals. These
goals shall be |
9 | | achieved by bringing together programs that have an impact on
|
10 | | entrepreneurship education to achieve coordination among |
11 | | agencies and
greater efficiency in the expenditure of funds.
|
12 | | (d) Beginning July 1, 1997, the Institute shall have the |
13 | | following powers
subject to
State and Illinois State University |
14 | | Board of Trustees regulations and
guidelines:
|
15 | | (1) To employ and determine the compensation of an |
16 | | executive director
and such staff as it deems necessary;
|
17 | | (2) To own property and expend and receive funds and |
18 | | generate funds;
|
19 | | (3) To enter into agreements with public and private |
20 | | entities in the
furtherance of its purpose; and
|
21 | | (4) To request and receive the cooperation and |
22 | | assistance of all State
departments and agencies in the |
23 | | furtherance of its purpose.
|
24 | | (e) The board of the Institute shall be a policy making |
25 | | body with
the responsibility for planning and developing |
26 | | Institute programs.
The Institute,
through the
Board of |
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1 | | Trustees of Illinois State University, shall annually report to
|
2 | | the Governor and General Assembly by January 31 as to
its |
3 | | activities and operations, including its findings and |
4 | | recommendations.
|
5 | | (f) Beginning on July 1, 1997, the Institute created under |
6 | | this Section
shall be deemed designated by law as the successor |
7 | | to the Illinois Institute
for Entrepreneurship Education, |
8 | | previously created and existing under
Section 2-11.5 of the |
9 | | Public Community College Act until its abolition on July
1,
|
10 | | 1997 as provided in that Section. On July 1, 1997, all |
11 | | financial and other
records of the Institute so abolished and |
12 | | all of its property, whether real or
personal, including but |
13 | | not limited to all inventory and equipment, shall be
deemed |
14 | | transferred by operation of law to the Illinois Institute for
|
15 | | Entrepreneurship Education created under this Section 20-115. |
16 | | The Illinois
Institute for Entrepreneurship Education created |
17 | | under this Section 20-115
shall have, with respect to the |
18 | | predecessor Institute so abolished, all
authority, powers, and |
19 | | duties of a successor agency under Section 10-15 of the
|
20 | | Successor Agency Act.
|
21 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
22 | | Section 175. The Public Utilities Act is amended by |
23 | | changing Section 9-220 as follows:
|
24 | | (220 ILCS 5/9-220) (from Ch. 111 2/3, par. 9-220)
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1 | | Sec. 9-220. Rate changes based on changes in fuel costs. |
2 | | (a) Notwithstanding the provisions of Section 9-201, the
|
3 | | Commission may authorize the increase or decrease of rates and |
4 | | charges
based upon changes in the cost of fuel used in the |
5 | | generation or production
of electric power, changes in the cost |
6 | | of purchased power, or changes in
the cost of purchased gas |
7 | | through the application of fuel adjustment
clauses or purchased |
8 | | gas adjustment clauses. The Commission may also
authorize the |
9 | | increase or decrease of rates and charges based upon |
10 | | expenditures
or revenues resulting from the purchase or sale of |
11 | | emission allowances created
under the federal Clean Air Act |
12 | | Amendments of 1990,
through such fuel adjustment clauses, as a |
13 | | cost of fuel. For the purposes of
this paragraph, cost of fuel |
14 | | used in the generation or production of electric
power shall |
15 | | include the amount of any fees paid by the utility for the
|
16 | | implementation and operation of a process for the |
17 | | desulfurization of the
flue gas when burning high sulfur coal |
18 | | at any location within the State of
Illinois irrespective of |
19 | | the attainment status designation of such
location; but shall |
20 | | not include transportation costs
of coal
(i) except to the |
21 | | extent that for contracts entered into on
and after the |
22 | | effective date of this amendatory Act of 1997,
the cost of the |
23 | | coal, including transportation costs,
constitutes the lowest |
24 | | cost for adequate and reliable fuel
supply reasonably available |
25 | | to the public utility in
comparison to the cost, including |
26 | | transportation costs, of
other adequate and reliable sources of |
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1 | | fuel supply reasonably
available to the public utility, or (ii)
|
2 | | except as otherwise provided in the next 3 sentences of this |
3 | | paragraph.
Such costs of fuel
shall, when requested by a |
4 | | utility or at the conclusion of the utility's
next general |
5 | | electric rate proceeding, whichever shall first occur, include
|
6 | | transportation costs of coal purchased under existing coal |
7 | | purchase
contracts. For purposes of this paragraph "existing |
8 | | coal purchase
contracts" means contracts for the purchase of |
9 | | coal in effect on the
effective date of this amendatory Act of |
10 | | 1991, as such contracts may
thereafter be amended, but only to |
11 | | the extent that any such amendment does
not increase the |
12 | | aggregate quantity of coal to be purchased under such
contract.
|
13 | | Nothing herein shall authorize an electric utility
to recover |
14 | | through its fuel adjustment clause any amounts of
|
15 | | transportation costs of coal that were included in the revenue
|
16 | | requirement used to set base rates in its most recent general
|
17 | | rate proceeding.
Cost shall be based upon uniformly applied |
18 | | accounting
principles. Annually, the Commission shall initiate |
19 | | public hearings to
determine whether the clauses reflect actual |
20 | | costs of fuel, gas, power, or
coal transportation purchased to |
21 | | determine whether such purchases were
prudent, and to reconcile |
22 | | any amounts collected with the actual costs of
fuel, power, |
23 | | gas, or coal transportation prudently purchased. In each such
|
24 | | proceeding, the burden of proof shall be upon the utility to |
25 | | establish the
prudence of its cost of fuel, power, gas, or coal
|
26 | | transportation purchases
and costs.
The Commission shall
issue |
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1 | | its final order in each such annual proceeding for an
electric |
2 | | utility by December 31 of the year immediately
following the |
3 | | year to which the proceeding pertains, provided,
that the |
4 | | Commission shall issue its final order with respect
to such |
5 | | annual proceeding for the years 1996 and earlier by December |
6 | | 31, 1998. |
7 | | (b) A public utility providing electric service, other than |
8 | | a public utility
described in subsections (e) or (f) of this |
9 | | Section, may at
any time during the mandatory transition period |
10 | | file with the
Commission proposed tariff sheets that eliminate |
11 | | the public
utility's fuel adjustment clause and adjust the |
12 | | public
utility's base rate tariffs by the amount necessary for |
13 | | the
base fuel component of the base rates to recover the public
|
14 | | utility's average fuel and power supply costs per kilowatt-hour |
15 | | for the 2
most recent years for which the Commission
has issued |
16 | | final orders in annual proceedings pursuant to
subsection (a), |
17 | | where the average fuel and power supply costs
per kilowatt-hour |
18 | | shall be calculated as the sum of the public
utility's prudent |
19 | | and allowable fuel and power supply costs as
found by the |
20 | | Commission in the 2 proceedings divided by the
public utility's |
21 | | actual jurisdictional kilowatt-hour sales for
those 2 years. |
22 | | Notwithstanding any contrary or inconsistent
provisions in |
23 | | Section 9-201 of this Act, in subsection (a) of
this Section or |
24 | | in any rules or regulations promulgated by the
Commission |
25 | | pursuant to subsection (g) of this Section, the
Commission |
26 | | shall review and shall by order approve, or approve
as |
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1 | | modified, the proposed tariff sheets within 60 days after
the |
2 | | date of the public utility's filing. The Commission may
modify |
3 | | the public utility's proposed tariff sheets only to the
extent |
4 | | the Commission finds necessary to achieve conformance
to the |
5 | | requirements of this subsection (b). During the 5
years |
6 | | following the date of the Commission's order, but in any
event |
7 | | no earlier than January 1, 2007, a public utility whose
fuel |
8 | | adjustment clause has been eliminated pursuant to this
|
9 | | subsection shall not file proposed tariff sheets seeking, or
|
10 | | otherwise petition the Commission for, reinstatement of a fuel
|
11 | | adjustment clause. |
12 | | (c) Notwithstanding any contrary or inconsistent
|
13 | | provisions in Section 9-201 of this Act, in subsection (a) of
|
14 | | this Section or in any rules or regulations promulgated by the
|
15 | | Commission pursuant to subsection (g) of this Section, a
public |
16 | | utility providing electric service, other than a public utility
|
17 | | described
in subsection (e) or (f) of this Section, may at any |
18 | | time
during the mandatory transition period file with the
|
19 | | Commission proposed tariff sheets that establish the rate per
|
20 | | kilowatt-hour to be applied pursuant to the public utility's
|
21 | | fuel adjustment clause at the average value for such rate
|
22 | | during the preceding 24 months, provided that such average
rate |
23 | | results in a credit to customers' bills, without making
any |
24 | | revisions to the public utility's base rate tariffs. The
|
25 | | proposed tariff sheets shall establish the fuel adjustment
rate |
26 | | for a specific time period of at least 3 years but not
more |
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1 | | than 5 years, provided that the terms and conditions for
any |
2 | | reinstatement earlier than 5 years shall be set forth in
the |
3 | | proposed tariff sheets and subject to modification or
approval |
4 | | by the Commission. The Commission shall review and
shall by |
5 | | order approve the proposed tariff sheets if it finds
that the |
6 | | requirements of this subsection are met. The
Commission shall |
7 | | not conduct the annual hearings specified in the
last 3 |
8 | | sentences of subsection (a) of this Section for the
utility for |
9 | | the period that the factor established pursuant to
this |
10 | | subsection is in effect. |
11 | | (d) A public utility providing electric service, or a |
12 | | public utility
providing gas service
may file with the |
13 | | Commission proposed tariff sheets that
eliminate the public |
14 | | utility's fuel or purchased gas
adjustment clause and adjust |
15 | | the public utility's base rate
tariffs to provide for recovery |
16 | | of power supply costs or gas
supply costs that would have been |
17 | | recovered through such
clause; provided, that the provisions of |
18 | | this subsection (d) shall not be
available to a public utility |
19 | | described in subsections (e) or (f) of this
Section to |
20 | | eliminate its fuel adjustment clause. Notwithstanding any |
21 | | contrary
or inconsistent
provisions in Section 9-201 of this |
22 | | Act, in subsection (a) of
this Section, or in any rules or |
23 | | regulations promulgated by
the Commission pursuant to |
24 | | subsection (g) of this Section, the
Commission shall review and |
25 | | shall by order approve, or approve
as modified in the |
26 | | Commission's order, the proposed tariff
sheets within 240 days |
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1 | | after the date of the public utility's
filing. The Commission's |
2 | | order shall approve rates and
charges that the Commission, |
3 | | based on information in the
public utility's filing or on the |
4 | | record if a hearing is held
by the Commission, finds will |
5 | | recover the reasonable, prudent
and necessary jurisdictional |
6 | | power supply costs or gas supply
costs incurred or to be |
7 | | incurred by the public utility during
a 12 month period found |
8 | | by the Commission to be appropriate
for these purposes, |
9 | | provided, that such period shall be either
(i) a 12 month |
10 | | historical period occurring during the 15
months ending on the |
11 | | date of the public utility's filing, or
(ii) a 12 month future |
12 | | period ending no later than 15 months
following the date of the |
13 | | public utility's filing. The public
utility shall include with |
14 | | its tariff filing information
showing both (1) its actual |
15 | | jurisdictional power supply costs
or gas supply costs for a 12 |
16 | | month historical period
conforming to (i) above and (2) its |
17 | | projected jurisdictional
power supply costs or gas supply costs |
18 | | for a future 12 month
period conforming to (ii) above. If the |
19 | | Commission's order
requires modifications in the tariff sheets |
20 | | filed by the
public utility, the public utility shall have 7 |
21 | | days following
the date of the order to notify the Commission |
22 | | whether the
public utility will implement the modified tariffs |
23 | | or elect to
continue its fuel or purchased gas adjustment |
24 | | clause in force
as though no order had been entered. The |
25 | | Commission's order
shall provide for any reconciliation of |
26 | | power supply costs or
gas supply costs, as the case may be, and |
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1 | | associated revenues
through the date that the public utility's |
2 | | fuel or purchased
gas adjustment clause is eliminated. During |
3 | | the 5 years
following the date of the Commission's order, a |
4 | | public utility
whose fuel or purchased gas adjustment clause |
5 | | has been
eliminated pursuant to this subsection shall not file |
6 | | proposed
tariff sheets seeking, or otherwise petition the |
7 | | Commission
for, reinstatement or adoption of a fuel or |
8 | | purchased gas
adjustment clause. Nothing in this subsection (d) |
9 | | shall be
construed as limiting the Commission's authority to |
10 | | eliminate
a public utility's fuel adjustment clause or |
11 | | purchased gas
adjustment clause in accordance with any other |
12 | | applicable
provisions of this Act. |
13 | | (e) Notwithstanding any contrary or inconsistent |
14 | | provisions in
Section 9-201 of this Act, in subsection (a) of |
15 | | this Section, or in
any rules promulgated by the Commission |
16 | | pursuant
to subsection (g) of this Section, a public utility |
17 | | providing
electric service to more than 1,000,000 customers in |
18 | | this State may, within the
first 6 months after the
effective |
19 | | date of this amendatory Act of 1997, file with the
Commission |
20 | | proposed tariff sheets that eliminate, effective
January 1, |
21 | | 1997, the public utility's fuel adjustment clause
without |
22 | | adjusting its base rates, and such tariff sheets shall be
|
23 | | effective upon filing. To the extent the application of the |
24 | | fuel
adjustment clause had resulted in net charges to customers |
25 | | after
January 1, 1997, the utility shall also file a tariff |
26 | | sheet that
provides for a refund stated on a per kilowatt-hour |
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1 | | basis of such
charges over a period not to exceed 6 months; |
2 | | provided
however, that such refund shall not include the |
3 | | proportional
amounts of taxes paid under the Use Tax Act, |
4 | | Service Use Tax Act,
Service Occupation Tax Act, and Retailers' |
5 | | Occupation Tax Act on
fuel used in generation. The Commission |
6 | | shall issue an order
within 45 days after the date of the |
7 | | public utility's filing
approving or approving as modified such |
8 | | tariff sheet. If the fuel
adjustment clause is eliminated |
9 | | pursuant to this subsection, the
Commission shall not conduct |
10 | | the annual hearings specified in the
last 3 sentences of |
11 | | subsection (a) of this Section for the
utility for any period |
12 | | after December 31, 1996 and prior to any
reinstatement of such |
13 | | clause. A public utility whose fuel
adjustment clause has been |
14 | | eliminated pursuant to this subsection
shall not file a |
15 | | proposed tariff sheet seeking, or otherwise
petition the |
16 | | Commission for, reinstatement of the fuel adjustment
clause |
17 | | prior to January 1, 2007. |
18 | | (f) Notwithstanding any contrary or inconsistent |
19 | | provisions in Section
9-201 of this Act, in subsection (a) of |
20 | | this Section, or in any rules or
regulations promulgated by the |
21 | | Commission pursuant to subsection (g) of this
Section, a public |
22 | | utility providing electric service to more than 500,000
|
23 | | customers but fewer than 1,000,000 customers in this State may, |
24 | | within the
first
6 months after the effective date of this |
25 | | amendatory Act of 1997, file with the
Commission proposed |
26 | | tariff sheets that eliminate, effective January 1, 1997,
the |
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1 | | public utility's fuel adjustment clause and adjust its base |
2 | | rates by the
amount necessary for the base fuel component of |
3 | | the base rates to recover
91% of the public utility's average |
4 | | fuel and power supply costs for the 2 most
recent years for |
5 | | which the Commission, as of January 1, 1997, has issued final
|
6 | | orders in annual proceedings pursuant to subsection (a), where |
7 | | the average fuel
and power supply costs per kilowatt-hour shall |
8 | | be calculated as the sum of the
public utility's prudent and |
9 | | allowable fuel and power supply costs as found by
the |
10 | | Commission in the 2 proceedings divided by the public utility's |
11 | | actual
jurisdictional kilowatt-hour sales for those 2 years, |
12 | | provided, that such
tariff sheets shall be effective upon |
13 | | filing. To the extent the application of
the fuel adjustment |
14 | | clause had resulted in net charges to customers after
January |
15 | | 1, 1997, the utility shall also file a tariff sheet that |
16 | | provides for a
refund stated on a per kilowatt-hour basis of |
17 | | such charges over a period not to
exceed 6 months. Provided |
18 | | however, that such refund shall not include the
proportional |
19 | | amounts of taxes paid under the Use Tax Act, Service Use Tax |
20 | | Act,
Service Occupation Tax Act, and Retailers' Occupation Tax |
21 | | Act on fuel used in
generation. The Commission shall issue an |
22 | | order within 45 days after the date
of the public utility's |
23 | | filing approving or approving as modified such tariff
sheet. If |
24 | | the fuel adjustment clause is eliminated pursuant to this
|
25 | | subsection, the Commission shall not conduct the annual |
26 | | hearings specified in
the last 3 sentences of subsection (a) of |
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1 | | this Section for the utility for any
period after December 31, |
2 | | 1996 and prior to any reinstatement of such clause.
A public |
3 | | utility whose fuel adjustment clause has been eliminated |
4 | | pursuant to
this subsection shall not file a proposed tariff |
5 | | sheet seeking, or otherwise
petition the Commission for, |
6 | | reinstatement of the fuel adjustment clause prior
to January 1, |
7 | | 2007. |
8 | | (g) The Commission shall have authority to promulgate rules |
9 | | and
regulations to
carry out the provisions of this Section. |
10 | | (h) Any Illinois gas utility may enter into a contract on |
11 | | or before September 30, 2011 for up to 10 years of supply with |
12 | | any company for the purchase of substitute natural gas (SNG) |
13 | | produced from coal through the gasification process if the |
14 | | company has commenced construction of a clean coal SNG facility |
15 | | by July 1, 2012 and commencement of construction shall mean |
16 | | that material physical site work has occurred, such as site |
17 | | clearing and excavation, water runoff prevention, water |
18 | | retention reservoir preparation, or foundation development. |
19 | | The contract shall contain the following provisions: (i) at |
20 | | least 90% of feedstock to be used in the gasification process |
21 | | shall be coal with a high volatile bituminous rank and greater |
22 | | than 1.7 pounds of sulfur per million Btu content; (ii) at the |
23 | | time the contract term commences, the price per million Btu may |
24 | | not exceed $7.95 in 2008 dollars, adjusted annually based on |
25 | | the change in the Annual Consumer Price Index for All Urban |
26 | | Consumers for the Midwest Region as published in April by the |
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1 | | United States Department of Labor, Bureau of Labor Statistics |
2 | | (or a suitable Consumer Price Index calculation if this |
3 | | Consumer Price Index is not available) for the previous |
4 | | calendar year; provided that the price per million Btu shall |
5 | | not exceed $9.95 at any time during the contract; (iii) the |
6 | | utility's supply contract for the purchase of SNG does not |
7 | | exceed 15% of the annual system supply requirements of the |
8 | | utility as of 2008; and (iv) the contract costs pursuant to |
9 | | subsection (h-10) of this Section shall not include any |
10 | | lobbying expenses, charitable contributions, advertising, |
11 | | organizational memberships, carbon dioxide pipeline or |
12 | | sequestration expenses, or marketing expenses. |
13 | | Any gas utility that is providing service to more than |
14 | | 150,000 customers on August 2, 2011 (the effective date of |
15 | | Public Act 97-239) shall either elect to enter into a contract |
16 | | on or before September 30, 2011 for 10 years of SNG supply with |
17 | | the owner of a clean coal SNG facility or to file biennial rate |
18 | | proceedings before the Commission in the years 2012, 2014, and |
19 | | 2016, with such filings made after August 2, 2011 and no later |
20 | | than September 30 of the years 2012, 2014, and 2016 consistent |
21 | | with all requirements of 83 Ill. Adm. Code 255 and 285 as |
22 | | though the gas utility were filing for an increase in its |
23 | | rates, without regard to whether such filing would produce an |
24 | | increase, a decrease, or no change in the gas utility's rates, |
25 | | and the Commission shall review the gas utility's filing and |
26 | | shall issue its order in accordance with the provisions of |
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1 | | Section 9-201 of this Act. |
2 | | Within 7 days after August 2, 2011, the owner of the clean |
3 | | coal SNG facility shall submit to the Illinois Power Agency and |
4 | | each gas utility that is providing service to more than 150,000 |
5 | | customers on August 2, 2011 a copy of a draft contract. Within |
6 | | 30 days after the receipt of the draft contract, each such gas |
7 | | utility shall provide the Illinois Power Agency and the owner |
8 | | of the clean coal SNG facility with its comments and |
9 | | recommended revisions to the draft contract. Within 7 days |
10 | | after the receipt of the gas utility's comments and recommended |
11 | | revisions, the owner of the facility shall submit its |
12 | | responsive comments and a further revised draft of the contract |
13 | | to the Illinois Power Agency. The Illinois Power Agency shall |
14 | | review the draft contract and comments. |
15 | | During its review of the draft contract, the Illinois Power |
16 | | Agency shall: |
17 | | (1) review and confirm in writing that the terms stated |
18 | | in this subsection (h) are incorporated in the SNG |
19 | | contract; |
20 | | (2) review the SNG pricing formula included in the |
21 | | contract and approve that formula if the Illinois Power |
22 | | Agency determines that the formula, at the time the |
23 | | contract term commences: (A) starts with a price of $6.50 |
24 | | per MMBtu adjusted by the adjusted final capitalized plant |
25 | | cost; (B) takes into account budgeted miscellaneous net |
26 | | revenue after cost allowance, including sale of SNG |
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1 | | produced by the clean coal SNG facility above the nameplate |
2 | | capacity of the facility and other by-products produced by |
3 | | the facility, as approved by the Illinois Power Agency; (C) |
4 | | does not include carbon dioxide transportation or |
5 | | sequestration expenses; and (D) includes all provisions |
6 | | required under this subsection (h); if the Illinois Power |
7 | | Agency does not approve of the SNG pricing formula, then |
8 | | the Illinois Power Agency shall modify the formula to |
9 | | ensure that it meets the requirements of this subsection |
10 | | (h); |
11 | | (3) review and approve the amount of budgeted |
12 | | miscellaneous net revenue after cost allowance, including |
13 | | sale of SNG produced by the clean coal SNG facility above |
14 | | the nameplate capacity of the facility and other |
15 | | by-products produced by the facility, to be included in the |
16 | | pricing formula; the Illinois Power Agency shall approve |
17 | | the amount of budgeted miscellaneous net revenue to be |
18 | | included in the pricing formula if it determines the |
19 | | budgeted amount to be reasonable and accurate; |
20 | | (4) review and confirm in writing that using the EIA |
21 | | Annual Energy Outlook-2011 Henry Hub Spot Price, the |
22 | | contract terms set out in subsection (h), the |
23 | | reconciliation account terms as set out in subsection |
24 | | (h-15), and an estimated inflation rate of 2.5% for each |
25 | | corresponding year, that there will be no cumulative |
26 | | estimated increase for residential customers; and |
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1 | | (5) allocate the nameplate capacity of the clean coal |
2 | | SNG by total therms sold to ultimate customers by each gas |
3 | | utility in 2008; provided, however, no utility shall be |
4 | | required to purchase more than 42% of the projected annual |
5 | | output of the facility; additionally, the Illinois Power |
6 | | Agency shall further adjust the allocation only as required |
7 | | to take into account (A) adverse consolidation, |
8 | | derivative, or lease impacts to the balance sheet or income |
9 | | statement of any gas utility or (B) the physical capacity |
10 | | of the gas utility to accept SNG. |
11 | | If the parties to the contract do not agree on the terms |
12 | | therein, then the Illinois Power Agency shall retain an |
13 | | independent mediator to mediate the dispute between the |
14 | | parties. If the parties are in agreement on the terms of the |
15 | | contract, then the Illinois Power Agency shall approve the |
16 | | contract. If after mediation the parties have failed to come to |
17 | | agreement, then the Illinois Power Agency shall revise the |
18 | | draft contract as necessary to confirm that the contract |
19 | | contains only terms that are reasonable and equitable. The |
20 | | Illinois Power Agency may, in its discretion, retain an |
21 | | independent, qualified, and experienced expert to assist in its |
22 | | obligations under this subsection (h). The Illinois Power |
23 | | Agency shall adopt and make public policies detailing the |
24 | | processes for retaining a mediator and an expert under this |
25 | | subsection (h). Any mediator or expert retained under this |
26 | | subsection (h) shall be retained no later than 60 days after |
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1 | | August 2, 2011. |
2 | | The Illinois Power Agency shall complete all of its |
3 | | responsibilities under this subsection (h) within 60 days after |
4 | | August 2, 2011. The clean coal SNG facility shall pay a |
5 | | reasonable fee as required by the Illinois Power Agency for its |
6 | | services under this subsection (h) and shall pay the mediator's |
7 | | and expert's reasonable fees, if any. A gas utility and its |
8 | | customers shall have no obligation to reimburse the clean coal |
9 | | SNG facility or the Illinois Power Agency of any such costs. |
10 | | Within 30 days after commercial production of SNG has |
11 | | begun, the Commission shall initiate a review to determine |
12 | | whether the final capitalized plant cost of the clean coal SNG |
13 | | facility reflects actual incurred costs and whether the |
14 | | incurred costs were reasonable. In determining the actual |
15 | | incurred costs included in the final capitalized plant cost and |
16 | | the reasonableness of those costs, the Commission may in its |
17 | | discretion retain independent, qualified, and experienced |
18 | | experts to assist in its determination. The expert shall not |
19 | | own or control any direct or indirect interest in the clean |
20 | | coal SNG facility and shall have no contractual relationship |
21 | | with the clean coal SNG facility. If an expert is retained by |
22 | | the Commission, then the clean coal SNG facility shall pay the |
23 | | expert's reasonable fees. The fees shall not be passed on to a |
24 | | utility or its customers. The Commission shall adopt and make |
25 | | public a policy detailing the process for retaining experts |
26 | | under this subsection (h). |
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1 | | Within 30 days after completion of its review, the |
2 | | Commission shall initiate a formal proceeding on the final |
3 | | capitalized plant cost of the clean coal SNG facility at which |
4 | | comments and testimony may be submitted by any interested |
5 | | parties and the public. If the Commission finds that the final |
6 | | capitalized plant cost includes costs that were not actually |
7 | | incurred or costs that were unreasonably incurred, then the |
8 | | Commission shall disallow the amount of non-incurred or |
9 | | unreasonable costs from the SNG price under contracts entered |
10 | | into under this subsection (h). If the Commission disallows any |
11 | | costs, then the Commission shall adjust the SNG price using the |
12 | | price formula in the contract approved by the Illinois Power |
13 | | Agency under this subsection (h) to reflect the disallowed |
14 | | costs and shall enter an order specifying the revised price. In |
15 | | addition, the Commission's order shall direct the clean coal |
16 | | SNG facility to issue refunds of such sums as shall represent |
17 | | the difference between actual gross revenues and the gross |
18 | | revenue that would have been obtained based upon the same |
19 | | volume, from the price revised by the Commission. Any refund |
20 | | shall include interest calculated at a rate determined by the |
21 | | Commission and shall be returned according to procedures |
22 | | prescribed by the Commission. |
23 | | Nothing in this subsection (h) shall preclude any party |
24 | | affected by a decision of the Commission under this subsection |
25 | | (h) from seeking judicial review of the Commission's decision. |
26 | | (h-1) Any Illinois gas utility may enter into a sourcing |
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1 | | agreement for up to 30 years of supply with the clean coal SNG |
2 | | brownfield facility if the clean coal SNG brownfield facility |
3 | | has commenced construction. Any gas utility that is providing |
4 | | service to more than 150,000 customers on July 13, 2011 (the |
5 | | effective date of Public Act 97-096) shall either elect to file |
6 | | biennial rate proceedings before the Commission in the years |
7 | | 2012, 2014, and 2016 or enter into a sourcing agreement or |
8 | | sourcing agreements with a clean coal SNG brownfield facility |
9 | | with an initial term of 30 years for either (i) a percentage of |
10 | | 43,500,000,000 cubic feet per year, such that the utilities |
11 | | entering into sourcing agreements with the clean coal SNG |
12 | | brownfield facility purchase 100%,
allocated by total therms |
13 | | sold to ultimate customers by each
gas utility in 2008 or (ii) |
14 | | such lesser amount as may be available from the clean coal SNG |
15 | | brownfield facility; provided that no utility shall be required |
16 | | to purchase more than 42% of the projected annual output of the |
17 | | clean coal SNG brownfield facility, with the remainder of such |
18 | | utility's obligation to be divided proportionately between the |
19 | | other utilities, and provided that the Illinois Power Agency |
20 | | shall
further adjust the allocation only as required to take |
21 | | into
account adverse consolidation, derivative, or lease |
22 | | impacts to
the balance sheet or income statement of any gas |
23 | | utility. |
24 | | A gas utility electing to file biennial rate proceedings |
25 | | before the Commission must file a notice of its election with |
26 | | the Commission within 60 days after July 13, 2011 or its right |
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1 | | to make the election is irrevocably waived. A gas utility |
2 | | electing to file biennial rate proceedings shall make such |
3 | | filings no later than August 1 of the years 2012, 2014, and |
4 | | 2016, consistent with all requirements of 83 Ill. Adm. Code 255 |
5 | | and 285 as though the gas utility were filing for an increase |
6 | | in its rates, without regard to whether such filing would |
7 | | produce an increase, a decrease, or no change in the gas |
8 | | utility's rates, and notwithstanding any other provisions of |
9 | | this Act, the Commission shall fully review the gas utility's |
10 | | filing and shall issue its order in accordance with the |
11 | | provisions of Section 9-201 of this Act, regardless of whether |
12 | | the
Commission has approved a formula rate for the gas utility. |
13 | | Within 15 days after July 13, 2011, the owner of the clean |
14 | | coal SNG brownfield facility shall submit to the Illinois Power |
15 | | Agency and each gas utility that is providing service to more |
16 | | than 150,000 customers on July 13, 2011 a copy of a draft |
17 | | sourcing agreement. Within 45 days after receipt of the draft |
18 | | sourcing agreement, each such gas utility shall provide the |
19 | | Illinois Power Agency and the owner of a clean coal SNG |
20 | | brownfield facility with its comments and recommended |
21 | | revisions to the draft sourcing agreement. Within 15 days after |
22 | | the receipt of the gas utility's comments and recommended |
23 | | revisions, the owner of the clean coal SNG brownfield facility |
24 | | shall submit its responsive comments and a further revised |
25 | | draft of the sourcing agreement to the Illinois Power Agency. |
26 | | The Illinois Power Agency shall review the draft sourcing |
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1 | | agreement and comments. |
2 | | If the parties to the sourcing agreement do not agree on |
3 | | the terms therein, then the Illinois Power Agency shall retain |
4 | | an independent mediator to mediate the dispute between the |
5 | | parties. If the parties are in agreement on the terms of the |
6 | | sourcing agreement, the Illinois Power Agency shall approve the |
7 | | final draft sourcing agreement. If after mediation the parties |
8 | | have failed to come to agreement, then the Illinois Power |
9 | | Agency shall revise the draft sourcing agreement as necessary |
10 | | to confirm that the final draft sourcing agreement contains |
11 | | only terms that are reasonable and equitable. The Illinois |
12 | | Power Agency shall adopt and make public a policy detailing the |
13 | | process for retaining a mediator under this subsection (h-1). |
14 | | Any mediator retained to assist with mediating disputes between |
15 | | the parties regarding the sourcing agreement shall be retained |
16 | | no later than 60 days after July 13, 2011. |
17 | | Upon approval of a final draft agreement, the Illinois |
18 | | Power Agency shall submit the final draft agreement to the |
19 | | Capital Development Board and the Commission no later than 90 |
20 | | days after July 13, 2011. The gas utility and the clean coal |
21 | | SNG brownfield facility shall pay a reasonable fee as required |
22 | | by the Illinois Power Agency for its services under this |
23 | | subsection (h-1) and shall pay the mediator's reasonable fees, |
24 | | if any. The Illinois Power Agency shall adopt and make public a |
25 | | policy detailing the process for retaining a mediator under |
26 | | this Section. |
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1 | | The sourcing agreement between a gas utility and the clean |
2 | | coal SNG brownfield facility shall contain the following |
3 | | provisions: |
4 | | (1) Any and all coal used in the gasification process |
5 | | must be coal that has high volatile bituminous rank and |
6 | | greater than 1.7 pounds of sulfur per million Btu content. |
7 | | (2) Coal and petroleum coke are feedstocks for the |
8 | | gasification process, with coal comprising at least 50% of |
9 | | the total feedstock over the term of the sourcing agreement |
10 | | unless the facility reasonably determines that it is
|
11 | | necessary to use additional petroleum coke to deliver net
|
12 | | consumer savings, in which case the facility shall use
coal |
13 | | for at least 35% of the total feedstock over the
term of |
14 | | any sourcing agreement and with the feedstocks to be |
15 | | procured in accordance with requirements of Section 1-78 of |
16 | | the Illinois Power Agency Act. |
17 | | (3) The sourcing agreement has an initial term that |
18 | | once entered into terminates no more than 30 years after |
19 | | the commencement of the commercial production of SNG at the |
20 | | clean coal SNG brownfield facility. |
21 | | (4) The clean coal SNG brownfield facility guarantees a |
22 | | minimum of $100,000,000 in consumer savings to customers of
|
23 | | the utilities that have entered into sourcing agreements
|
24 | | with the clean coal SNG brownfield facility, calculated in |
25 | | real 2010 dollars at the conclusion of the term of the |
26 | | sourcing agreement by comparing the delivered SNG price to |
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1 | | the Chicago City-gate price on a weighted daily basis for |
2 | | each day over the entire term of the sourcing agreement, to |
3 | | be provided in accordance with subsection (h-2) of this |
4 | | Section. |
5 | | (5) Prior to the clean coal SNG brownfield facility |
6 | | issuing a notice to proceed to construction, the clean coal |
7 | | SNG brownfield facility shall establish a consumer |
8 | | protection reserve account for the benefit of the customers |
9 | | of the utilities that have entered into sourcing agreements |
10 | | with the clean coal SNG brownfield facility pursuant to |
11 | | this subsection (h-1), with cash principal in the amount of |
12 | | $150,000,000. This cash principal shall only be |
13 | | recoverable through the consumer protection reserve |
14 | | account and not as a cost to be recovered in the delivered |
15 | | SNG price pursuant to subsection (h-3) of this Section. The |
16 | | consumer protection reserve account shall be maintained |
17 | | and administered by an independent trustee that is mutually |
18 | | agreed upon by the clean coal SNG brownfield facility, the |
19 | | utilities, and the Commission in an interest-bearing |
20 | | account in accordance with subsection (h-2) of this |
21 | | Section. |
22 | | "Consumer protection reserve account principal maximum |
23 | | amount" shall mean the maximum amount of principal to be |
24 | | maintained in the consumer protection reserve account. |
25 | | During the first 2 years of operation of the facility, |
26 | | there shall be no consumer protection reserve account |
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1 | | maximum amount. After the first 2 years of operation of the |
2 | | facility, the consumer protection reserve account maximum |
3 | | amount shall be $150,000,000. After 5 years of operation, |
4 | | and every 5 years thereafter, the trustee shall calculate |
5 | | the 5-year average balance of the consumer protection |
6 | | reserve account. If the trustee determines that during the |
7 | | prior 5 years the consumer protection reserve account has |
8 | | had an average account balance of less than $75,000,000, |
9 | | then the consumer protection reserve account principal |
10 | | maximum amount shall be increased by $5,000,000. If the |
11 | | trustee determines that during the prior 5 years the |
12 | | consumer protection reserve account has had an average |
13 | | account balance of more than $75,000,000, then the consumer |
14 | | protection reserve account principal maximum amount shall |
15 | | be decreased by $5,000,000. |
16 | | (6) The clean coal SNG brownfield facility shall |
17 | | identify and sell economically viable by-products produced |
18 | | by the facility. |
19 | | (7) Fifty percent of all additional net revenue, |
20 | | defined as miscellaneous net revenue from products |
21 | | produced by the
facility and delivered during the month |
22 | | after cost allowance for costs associated with additional |
23 | | net revenue that are not otherwise recoverable pursuant to |
24 | | subsection (h-3) of this Section, including net revenue |
25 | | from sales of substitute natural gas derived from the |
26 | | facility above the nameplate capacity of the facility and |
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1 | | other by-products produced by the facility, shall be |
2 | | credited to the consumer protection reserve account |
3 | | pursuant to subsection (h-2) of this Section. |
4 | | (8) The delivered SNG price per million btu to be paid |
5 | | monthly by the utility to the clean coal SNG brownfield |
6 | | facility, which shall be based only upon the following: (A) |
7 | | a capital recovery charge, operations and maintenance |
8 | | costs, and sequestration costs, only to the extent approved |
9 | | by the Commission pursuant to paragraphs (1), (2), and (3) |
10 | | of subsection (h-3) of this Section; (B) the actual |
11 | | delivered and processed fuel costs pursuant to paragraph |
12 | | (4) of subsection (h-3) of this Section; (C) actual costs |
13 | | of SNG transportation pursuant to paragraph (6) of |
14 | | subsection (h-3) of this Section; (D) certain taxes and |
15 | | fees imposed by the federal government, the State, or any |
16 | | unit of local government as provided in paragraph (6) of |
17 | | subsection (h-3) of this Section; and (E) the credit, if |
18 | | any, from the consumer protection reserve account pursuant |
19 | | to subsection (h-2) of this Section. The delivered SNG |
20 | | price per million Btu shall proportionately reflect these |
21 | | elements over the term of the sourcing agreement. |
22 | | (9) A formula to translate the recoverable costs and |
23 | | charges under subsection (h-3) of this Section into the |
24 | | delivered SNG price per million btu. |
25 | | (10) Title to the SNG shall pass at a mutually |
26 | | agreeable point in Illinois, and may provide that, rather |
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1 | | than the utility taking title to the SNG, a mutually agreed |
2 | | upon third-party gas marketer pursuant to a contract |
3 | | approved by the Illinois Power Agency or its designee may |
4 | | take title to the SNG pursuant to an agreement between the |
5 | | utility, the owner of the clean coal SNG brownfield |
6 | | facility, and the third-party gas marketer. |
7 | | (11) A utility may exit the sourcing agreement without |
8 | | penalty if the clean coal SNG brownfield facility does not |
9 | | commence construction by July 1, 2015. |
10 | | (12) A utility is responsible to pay only the |
11 | | Commission determined unit price cost of SNG that is |
12 | | purchased by the utility. Nothing in the sourcing agreement |
13 | | will obligate a utility to invest capital in a clean coal |
14 | | SNG brownfield facility. |
15 | | (13) The quality of SNG must, at a minimum, be |
16 | | equivalent to the quality required for interstate pipeline |
17 | | gas before a utility is required to accept and pay for SNG |
18 | | gas. |
19 | | (14) Nothing in the sourcing agreement will require a |
20 | | utility to construct any facilities to accept delivery of |
21 | | SNG. Provided, however, if a utility is required by law or |
22 | | otherwise elects to connect the clean coal SNG brownfield |
23 | | facility to an interstate pipeline, then the utility shall |
24 | | be entitled to recover pursuant to its tariffs all just and |
25 | | reasonable costs that are prudently incurred. Any costs |
26 | | incurred by the utility to receive, deliver, manage, or |
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1 | | otherwise accommodate purchases under the SNG sourcing |
2 | | agreement will be fully recoverable through a utility's |
3 | | purchased gas adjustment clause rider mechanism in
|
4 | | conjunction with a SNG brownfield facility rider
|
5 | | mechanism. The SNG brownfield facility rider mechanism
(A) |
6 | | shall be applicable to all customers who receive
|
7 | | transportation service from the utility, (B) shall be
|
8 | | designed to have an equal percent impact on the
|
9 | | transportation services rates of each class of the
|
10 | | utility's customers, and (C) shall accurately reflect the
|
11 | | net consumer savings, if any, and above-market costs, if
|
12 | | any, associated with the utility receiving, delivering,
|
13 | | managing, or otherwise accommodating purchases under the
|
14 | | SNG sourcing agreement. |
15 | | (15) Remedies for the clean coal SNG brownfield |
16 | | facility's failure to deliver a designated amount for a |
17 | | designated period. |
18 | | (16) The clean coal SNG brownfield facility shall
make |
19 | | a good faith effort to ensure that an amount equal
to not |
20 | | less than 15% of the value of its prime
construction |
21 | | contract for the facility shall be
established as a goal to |
22 | | be awarded to minority-owned
businesses, women-owned |
23 | | businesses, veteran-owned businesses, and businesses owned
|
24 | | by a person with a disability; provided that at least 75%
|
25 | | of the amount of such total goal shall be for |
26 | | minority-owned businesses. "Minority-owned business", |
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1 | | "women-owned business", "veteran-owned businesses", and |
2 | | "business owned by a person with a
disability" shall have |
3 | | the meanings ascribed to them in
Section 2 of the Business |
4 | | Enterprise for Minorities, Women, Veterans,
and Persons |
5 | | with Disabilities Act. |
6 | | (17) Prior to the clean coal SNG brownfield facility |
7 | | issuing a notice to proceed to construction, the clean coal |
8 | | SNG brownfield facility shall file with the Commission a |
9 | | certificate from an independent engineer that the clean |
10 | | coal SNG brownfield facility has (A) obtained all |
11 | | applicable State and federal environmental permits |
12 | | required for construction; (B) obtained approval from the |
13 | | Commission of a carbon capture and sequestration plan; and |
14 | | (C) obtained all necessary permits required for |
15 | | construction for the transportation and sequestration of |
16 | | carbon dioxide as set forth in the Commission-approved |
17 | | carbon capture and sequestration plan. |
18 | | (h-2) Consumer protection reserve account. The clean coal |
19 | | SNG brownfield facility shall guarantee a minimum of |
20 | | $100,000,000 in consumer savings to customers of the utilities
|
21 | | that have entered into sourcing agreements with the clean coal
|
22 | | SNG brownfield facility, calculated in real 2010 dollars at the |
23 | | conclusion of the term of the sourcing agreement by comparing |
24 | | the delivered SNG price to the Chicago City-gate price on a |
25 | | weighted daily basis for each day over the entire term of the |
26 | | sourcing agreement. Prior to the clean coal SNG brownfield |
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1 | | facility issuing a notice to proceed to construction, the clean |
2 | | coal SNG brownfield facility shall establish a consumer |
3 | | protection reserve account for the benefit of the retail |
4 | | customers of the utilities that have entered into sourcing |
5 | | agreements with the clean coal SNG brownfield facility pursuant |
6 | | to subsection (h-1), with cash principal in the amount of |
7 | | $150,000,000. Such cash principal shall only be recovered |
8 | | through the consumer protection reserve account and not as a |
9 | | cost to be recovered in the delivered SNG price pursuant to |
10 | | subsection (h-3) of this Section. The consumer protection |
11 | | reserve account shall be maintained and administered by an |
12 | | independent trustee that is mutually agreed upon by the clean |
13 | | coal SNG brownfield facility, the utilities, and the Commission |
14 | | in an interest-bearing account in accordance with the |
15 | | following: |
16 | | (1) The clean coal SNG brownfield facility monthly |
17 | | shall calculate (A) the difference between the monthly |
18 | | delivered SNG price and the Chicago City-gate price, by |
19 | | comparing the delivered SNG price, which shall include the |
20 | | cost of transportation to the delivery point, if any, to |
21 | | the Chicago City-gate price on a weighted daily basis for |
22 | | each day of the prior month based upon a mutually agreed |
23 | | upon published index and (B) the overage amount, if any, by
|
24 | | calculating the annualized incremental additional cost,
if |
25 | | any, of the delivered SNG in excess of 2.015% of the
|
26 | | average annual inflation-adjusted amounts paid by all gas
|
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1 | | distribution customers in connection with natural gas
|
2 | | service during the 5 years ending May 31, 2010. |
3 | | (2) During the first 2 years of operation of the |
4 | | facility: |
5 | | (A) to the extent there is an overage amount, the |
6 | | consumer protection reserve account shall be used to |
7 | | provide a credit to reduce the SNG price by an amount |
8 | | equal to the overage amount; and |
9 | | (B) to the extent the monthly delivered SNG price |
10 | | is less than or equal to the Chicago City-gate price, |
11 | | the utility shall credit the difference between the |
12 | | monthly delivered SNG price and the monthly Chicago |
13 | | City-gate price, if any, to the consumer protection |
14 | | reserve account. Such credit issued pursuant to this |
15 | | paragraph (B) shall be deemed prudent and reasonable |
16 | | and not subject to a Commission prudence review; |
17 | | (3) After 2 years of operation of the facility, and |
18 | | monthly, on an on-going basis, thereafter: |
19 | | (A) to the extent that the monthly delivered SNG |
20 | | price is less than or equal to the Chicago City-gate |
21 | | price, calculated using the weighted average of the |
22 | | daily Chicago City-gate price on a daily basis over the |
23 | | entire month, the utility shall credit the difference, |
24 | | if any, to the consumer protection reserve account. |
25 | | Such credit issued pursuant to this subparagraph (A) |
26 | | shall be deemed prudent and reasonable and not subject |
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1 | | to a Commission prudence review; |
2 | | (B) any amounts in the consumer protection reserve |
3 | | account in excess of the consumer protection reserve |
4 | | account principal maximum amount shall be distributed |
5 | | as follows: (i) if retail customers have not realized
|
6 | | net consumer savings, calculated by comparing the
|
7 | | delivered SNG price to the weighted average of the
|
8 | | daily Chicago City-gate price on a daily basis over
the |
9 | | entire term of the sourcing agreement to date,
then 50% |
10 | | of any amounts in the consumer protection
reserve |
11 | | account in excess of the consumer protection reserve |
12 | | account principal maximum shall be
distributed to the |
13 | | clean coal SNG brownfield
facility, with the remaining |
14 | | 50% of any such
additional amounts being credited to |
15 | | retail
customers, and (ii) if retail customers have |
16 | | realized net
consumer savings, then 100% of any amounts |
17 | | in the
consumer protection reserve account in excess of
|
18 | | the consumer protection reserve account principal |
19 | | maximum shall be distributed to the clean coal
SNG |
20 | | brownfield facility; provided, however, that under no |
21 | | circumstances shall the total cumulative amount |
22 | | distributed to the clean coal SNG brownfield facility |
23 | | under this subparagraph (B) exceed $150,000,000; |
24 | | (C) to the extent there is an overage amount, after |
25 | | distributing the amounts pursuant to subparagraph (B) |
26 | | of this paragraph (3), if any, the consumer protection |
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1 | | reserve account shall be used to provide a credit to |
2 | | reduce the SNG price by an amount equal to the overage |
3 | | amount; |
4 | | (D) if retail customers have realized net consumer |
5 | | savings, calculated by comparing the delivered SNG |
6 | | price to the weighted average of the daily Chicago |
7 | | City-gate price on a daily basis over the entire term |
8 | | of the sourcing agreement to date, then after |
9 | | distributing the amounts pursuant to subparagraphs (B) |
10 | | and (C) of this paragraph (3), 50% of any additional |
11 | | amounts in the consumer protection reserve account in |
12 | | excess of the consumer protection reserve account |
13 | | principal maximum shall be distributed to the clean |
14 | | coal SNG brownfield facility, with the remaining 50% of |
15 | | any such additional amounts being credited to retail |
16 | | customers; provided, however, that if retail customers |
17 | | have not realized such net consumer savings, no such |
18 | | distribution shall be made to the clean coal SNG |
19 | | brownfield facility, and 100% of such additional |
20 | | amounts shall be credited to the retail customers to |
21 | | the extent the consumer protection reserve account |
22 | | exceeds the consumer protection reserve account |
23 | | principal maximum amount. |
24 | | (4) Fifty percent of all additional net revenue, |
25 | | defined as miscellaneous net revenue after cost allowance |
26 | | for costs associated with additional net revenue that are |
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1 | | not otherwise recoverable pursuant to subsection (h-3) of |
2 | | this Section, including net revenue from sales of |
3 | | substitute natural gas derived from the facility above the |
4 | | nameplate capacity of the facility and other by-products |
5 | | produced by the facility, shall be credited to the consumer |
6 | | protection reserve account. |
7 | | (5) At the conclusion of the term of the sourcing |
8 | | agreement, to the extent retail customers have not saved |
9 | | the minimum of $100,000,000 in consumer savings as |
10 | | guaranteed in this subsection (h-2), amounts in the |
11 | | consumer protection reserve account shall be credited to |
12 | | retail customers to the extent the retail customers have |
13 | | saved the minimum of $100,000,000; 50% of any additional |
14 | | amounts in the consumer protection reserve account shall be |
15 | | distributed to the company, and the remaining 50% shall be |
16 | | distributed to retail customers. |
17 | | (6) If, at the conclusion of the term of the sourcing |
18 | | agreement, the customers have not saved the minimum |
19 | | $100,000,000 in savings as guaranteed in this subsection |
20 | | (h-2) and the consumer protection reserve account has been |
21 | | depleted, then the clean coal SNG brownfield facility shall |
22 | | be liable for any remaining amount owed to the retail |
23 | | customers to the extent that the customers are provided |
24 | | with the $100,000,000 in savings as guaranteed in this |
25 | | subsection (h-2). The retail customers shall have first |
26 | | priority in recovering that debt above any creditors, |
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1 | | except the original senior secured lender to the extent |
2 | | that the original senior secured lender has any senior |
3 | | secured debt outstanding, including any clean coal SNG |
4 | | brownfield facility parent companies or affiliates. |
5 | | (7) The clean coal SNG brownfield facility, the |
6 | | utilities, and the trustee shall work together to take |
7 | | commercially reasonable steps to minimize the tax impact of |
8 | | these transactions, while preserving the consumer |
9 | | benefits. |
10 | | (8) The clean coal SNG brownfield facility shall each |
11 | | month, starting in the facility's first year of commercial |
12 | | operation, file with the Commission, in such form as the |
13 | | Commission shall require, a report as to the consumer |
14 | | protection reserve account. The monthly report must |
15 | | contain the following information: |
16 | | (A) the extent the monthly delivered SNG price is |
17 | | greater than, less than, or equal to the Chicago |
18 | | City-gate price; |
19 | | (B) the amount credited or debited to the consumer |
20 | | protection reserve account during the month; |
21 | | (C) the amounts credited to consumers and |
22 | | distributed to the clean coal SNG brownfield facility |
23 | | during the month; |
24 | | (D) the total amount of the consumer protection |
25 | | reserve account at the beginning and end of the month; |
26 | | (E) the total amount of consumer savings to date; |
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1 | | (F) a confidential summary of the inputs used to |
2 | | calculate the additional net revenue; and |
3 | | (G) any other additional information the |
4 | | Commission shall require. |
5 | | When any report is erroneous or defective or appears to |
6 | | the Commission to be erroneous or defective, the Commission |
7 | | may notify the clean coal SNG brownfield facility to amend |
8 | | the report within 30 days, and, before or after the |
9 | | termination of the 30-day period, the Commission may |
10 | | examine the trustee of the consumer protection reserve |
11 | | account or the officers, agents, employees, books, |
12 | | records, or accounts of the clean coal SNG brownfield |
13 | | facility and correct such items in the report as upon such |
14 | | examination the Commission may find defective or |
15 | | erroneous. All reports shall be under oath. |
16 | | All reports made to the Commission by the clean coal |
17 | | SNG brownfield facility and the contents of the reports |
18 | | shall be open to public inspection and shall be deemed a |
19 | | public record under the Freedom of Information Act. Such |
20 | | reports shall be preserved in the office of the Commission. |
21 | | The Commission shall publish an annual summary of the |
22 | | reports prior to February 1 of the following year. The |
23 | | annual summary shall be made available to the public on the |
24 | | Commission's website and shall be submitted to the General |
25 | | Assembly. |
26 | | Any facility that fails to file a report required under |
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1 | | this paragraph (8) to the Commission within the time |
2 | | specified or to make specific answer to any question |
3 | | propounded by the Commission within 30 days from the time |
4 | | it is lawfully required to do so, or within such further |
5 | | time not to exceed 90 days as may in its discretion be |
6 | | allowed by the Commission, shall pay a penalty of $500 to |
7 | | the Commission for each day it is in default. |
8 | | Any person who willfully makes any false report to the |
9 | | Commission or to any member, officer, or employee thereof, |
10 | | any person who willfully in a report withholds or fails to |
11 | | provide material information to which the Commission is |
12 | | entitled under this paragraph (8) and which information is |
13 | | either required to be filed by statute, rule, regulation, |
14 | | order, or decision of the Commission or has been requested |
15 | | by the Commission, and any person who willfully aids or |
16 | | abets such person shall be guilty of a Class A misdemeanor. |
17 | | (h-3) Recoverable costs and revenue by the clean coal SNG |
18 | | brownfield facility. |
19 | | (1) A capital recovery charge approved by the |
20 | | Commission shall be recoverable by the clean coal SNG |
21 | | brownfield facility under a sourcing agreement. The |
22 | | capital recovery charge shall be comprised of capital costs |
23 | | and a reasonable rate of return. "Capital costs" means |
24 | | costs to be incurred in connection with the construction |
25 | | and development of a facility, as defined in Section 1-10 |
26 | | of the Illinois Power Agency Act, and such other costs as |
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1 | | the Capital Development Board deems appropriate to be |
2 | | recovered in the capital recovery charge. |
3 | | (A) Capital costs. The Capital Development Board |
4 | | shall calculate a range of capital costs that it |
5 | | believes would be reasonable for the clean coal SNG |
6 | | brownfield facility to recover under the sourcing |
7 | | agreement. In making this determination, the Capital |
8 | | Development Board shall review the facility cost
|
9 | | report, if any, of the clean coal SNG brownfield
|
10 | | facility, adjusting the results based on the change in
|
11 | | the Annual Consumer Price Index for All Urban Consumers
|
12 | | for the Midwest Region as published in April by the
|
13 | | United States Department of Labor, Bureau of Labor
|
14 | | Statistics, the final draft of the sourcing agreement, |
15 | | and the rate of return approved by the Commission. In |
16 | | addition, the Capital Development Board may consult as |
17 | | much as it deems necessary with the clean coal SNG |
18 | | brownfield facility and conduct whatever research and |
19 | | investigation it deems necessary. |
20 | | The Capital Development Board shall retain an |
21 | | engineering expert to assist in determining both the |
22 | | range of capital costs and the range of operations and |
23 | | maintenance costs that it believes would be reasonable |
24 | | for the clean coal SNG brownfield facility to recover |
25 | | under the sourcing agreement. Provided, however, that |
26 | | such expert shall: (i) not have been involved in the |
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1 | | clean coal SNG brownfield facility's facility cost |
2 | | report, if any, (ii) not own or control any direct or |
3 | | indirect interest in the initial clean coal facility, |
4 | | and (iii) have no contractual relationship with the |
5 | | clean coal SNG brownfield facility. In order to qualify |
6 | | as an independent expert, a person or company must |
7 | | have: |
8 | | (i) direct previous experience conducting |
9 | | front-end engineering and design studies for |
10 | | large-scale energy facilities and administering |
11 | | large-scale energy operations and maintenance |
12 | | contracts, which may be particularized to the |
13 | | specific type of financing associated with the |
14 | | clean coal SNG brownfield facility; |
15 | | (ii) an advanced degree in economics, |
16 | | mathematics, engineering, or a related area of |
17 | | study; |
18 | | (iii) ten years of experience in the energy |
19 | | sector, including construction and risk management |
20 | | experience; |
21 | | (iv) expertise in assisting companies with |
22 | | obtaining financing for large-scale energy |
23 | | projects, which may be particularized to the |
24 | | specific type of financing associated with the |
25 | | clean coal SNG brownfield facility; |
26 | | (v) expertise in operations and maintenance |
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1 | | which may be particularized to the specific type of |
2 | | operations and maintenance associated with the |
3 | | clean coal SNG brownfield facility; |
4 | | (vi) expertise in credit and contract |
5 | | protocols; |
6 | | (vii) adequate resources to perform and |
7 | | fulfill the required functions and |
8 | | responsibilities; and |
9 | | (viii) the absence of a conflict of interest |
10 | | and inappropriate bias for or against an affected |
11 | | gas utility or the clean coal SNG brownfield |
12 | | facility. |
13 | | The clean coal SNG brownfield facility and the |
14 | | Illinois Power Agency shall cooperate with the Capital |
15 | | Development Board in any investigation it deems |
16 | | necessary. The Capital Development Board shall make |
17 | | its final determination of the range of capital costs |
18 | | confidentially and shall submit that range to the |
19 | | Commission in a confidential filing within 120 days |
20 | | after July 13, 2011 (the effective date of Public Act |
21 | | 97-096). The clean coal SNG brownfield facility shall |
22 | | submit to the Commission its estimate of the capital |
23 | | costs to be recovered under the sourcing agreement. |
24 | | Only after the clean coal SNG brownfield facility has |
25 | | submitted this estimate shall the Commission publicly |
26 | | announce the range of capital costs submitted by the |
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1 | | Capital Development Board. |
2 | | In the event that the estimate submitted by the |
3 | | clean coal SNG brownfield facility is within or below |
4 | | the range submitted by the Capital Development Board, |
5 | | the clean coal SNG brownfield facility's estimate |
6 | | shall be approved by the Commission as the amount of |
7 | | capital costs to be recovered under the sourcing |
8 | | agreement. In the event that the estimate submitted by |
9 | | the clean coal SNG brownfield facility is above the |
10 | | range submitted by the Capital Development Board, the |
11 | | amount of capital costs at the lowest end of the range |
12 | | submitted by the Capital Development Board shall be |
13 | | approved by the Commission as the amount of capital |
14 | | costs to be recovered under the sourcing agreement. |
15 | | Within 15 days after the Capital Development Board has |
16 | | submitted its range and the clean coal SNG brownfield |
17 | | facility has submitted its estimate, the Commission |
18 | | shall approve the capital costs for the clean coal SNG |
19 | | brownfield facility. |
20 | | The Capital Development Board shall monitor the |
21 | | construction of the clean coal SNG brownfield facility |
22 | | for the full duration of construction to assess |
23 | | potential cost overruns. The Capital Development |
24 | | Board, in its discretion, may retain an expert to |
25 | | facilitate such monitoring. The clean coal SNG |
26 | | brownfield facility shall pay a reasonable fee as |
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1 | | required by the Capital Development Board for the |
2 | | Capital Development Board's services under this |
3 | | subsection (h-3) to be deposited into the Capital |
4 | | Development Board Revolving Fund, and such fee shall |
5 | | not be passed through to a utility or its customers. If |
6 | | an expert is retained by the Capital Development Board |
7 | | for monitoring of construction, then the clean coal SNG |
8 | | brownfield facility must pay for the expert's |
9 | | reasonable fees and such costs shall not be passed |
10 | | through to a utility or its customers. |
11 | | (B) Rate of Return. No later than 30 days after the |
12 | | date on which the Illinois Power Agency submits a final |
13 | | draft sourcing agreement, the Commission shall hold a |
14 | | public hearing to determine the rate of return to be |
15 | | recovered under the sourcing agreement. Rate of return |
16 | | shall be comprised of the clean coal SNG brownfield |
17 | | facility's actual cost of debt, including |
18 | | mortgage-style amortization, and a reasonable return |
19 | | on equity. The Commission shall post notice of the |
20 | | hearing on its website no later than 10 days prior to |
21 | | the date of the hearing. The Commission shall provide |
22 | | the public and all interested parties, including the |
23 | | gas utilities, the Attorney General, and the Illinois |
24 | | Power Agency, an opportunity to be heard. |
25 | | In determining the return on equity, the |
26 | | Commission shall select a commercially reasonable |
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1 | | return on equity taking into account the return on |
2 | | equity being received by developers of similar |
3 | | facilities in or outside of Illinois, the need to |
4 | | balance an incentive for clean-coal technology with |
5 | | the need to protect ratepayers from high gas prices, |
6 | | the risks being borne by the clean coal SNG brownfield |
7 | | facility in the final draft sourcing agreement, and any |
8 | | other information that the Commission may deem |
9 | | relevant. The Commission may establish a return on |
10 | | equity that varies with the amount of savings, if any, |
11 | | to customers during the term of the sourcing agreement, |
12 | | comparing the delivered SNG price to a daily weighted |
13 | | average price of natural gas, based upon an index. The |
14 | | Illinois Power Agency shall recommend a return on |
15 | | equity to the Commission using the same criteria. |
16 | | Within 60 days after receiving the final draft sourcing |
17 | | agreement from the Illinois Power Agency, the |
18 | | Commission shall approve the rate of return for the |
19 | | clean coal brownfield facility. Within 30 days after |
20 | | obtaining debt financing for the clean coal SNG |
21 | | brownfield facility, the clean coal SNG brownfield |
22 | | facility shall file a notice with the Commission |
23 | | identifying the actual cost of debt. |
24 | | (2) Operations and maintenance costs approved by the |
25 | | Commission shall be recoverable by the clean coal SNG |
26 | | brownfield facility under the sourcing agreement. The |
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1 | | operations and maintenance costs mean costs that have been |
2 | | incurred for the administration, supervision, operation, |
3 | | maintenance, preservation, and protection of the clean |
4 | | coal SNG brownfield facility's physical plant. |
5 | | The Capital Development Board shall calculate a range |
6 | | of operations and maintenance costs that it believes would |
7 | | be reasonable for the clean coal SNG brownfield facility to |
8 | | recover under the sourcing agreement, incorporating an
|
9 | | inflation index or combination of inflation indices to
most |
10 | | accurately reflect the actual costs of operating the
clean |
11 | | coal SNG brownfield facility. In making this |
12 | | determination, the Capital Development Board shall review |
13 | | the facility cost report, if any, of the clean coal SNG
|
14 | | brownfield facility, adjusting the results for inflation
|
15 | | based on the change in the Annual Consumer Price Index for
|
16 | | All Urban Consumers for the Midwest Region as published in
|
17 | | April by the United States Department of Labor, Bureau of
|
18 | | Labor Statistics, the final draft of the sourcing |
19 | | agreement, and the rate of return approved by the |
20 | | Commission. In addition, the Capital Development Board may |
21 | | consult as much as it deems necessary with the clean coal |
22 | | SNG brownfield facility and conduct whatever research and |
23 | | investigation it deems necessary. As set forth in |
24 | | subparagraph (A) of paragraph (1) of this subsection (h-3), |
25 | | the Capital Development Board shall retain an independent |
26 | | engineering expert to assist in determining both the range |
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1 | | of operations and maintenance costs that it believes would |
2 | | be reasonable for the clean coal SNG brownfield facility to |
3 | | recover under the sourcing agreement. The clean coal SNG |
4 | | brownfield facility and the Illinois Power Agency shall |
5 | | cooperate with the Capital Development Board in any |
6 | | investigation it deems necessary. The Capital Development |
7 | | Board shall make its final determination of the range of |
8 | | operations and maintenance costs confidentially and shall |
9 | | submit that range to the Commission in a confidential |
10 | | filing within 120 days after July 13, 2011. |
11 | | The clean coal SNG brownfield facility shall submit to |
12 | | the Commission its estimate of the operations and |
13 | | maintenance costs to be recovered under the sourcing |
14 | | agreement. Only after the clean coal SNG brownfield |
15 | | facility has submitted this estimate shall the Commission |
16 | | publicly announce the range of operations and maintenance |
17 | | costs submitted by the Capital Development Board. In the |
18 | | event that the estimate submitted by the clean coal SNG |
19 | | brownfield facility is within or below the range submitted |
20 | | by the Capital Development Board, the clean coal SNG |
21 | | brownfield facility's estimate shall be approved by the |
22 | | Commission as the amount of operations and maintenance |
23 | | costs to be recovered under the sourcing agreement. In the |
24 | | event that the estimate submitted by the clean coal SNG |
25 | | brownfield facility is above the range submitted by the |
26 | | Capital Development Board, the amount of operations and |
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1 | | maintenance costs at the lowest end of the range submitted |
2 | | by the Capital Development Board shall be approved by the |
3 | | Commission as the amount of operations and maintenance |
4 | | costs to be recovered under the sourcing agreement. Within |
5 | | 15 days after the Capital Development Board has submitted |
6 | | its range and the clean coal SNG brownfield facility has |
7 | | submitted its estimate, the Commission shall approve the |
8 | | operations and maintenance costs for the clean coal SNG |
9 | | brownfield facility. |
10 | | The clean coal SNG brownfield facility shall pay for |
11 | | the independent engineering expert's reasonable fees and |
12 | | such costs shall not be passed through to a utility or its |
13 | | customers. The clean coal SNG brownfield facility shall pay |
14 | | a reasonable fee as required by the Capital Development |
15 | | Board for the Capital Development Board's services under |
16 | | this subsection (h-3) to be deposited into the Capital |
17 | | Development Board Revolving Fund, and such fee shall not be |
18 | | passed through to a utility or its customers. |
19 | | (3) Sequestration costs approved by the Commission |
20 | | shall be recoverable by the clean coal SNG brownfield |
21 | | facility. "Sequestration costs" means costs to be incurred |
22 | | by the clean coal SNG brownfield facility in accordance |
23 | | with its Commission-approved carbon capture and |
24 | | sequestration plan to: |
25 | | (A) capture carbon dioxide; |
26 | | (B) build, operate, and maintain a sequestration |
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1 | | site in which carbon dioxide may be injected; |
2 | | (C) build, operate, and maintain a carbon dioxide |
3 | | pipeline; and |
4 | | (D) transport the carbon dioxide to the |
5 | | sequestration site or a pipeline. |
6 | | The Commission shall assess the prudency of the |
7 | | sequestration costs for the clean coal SNG brownfield |
8 | | facility before construction commences at the |
9 | | sequestration site or pipeline. Any revenues the clean coal |
10 | | SNG brownfield facility receives as a result of the |
11 | | capture, transportation, or sequestration of carbon |
12 | | dioxide shall be first credited against all sequestration |
13 | | costs, with the positive balance, if any, treated as |
14 | | additional net revenue. |
15 | | The Commission may, in its discretion, retain an expert |
16 | | to assist in its review of sequestration costs. The clean |
17 | | coal SNG brownfield facility shall pay for the expert's |
18 | | reasonable fees if an expert is retained by the Commission, |
19 | | and such costs shall not be passed through to a utility or |
20 | | its customers. Once made, the Commission's determination |
21 | | of the amount of recoverable sequestration costs shall not |
22 | | be increased unless the clean coal SNG brownfield facility |
23 | | can show by clear and convincing evidence that (i) the |
24 | | costs were not reasonably foreseeable; (ii) the costs were |
25 | | due to circumstances beyond the clean coal SNG brownfield |
26 | | facility's control; and (iii) the clean coal SNG brownfield |
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1 | | facility took all reasonable steps to mitigate the costs. |
2 | | If the Commission determines that sequestration costs may |
3 | | be increased, the Commission shall provide for notice and a |
4 | | public hearing for approval of the increased sequestration |
5 | | costs. |
6 | | (4) Actual delivered and processed fuel costs shall be |
7 | | set by the Illinois Power Agency through a SNG feedstock |
8 | | procurement, pursuant to Sections 1-20, 1-77, and 1-78 of |
9 | | the Illinois Power Agency Act, to be performed at least |
10 | | every 5 years and purchased by the clean coal SNG |
11 | | brownfield facility pursuant to feedstock procurement |
12 | | contracts developed by the Illinois Power Agency, with coal |
13 | | comprising at least 50% of the total feedstock over the |
14 | | term of the sourcing agreement and petroleum coke |
15 | | comprising the remainder of the SNG feedstock. If the |
16 | | Commission fails to approve a feedstock procurement plan or |
17 | | fails to approve the results of a feedstock procurement |
18 | | event, then the fuel shall be purchased by the company |
19 | | month-by-month on the spot market and those actual |
20 | | delivered and processed fuel costs shall be recoverable |
21 | | under the sourcing agreement. If a supplier defaults under |
22 | | the terms of a procurement contract, then the Illinois |
23 | | Power Agency shall immediately initiate a feedstock |
24 | | procurement process to obtain a replacement supply, and, |
25 | | prior to the conclusion of that process, fuel shall be |
26 | | purchased by the company month-by-month on the spot market |
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1 | | and those actual delivered and processed fuel costs shall |
2 | | be recoverable under the sourcing agreement. |
3 | | (5) Taxes and fees imposed by the federal government, |
4 | | the State, or any unit of local government applicable to |
5 | | the clean coal SNG brownfield facility, excluding income |
6 | | tax, shall be recoverable by the clean coal SNG brownfield |
7 | | facility under the sourcing agreement to the extent such |
8 | | taxes and fees were not applicable to the facility on July |
9 | | 13, 2011. |
10 | | (6) The actual transportation costs, in accordance |
11 | | with the applicable utility's tariffs, and third-party |
12 | | marketer costs incurred by the company, if any, associated |
13 | | with transporting the SNG from the clean coal SNG |
14 | | brownfield facility to the Chicago City-gate to sell such |
15 | | SNG into the natural gas markets shall be recoverable under |
16 | | the sourcing agreement. |
17 | | (7) Unless otherwise provided, within 30 days after a |
18 | | decision of the Commission on recoverable costs under this |
19 | | Section, any interested party to the Commission's decision |
20 | | may apply for a rehearing with respect to the decision. The |
21 | | Commission shall receive and consider the application for |
22 | | rehearing and shall grant or deny the application in whole |
23 | | or in part within 20 days after the date of the receipt of |
24 | | the application by the Commission. If no rehearing is |
25 | | applied for within the required 30 days or an application |
26 | | for rehearing is denied, then the Commission decision shall |
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1 | | be final. If an application for rehearing is granted, then |
2 | | the Commission shall hold a rehearing within 30 days after |
3 | | granting the application. The decision of the Commission |
4 | | upon rehearing shall be final. |
5 | | Any person affected by a decision of the Commission |
6 | | under this subsection (h-3) may have the decision reviewed |
7 | | only under and in accordance with the Administrative Review |
8 | | Law. Unless otherwise provided, the provisions of the |
9 | | Administrative Review Law, all amendments and |
10 | | modifications to that Law, and the rules adopted pursuant |
11 | | to that Law shall apply to and govern all proceedings for |
12 | | the judicial review of final administrative decisions of |
13 | | the Commission under this subsection (h-3). The term |
14 | | "administrative decision" is defined as in Section 3-101 of |
15 | | the Code of Civil Procedure. |
16 | | (8) The Capital Development Board shall adopt and make |
17 | | public a policy detailing the process for retaining experts |
18 | | under this Section. Any experts retained to assist with |
19 | | calculating the range of capital costs or operations and |
20 | | maintenance costs shall be retained no later than 45 days |
21 | | after July 13, 2011. |
22 | | (h-4) No later than 90 days after the Illinois Power Agency |
23 | | submits the final draft sourcing agreement pursuant to |
24 | | subsection (h-1), the Commission shall approve a sourcing |
25 | | agreement containing (i) the capital costs, rate of return, and |
26 | | operations and maintenance costs established pursuant to |
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1 | | subsection (h-3) and (ii) all other terms and conditions, |
2 | | rights, provisions, exceptions, and limitations contained in |
3 | | the final draft sourcing agreement; provided, however, the |
4 | | Commission shall correct typographical and scrivener's errors |
5 | | and modify the contract only as necessary to provide that the |
6 | | gas utility does not have the right to terminate the sourcing |
7 | | agreement due to any future events that may occur other than |
8 | | the clean coal SNG brownfield facility's failure to timely meet |
9 | | milestones, uncured default, extended force majeure, or |
10 | | abandonment. Once the sourcing agreement is approved, then the |
11 | | gas utility subject to that sourcing agreement shall have 45 |
12 | | days after the date of the Commission's approval to enter into |
13 | | the sourcing agreement. |
14 | | (h-5) Sequestration enforcement. |
15 | | (A) All contracts entered into under subsection (h) of |
16 | | this Section and all sourcing agreements under subsection |
17 | | (h-1) of this Section, regardless of duration, shall |
18 | | require the owner of any facility supplying SNG under the |
19 | | contract or sourcing agreement to provide certified |
20 | | documentation to the Commission each year, starting in the |
21 | | facility's first year of commercial operation, accurately |
22 | | reporting the quantity of carbon dioxide emissions from the |
23 | | facility that have been captured and sequestered and |
24 | | reporting any quantities of carbon dioxide released from |
25 | | the site or sites at which carbon dioxide emissions were |
26 | | sequestered in prior years, based on continuous monitoring |
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1 | | of those sites. |
2 | | (B) If, in any year, the owner of the clean coal SNG |
3 | | facility fails to demonstrate that the SNG facility |
4 | | captured and sequestered at least 90% of the total carbon |
5 | | dioxide emissions that the facility would otherwise emit or |
6 | | that sequestration of emissions from prior years has |
7 | | failed, resulting in the release of carbon dioxide into the |
8 | | atmosphere, then the owner of the clean coal SNG facility |
9 | | must pay a penalty of $20 per ton of excess carbon dioxide |
10 | | emissions not to exceed $40,000,000, in any given year |
11 | | which shall be deposited into the Energy Efficiency Trust |
12 | | Fund and distributed pursuant to subsection (b) of Section |
13 | | 6-6 of the Renewable Energy, Energy Efficiency, and Coal |
14 | | Resources Development Law of 1997. On or before the 5-year |
15 | | anniversary of the execution of the contract and every 5 |
16 | | years thereafter, an expert hired by the owner of the |
17 | | facility with the approval of the Attorney General shall |
18 | | conduct an analysis to determine the cost of sequestration |
19 | | of at least 90% of the total carbon dioxide emissions the |
20 | | plant would otherwise emit. If the analysis shows that the |
21 | | actual annual cost is greater than the penalty, then the |
22 | | penalty shall be increased to equal the actual cost. |
23 | | Provided, however, to the extent that the owner of the |
24 | | facility described in subsection (h) of this Section can |
25 | | demonstrate that the failure was as a result of acts of God |
26 | | (including fire, flood, earthquake, tornado, lightning, |
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1 | | hurricane, or other natural disaster); any amendment, |
2 | | modification, or abrogation of any applicable law or |
3 | | regulation that would prevent performance; war; invasion; |
4 | | act of foreign enemies; hostilities (regardless of whether |
5 | | war is declared); civil war; rebellion; revolution; |
6 | | insurrection; military or usurped power or confiscation; |
7 | | terrorist activities; civil disturbance; riots; |
8 | | nationalization; sabotage; blockage; or embargo, the owner |
9 | | of the facility described in subsection (h) of this Section |
10 | | shall not be subject to a penalty if and only if (i) it |
11 | | promptly provides notice of its failure to the Commission; |
12 | | (ii) as soon as practicable and consistent with any order |
13 | | or direction from the Commission, it submits to the |
14 | | Commission proposed modifications to its carbon capture |
15 | | and sequestration plan; and (iii) it carries out its |
16 | | proposed modifications in the manner and time directed by |
17 | | the Commission. |
18 | | If the Commission finds that the facility has not |
19 | | satisfied each of these requirements, then the facility |
20 | | shall be subject to the penalty. If the owner of the clean |
21 | | coal SNG facility captured and sequestered more than 90% of |
22 | | the total carbon dioxide emissions that the facility would |
23 | | otherwise emit, then the owner of the facility may credit |
24 | | such additional amounts to reduce the amount of any future |
25 | | penalty to be paid. The penalty resulting from the failure |
26 | | to capture and sequester at least the minimum amount of |
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1 | | carbon dioxide shall not be passed on to a utility or its |
2 | | customers. |
3 | | If the clean coal SNG facility fails to meet the |
4 | | requirements specified in this subsection (h-5), then the |
5 | | Attorney General, on behalf of the People of the State of |
6 | | Illinois, shall bring an action to enforce the obligations |
7 | | related to the facility set forth in this subsection (h-5), |
8 | | including any penalty payments owed, but not including the |
9 | | physical obligation to capture and sequester at least 90% |
10 | | of the total carbon dioxide emissions that the facility |
11 | | would otherwise emit. Such action may be filed in any |
12 | | circuit court in Illinois. By entering into a contract |
13 | | pursuant to subsection (h) of this Section, the clean coal |
14 | | SNG facility agrees to waive any objections to venue or to |
15 | | the jurisdiction of the court with regard to the Attorney |
16 | | General's action under this subsection (h-5). |
17 | | Compliance with the sequestration requirements and any |
18 | | penalty requirements specified in this subsection (h-5) |
19 | | for the clean coal SNG facility shall be assessed annually |
20 | | by the Commission, which may in its discretion retain an |
21 | | expert to facilitate its assessment. If any expert is |
22 | | retained by the Commission, then the clean coal SNG |
23 | | facility shall pay for the expert's reasonable fees, and |
24 | | such costs shall not be passed through to the utility or |
25 | | its customers. |
26 | | In addition, carbon dioxide emission credits received |
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1 | | by the clean coal SNG facility in connection with |
2 | | sequestration of carbon dioxide from the facility must be |
3 | | sold in a timely fashion with any revenue, less applicable |
4 | | fees and expenses and any expenses required to be paid by |
5 | | facility for carbon dioxide transportation or |
6 | | sequestration, deposited into the reconciliation account |
7 | | within 30 days after receipt of such funds by the owner of |
8 | | the clean coal SNG facility. |
9 | | The clean coal SNG facility is prohibited from |
10 | | transporting or sequestering carbon dioxide unless the |
11 | | owner of the carbon dioxide pipeline that transfers the |
12 | | carbon dioxide from the facility and the owner of the |
13 | | sequestration site where the carbon dioxide captured by the |
14 | | facility is stored has acquired all applicable permits |
15 | | under applicable State and federal laws, statutes, rules, |
16 | | or regulations prior to the transfer or sequestration of |
17 | | carbon dioxide. The responsibility for compliance with the |
18 | | sequestration requirements specified in this subsection |
19 | | (h-5) for the clean coal SNG facility shall reside solely |
20 | | with the clean coal SNG facility, regardless of whether the |
21 | | facility has contracted with another party to capture, |
22 | | transport, or sequester carbon dioxide. |
23 | | (C) If, in any year, the owner of a clean coal SNG |
24 | | brownfield facility fails to demonstrate that the clean |
25 | | coal SNG brownfield facility captured and sequestered at |
26 | | least 85% of the total carbon dioxide emissions that the |
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1 | | facility would otherwise emit, then the owner of the clean |
2 | | coal SNG brownfield facility must pay a penalty of $20 per |
3 | | ton of excess carbon emissions up to $20,000,000, which |
4 | | shall be deposited into the Energy Efficiency Trust Fund |
5 | | and distributed pursuant to subsection (b) of Section 6-6 |
6 | | of the Renewable Energy, Energy Efficiency, and Coal |
7 | | Resources Development Law of 1997. Provided, however, to |
8 | | the extent that the owner of the clean coal SNG brownfield |
9 | | facility can demonstrate that the failure was as a result |
10 | | of acts of God (including fire, flood, earthquake, tornado, |
11 | | lightning, hurricane, or other natural disaster); any |
12 | | amendment, modification, or abrogation of any applicable |
13 | | law or regulation that would prevent performance; war; |
14 | | invasion; act of foreign enemies; hostilities (regardless |
15 | | of whether war is declared); civil war; rebellion; |
16 | | revolution; insurrection; military or usurped power or |
17 | | confiscation; terrorist activities; civil disturbances; |
18 | | riots; nationalization; sabotage; blockage; or embargo, |
19 | | the owner of the clean coal SNG brownfield facility shall |
20 | | not be subject to a penalty if and only if (i) it promptly |
21 | | provides notice of its failure to the Commission; (ii) as |
22 | | soon as practicable and consistent with any order or |
23 | | direction from the Commission, it submits to the Commission |
24 | | proposed modifications to its carbon capture and |
25 | | sequestration plan; and (iii) it carries out its proposed |
26 | | modifications in the manner and time directed by the |
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1 | | Commission. If the Commission finds that the facility has |
2 | | not satisfied each of these requirements, then the facility |
3 | | shall be subject to the penalty. If the owner of a clean |
4 | | coal SNG brownfield facility demonstrates that the clean |
5 | | coal SNG brownfield facility captured and sequestered more |
6 | | than 85% of the total carbon emissions that the facility |
7 | | would otherwise emit, the owner of the clean coal SNG |
8 | | brownfield facility may credit such additional amounts to |
9 | | reduce the amount of any future penalty to be paid. The |
10 | | penalty resulting from the failure to capture and sequester |
11 | | at least the minimum amount of carbon dioxide shall not be |
12 | | passed on to a utility or its customers. |
13 | | In addition to any penalty for the clean coal SNG |
14 | | brownfield facility's failure to capture and sequester at |
15 | | least its minimum sequestration requirement, the Attorney |
16 | | General, on behalf of the People of the State of Illinois, |
17 | | shall bring an action for specific performance of this |
18 | | subsection (h-5). Such action may be filed in any circuit |
19 | | court in Illinois. By entering into a sourcing agreement |
20 | | pursuant to subsection (h-1) of this Section, the clean |
21 | | coal SNG brownfield facility agrees to waive any objections |
22 | | to venue or to the jurisdiction of the court with regard to |
23 | | the Attorney General's action for specific performance |
24 | | under this subsection (h-5). |
25 | | Compliance with the sequestration requirements and |
26 | | penalty requirements specified in this subsection (h-5) |
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1 | | for the clean coal SNG brownfield facility shall be |
2 | | assessed annually by the Commission, which may in its |
3 | | discretion retain an expert to facilitate its assessment. |
4 | | If an expert is retained by the Commission, then the clean |
5 | | coal SNG brownfield facility shall pay for the expert's |
6 | | reasonable fees, and such costs shall not be passed through |
7 | | to a utility or its customers. A SNG facility operating |
8 | | pursuant to this subsection (h-5) shall not forfeit its |
9 | | designation as a clean coal SNG facility or a clean coal |
10 | | SNG brownfield facility if the facility fails to fully |
11 | | comply with the applicable carbon sequestration |
12 | | requirements in any given year, provided the requisite |
13 | | offsets are purchased or requisite penalties are paid. |
14 | | Responsibility for compliance with the sequestration |
15 | | requirements specified in this subsection (h-5) for the |
16 | | clean coal SNG brownfield facility shall reside solely with |
17 | | the clean coal SNG brownfield facility regardless of |
18 | | whether the facility has contracted with another party to |
19 | | capture, transport, or sequester carbon dioxide.
|
20 | | (h-7) Sequestration permitting, oversight, and |
21 | | investigations. |
22 | | (1) No clean coal facility or clean coal SNG brownfield |
23 | | facility may transport or sequester carbon dioxide unless |
24 | | the Commission approves the method of carbon dioxide |
25 | | transportation or sequestration. Such approval shall be |
26 | | required regardless of whether the facility has contracted |
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1 | | with another to transport or sequester the carbon dioxide. |
2 | | Nothing in this subsection (h-7) shall release the owner or |
3 | | operator of a carbon dioxide sequestration site or carbon |
4 | | dioxide pipeline from any other permitting requirements |
5 | | under applicable State and federal laws, statutes, rules, |
6 | | or regulations. |
7 | | (2) The Commission shall review carbon dioxide |
8 | | transportation and sequestration methods proposed by a |
9 | | clean coal facility or a clean coal SNG brownfield facility |
10 | | and shall approve those methods it deems reasonable and |
11 | | cost-effective. For purposes of this review, |
12 | | "cost-effective" means a commercially reasonable price for |
13 | | similar carbon dioxide transportation or sequestration |
14 | | techniques. In determining whether sequestration is |
15 | | reasonable and cost-effective, the Commission may consult |
16 | | with the Illinois State Geological Survey and retain third |
17 | | parties to assist in its determination, provided that such |
18 | | third parties shall not own or control any direct or |
19 | | indirect interest in the facility that is proposing the |
20 | | carbon dioxide transportation or the carbon dioxide |
21 | | sequestration method and shall have no contractual |
22 | | relationship with that facility. If a third party is |
23 | | retained by the Commission, then the facility proposing the |
24 | | carbon dioxide transportation or sequestration method |
25 | | shall pay for the expert's reasonable fees, and these costs |
26 | | shall not be passed through to a utility or its customers. |
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1 | | No later than 6 months prior to the date upon which the |
2 | | owner intends to commence construction of a clean coal |
3 | | facility or the clean coal SNG brownfield facility, the |
4 | | owner of the facility shall file with the Commission a |
5 | | carbon dioxide transportation or sequestration plan. The |
6 | | Commission shall hold a public hearing within 30 days after |
7 | | receipt of the facility's carbon dioxide transportation or |
8 | | sequestration plan. The Commission shall post notice of the |
9 | | review on its website upon submission of a carbon dioxide |
10 | | transportation or sequestration method and shall accept |
11 | | written public comments. The Commission shall take the |
12 | | comments into account when making its decision. |
13 | | The Commission may not approve a carbon dioxide |
14 | | sequestration method if the owner or operator of the |
15 | | sequestration site has not received (i) an Underground |
16 | | Injection Control permit from the United States |
17 | | Environmental Protection Agency, or from the Illinois |
18 | | Environmental Protection Agency pursuant to the |
19 | | Environmental Protection Act; (ii) an Underground |
20 | | Injection Control permit from the Illinois Department of |
21 | | Natural Resources pursuant to the Illinois Oil and Gas Act; |
22 | | or (iii) an Underground Injection Control permit from the |
23 | | United States Environmental Protection Agency or a permit |
24 | | similar to items (i) or (ii) from the state in which the |
25 | | sequestration site is located if the sequestration will |
26 | | take place outside of Illinois. The Commission shall |
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1 | | approve or deny the carbon dioxide transportation or |
2 | | sequestration method within 90 days after the receipt of |
3 | | all required information. |
4 | | (3) At least annually, the Illinois Environmental |
5 | | Protection Agency shall inspect all carbon dioxide |
6 | | sequestration sites in Illinois. The Illinois |
7 | | Environmental Protection Agency may, as often as deemed |
8 | | necessary, monitor and conduct investigations of those |
9 | | sites. The owner or operator of the sequestration site must |
10 | | cooperate with the Illinois Environmental Protection |
11 | | Agency investigations of carbon dioxide sequestration |
12 | | sites. |
13 | | If the Illinois Environmental Protection Agency |
14 | | determines at any time a site creates conditions that |
15 | | warrant the issuance of a seal order under Section 34 of |
16 | | the Environmental Protection Act, then the Illinois |
17 | | Environmental Protection Agency shall seal the site |
18 | | pursuant to the Environmental Protection Act. If the |
19 | | Illinois Environmental Protection Agency determines at any |
20 | | time a carbon dioxide sequestration site creates |
21 | | conditions that warrant the institution of a civil action |
22 | | for an injunction under Section 43 of the Environmental |
23 | | Protection Act, then the Illinois Environmental Protection |
24 | | Agency shall request the State's Attorney or the Attorney |
25 | | General institute such action. The Illinois Environmental |
26 | | Protection Agency shall provide notice of any such actions |
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1 | | as soon as possible on its website. The SNG facility shall |
2 | | incur all reasonable costs associated with any such |
3 | | inspection or monitoring of the sequestration sites, and |
4 | | these costs shall not be recoverable from utilities or |
5 | | their customers. |
6 | | (4) (Blank). |
7 | | (h-9) The clean coal SNG brownfield facility shall have the |
8 | | right to recover prudently incurred increased costs or reduced |
9 | | revenue resulting from any new or amendatory legislation or |
10 | | other action. The State of Illinois pledges that the State will |
11 | | not enact any law or take any action to: |
12 | | (1) break, or repeal the authority for, sourcing |
13 | | agreements approved by the Commission and entered into |
14 | | between public utilities and the clean coal SNG brownfield |
15 | | facility; |
16 | | (2) deny public utilities full cost recovery for their |
17 | | costs incurred under those sourcing agreements; or |
18 | | (3) deny the clean coal SNG brownfield facility full |
19 | | cost and revenue recovery as provided under those sourcing |
20 | | agreements that are recoverable pursuant to subsection |
21 | | (h-3) of this Section. |
22 | | These pledges are for the benefit of the parties to those |
23 | | sourcing agreements and the issuers and holders of bonds or |
24 | | other obligations issued or incurred to finance or refinance |
25 | | the clean coal SNG brownfield facility. The clean coal SNG |
26 | | brownfield facility is authorized to include and refer to these |
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1 | | pledges in any financing agreement into which it may enter in |
2 | | regard to those sourcing agreements. |
3 | | The State of Illinois retains and reserves all other rights |
4 | | to enact new or amendatory legislation or take any other |
5 | | action, without impairment of the right of the clean coal SNG |
6 | | brownfield facility to recover prudently incurred increased |
7 | | costs or reduced revenue resulting from the new or amendatory |
8 | | legislation or other action, including, but not limited to, |
9 | | such legislation or other action that would (i) directly or |
10 | | indirectly raise the costs the clean coal SNG brownfield |
11 | | facility must incur; (ii) directly or indirectly place |
12 | | additional restrictions, regulations, or requirements on the |
13 | | clean coal SNG brownfield facility; (iii) prohibit |
14 | | sequestration in general or prohibit a specific sequestration |
15 | | method or project; or (iv) increase minimum sequestration |
16 | | requirements for the clean coal SNG brownfield facility to the |
17 | | extent technically feasible. The clean coal SNG brownfield |
18 | | facility shall have the right to recover prudently incurred |
19 | | increased costs or reduced revenue resulting from the new or |
20 | | amendatory legislation or other action as described in this |
21 | | subsection (h-9). |
22 | | (h-10) Contract costs for SNG incurred by an Illinois gas |
23 | | utility are reasonable and prudent and recoverable through the |
24 | | purchased gas adjustment clause and are not subject to review |
25 | | or disallowance by the Commission. Contract costs are costs |
26 | | incurred by the utility under the terms of a contract that |
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1 | | incorporates the terms stated in subsection (h) of this Section |
2 | | as confirmed in writing by the Illinois Power Agency as set |
3 | | forth in subsection (h) of this Section, which confirmation |
4 | | shall be deemed conclusive, or as a consequence of or condition |
5 | | to its performance under the contract, including (i) amounts |
6 | | paid for SNG under the SNG contract and (ii) costs of |
7 | | transportation and storage services of SNG purchased from |
8 | | interstate pipelines under federally approved tariffs. The |
9 | | Illinois gas utility shall initiate a clean coal SNG facility |
10 | | rider mechanism that (A) shall be applicable to all customers |
11 | | who receive transportation service from the utility, (B) shall |
12 | | be designed to have an equal percentage impact on the |
13 | | transportation services rates of each class of the utility's |
14 | | total customers, and (C) shall accurately reflect the net |
15 | | customer savings, if any, and above market costs, if any, under |
16 | | the SNG contract. Any contract, the terms of which have been |
17 | | confirmed in writing by the Illinois Power Agency as set forth |
18 | | in subsection (h) of this Section and the performance of the |
19 | | parties under such contract cannot be grounds for challenging |
20 | | prudence or cost recovery by the utility through the purchased |
21 | | gas adjustment clause, and in such cases, the Commission is |
22 | | directed not to consider, and has no authority to consider, any |
23 | | attempted challenges. |
24 | | The contracts entered into by Illinois gas utilities |
25 | | pursuant to subsection (h) of this Section shall provide that |
26 | | the utility retains the right to terminate the contract without |
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1 | | further obligation or liability to any party if the contract |
2 | | has been impaired as a result of any legislative, |
3 | | administrative, judicial, or other governmental action that is |
4 | | taken that eliminates all or part of the prudence protection of |
5 | | this subsection (h-10) or denies the recoverability of all or |
6 | | part of the contract costs through the purchased gas adjustment |
7 | | clause. Should any Illinois gas utility exercise its right |
8 | | under this subsection (h-10) to terminate the contract, all |
9 | | contract costs incurred prior to termination are and will be |
10 | | deemed reasonable, prudent, and recoverable as and when |
11 | | incurred and not subject to review or disallowance by the |
12 | | Commission. Any order, issued by the State requiring or |
13 | | authorizing the discontinuation of the merchant function, |
14 | | defined as the purchase and sale of natural gas by an Illinois |
15 | | gas utility for the ultimate consumer in its service territory |
16 | | shall include provisions necessary to prevent the impairment of |
17 | | the value of any contract hereunder over its full term. |
18 | | (h-11) All costs incurred by an Illinois gas utility in |
19 | | procuring SNG from a clean coal SNG brownfield facility |
20 | | pursuant to subsection (h-1) or a third-party marketer pursuant |
21 | | to subsection (h-1) are reasonable and prudent and recoverable |
22 | | through the purchased gas adjustment clause in conjunction with
|
23 | | a SNG brownfield facility rider mechanism and are not subject |
24 | | to review or disallowance by the Commission; provided that
if a |
25 | | utility is required by law or otherwise elects to connect
the |
26 | | clean coal SNG brownfield facility to an interstate
pipeline, |
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1 | | then the utility shall be entitled to recover
pursuant to its |
2 | | tariffs all just and reasonable costs that are
prudently |
3 | | incurred. Sourcing agreement costs are costs incurred by the |
4 | | utility under the terms of a sourcing agreement that |
5 | | incorporates the terms stated in subsection (h-1) of this |
6 | | Section as approved by the Commission as set forth in |
7 | | subsection (h-4) of this Section, which approval shall be |
8 | | deemed conclusive, or as a consequence of or condition to its |
9 | | performance under the contract, including (i) amounts paid for |
10 | | SNG under the SNG contract and (ii) costs of transportation and |
11 | | storage services of SNG purchased from interstate pipelines |
12 | | under federally approved tariffs. Any sourcing agreement, the |
13 | | terms of which have been approved by the Commission as set |
14 | | forth in subsection (h-4) of this Section, and the performance |
15 | | of the parties under the sourcing agreement cannot be grounds |
16 | | for challenging prudence or cost recovery by the utility, and |
17 | | in these cases, the Commission is directed not to consider, and |
18 | | has no authority to consider, any attempted challenges. |
19 | | (h-15) Reconciliation account. The clean coal SNG facility |
20 | | shall establish a reconciliation account for the benefit of the |
21 | | retail customers of the utilities that have entered into |
22 | | contracts with the clean coal SNG facility pursuant to |
23 | | subsection (h). The reconciliation account shall be maintained |
24 | | and administered by an independent trustee that is mutually |
25 | | agreed upon by the owners of the clean coal SNG facility, the |
26 | | utilities, and the Commission in an interest-bearing account in |
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1 | | accordance with the following: |
2 | | (1) The clean coal SNG facility shall conduct an |
3 | | analysis annually within 60 days after receiving the |
4 | | necessary cost information, which shall be provided by the |
5 | | gas utility within 6 months after the end of the preceding |
6 | | calendar year, to determine (i) the average annual contract |
7 | | SNG cost, which shall be calculated as the total amount |
8 | | paid for SNG purchased from the clean coal SNG facility |
9 | | over the preceding 12 months, plus the cost to the utility |
10 | | of the required transportation and storage services of SNG, |
11 | | divided by the total number of MMBtus of SNG actually |
12 | | purchased from the clean coal SNG facility in the preceding |
13 | | 12 months under the utility contract; (ii) the average |
14 | | annual natural gas purchase cost, which shall be calculated |
15 | | as the total annual supply costs paid for baseload natural |
16 | | gas (excluding any SNG) purchased by such utility over the |
17 | | preceding 12 months plus the costs of transportation and |
18 | | storage services of such natural gas (excluding such costs |
19 | | for SNG), divided by the total number of MMbtus of baseload |
20 | | natural gas (excluding SNG) actually purchased by the |
21 | | utility during the year; (iii) the cost differential, which |
22 | | shall be the difference between the average annual contract |
23 | | SNG cost and the average annual natural gas purchase cost; |
24 | | and (iv) the revenue share target which shall be the cost |
25 | | differential multiplied by the total amount of SNG |
26 | | purchased over the preceding 12 months under such utility |
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1 | | contract. |
2 | | (A) To the extent the annual average contract SNG |
3 | | cost is less than the annual average natural gas |
4 | | purchase cost, the utility shall credit an amount equal |
5 | | to the revenue share target to the reconciliation |
6 | | account. Such credit payment shall be made monthly |
7 | | starting within 30 days after the completed analysis in |
8 | | this subsection (h-15) and based on collections from |
9 | | all customers via a line item charge in all customer |
10 | | bills designed to have an equal percentage impact on |
11 | | the transportation services of each class of |
12 | | customers. Credit payments made pursuant to this |
13 | | subparagraph (A) shall be deemed prudent and |
14 | | reasonable and not subject to Commission prudence |
15 | | review. |
16 | | (B) To the extent the annual average contract SNG |
17 | | cost is greater than the annual average natural gas |
18 | | purchase cost, the reconciliation account shall be |
19 | | used to provide a credit equal to the revenue share |
20 | | target to the utilities to be used to reduce the |
21 | | utility's natural gas costs through the purchased gas |
22 | | adjustment clause. Such payment shall be made within 30 |
23 | | days after the completed analysis pursuant to this |
24 | | subsection (h-15), but only to the extent that the |
25 | | reconciliation account has a positive balance. |
26 | | (2) At the conclusion of the term of the SNG contracts |
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1 | | pursuant to subsection (h) and the completion of the final |
2 | | annual analysis pursuant to this subsection (h-15), to the |
3 | | extent the facility owes any amount to retail customers, |
4 | | amounts in the account shall be credited to retail |
5 | | customers to the extent the owed amount is repaid; 50% of |
6 | | any additional amount in the reconciliation account shall |
7 | | be distributed to the utilities to be used to reduce the |
8 | | utilities' natural gas costs through the purchase gas |
9 | | adjustment clause with the remaining amount distributed to |
10 | | the clean coal SNG facility. Such payment shall be made |
11 | | within 30 days after the last completed analysis pursuant |
12 | | to this subsection (h-15). If the facility has repaid all |
13 | | owed amounts, if any, to retail customers and has |
14 | | distributed 50% of any additional amount in the account to |
15 | | the utilities, then the owners of the clean coal SNG |
16 | | facility shall have no further obligation to the utility or |
17 | | the retail customers. |
18 | | If, at the conclusion of the term of the contracts |
19 | | pursuant to subsection (h) and the completion of the final |
20 | | annual analysis pursuant to this subsection (h-15), the |
21 | | facility owes any amount to retail customers and the |
22 | | account has been depleted, then the clean coal SNG facility |
23 | | shall be liable for any remaining amount owed to the retail |
24 | | customers. The clean coal SNG facility shall market the |
25 | | daily production of SNG and distribute on a monthly basis |
26 | | 5% of the amounts collected with respect to such future |
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1 | | sales to the utilities in proportion to each utility's SNG |
2 | | contract to be used to reduce the utility's natural gas |
3 | | costs through the purchase gas adjustment clause; such |
4 | | payments to the utility shall continue until either 15 |
5 | | years after the conclusion of the contract or such time as |
6 | | the sum of such payments equals the remaining amount owed |
7 | | to the retail customers at the end of the contract, |
8 | | whichever is earlier. If the debt to the retail customers |
9 | | is not repaid within 15 years after the conclusion of the |
10 | | contract, then the owner of the clean coal SNG facility |
11 | | must sell the facility, and all proceeds from that sale |
12 | | must be used to repay any amount owed to the retail |
13 | | customers under this subsection (h-15). |
14 | | The retail customers shall have first priority in |
15 | | recovering that debt above any creditors, except the |
16 | | secured lenders to the extent that the secured lenders have |
17 | | any secured debt outstanding, including any parent |
18 | | companies or affiliates of the clean coal SNG facility. |
19 | | (3) 50% of all additional net revenue, defined as |
20 | | miscellaneous net revenue after cost allowance and above |
21 | | the budgeted estimate established for revenue pursuant to |
22 | | subsection (h), including sale of substitute natural gas |
23 | | derived from the clean coal SNG facility above the |
24 | | nameplate capacity of the facility and other by-products |
25 | | produced by the facility, shall be credited to the |
26 | | reconciliation account on an annual basis with such payment |
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1 | | made within 30 days after the end of each calendar year |
2 | | during the term of the contract. |
3 | | (4) The clean coal SNG facility shall each year, |
4 | | starting in the facility's first year of commercial |
5 | | operation, file with the Commission, in such form as the |
6 | | Commission shall require, a report as to the reconciliation |
7 | | account. The annual report must contain the following |
8 | | information: |
9 | | (A) the revenue share target amount; |
10 | | (B) the amount credited or debited to the |
11 | | reconciliation account during the year; |
12 | | (C) the amount credited to the utilities to be used |
13 | | to reduce the utilities natural gas costs though the |
14 | | purchase gas adjustment clause; |
15 | | (D) the total amount of reconciliation account at |
16 | | the beginning and end of the year; |
17 | | (E) the total amount of consumer savings to date; |
18 | | and |
19 | | (F) any additional information the Commission may |
20 | | require. |
21 | | When any report is erroneous or defective or appears to the |
22 | | Commission to be erroneous or defective, the Commission may |
23 | | notify the clean coal SNG facility to amend the report within |
24 | | 30 days; before or after the termination of the 30-day period, |
25 | | the Commission may examine the trustee of the reconciliation |
26 | | account or the officers, agents, employees, books, records, or |
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1 | | accounts of the clean coal SNG facility and correct such items |
2 | | in the report as upon such examination the Commission may find |
3 | | defective or erroneous. All reports shall be under oath. |
4 | | All reports made to the Commission by the clean coal SNG |
5 | | facility and the contents of the reports shall be open to |
6 | | public inspection and shall be deemed a public record under the |
7 | | Freedom of Information Act. Such reports shall be preserved in |
8 | | the office of the Commission. The Commission shall publish an |
9 | | annual summary of the reports prior to February 1 of the |
10 | | following year. The annual summary shall be made available to |
11 | | the public on the Commission's website and shall be submitted |
12 | | to the General Assembly. |
13 | | Any facility that fails to file the report required under |
14 | | this paragraph (4) to the Commission within the time specified |
15 | | or to make specific answer to any question propounded by the |
16 | | Commission within 30 days after the time it is lawfully |
17 | | required to do so, or within such further time not to exceed 90 |
18 | | days as may be allowed by the Commission in its discretion, |
19 | | shall pay a penalty of $500 to the Commission for each day it |
20 | | is in default. |
21 | | Any person who willfully makes any false report to the |
22 | | Commission or to any member, officer, or employee thereof, any |
23 | | person who willfully in a report withholds or fails to provide |
24 | | material information to which the Commission is entitled under |
25 | | this paragraph (4) and which information is either required to |
26 | | be filed by statute, rule, regulation, order, or decision of |
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1 | | the Commission or has been requested by the Commission, and any |
2 | | person who willfully aids or abets such person shall be guilty |
3 | | of a Class A misdemeanor. |
4 | | (h-20) The General Assembly authorizes the Illinois |
5 | | Finance Authority to issue bonds to the maximum extent |
6 | | permitted to finance coal gasification facilities described in |
7 | | this Section, which constitute both "industrial projects" |
8 | | under Article 801 of the Illinois Finance Authority Act and |
9 | | "clean coal and energy projects" under Sections 825-65 through |
10 | | 825-75 of the Illinois Finance Authority Act. |
11 | | Administrative costs incurred by the Illinois Finance |
12 | | Authority in performance of this subsection (h-20) shall be |
13 | | subject to reimbursement by the clean coal SNG facility on |
14 | | terms as the Illinois Finance Authority and the clean coal SNG |
15 | | facility may agree. The utility and its customers shall have no |
16 | | obligation to reimburse the clean coal SNG facility or the |
17 | | Illinois Finance Authority for any such costs. |
18 | | (h-25) The State of Illinois pledges that the State may not |
19 | | enact any law or take any action to (1) break or repeal the |
20 | | authority for SNG purchase contracts entered into between |
21 | | public gas utilities and the clean coal SNG facility pursuant |
22 | | to subsection (h) of this Section or (2) deny public gas |
23 | | utilities their full cost recovery for contract costs, as |
24 | | defined in subsection (h-10), that are incurred under such SNG |
25 | | purchase contracts. These pledges are for the benefit of the |
26 | | parties to such SNG purchase contracts and the issuers and |
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1 | | holders of bonds or other obligations issued or incurred to |
2 | | finance or refinance the clean coal SNG facility. The |
3 | | beneficiaries are authorized to include and refer to these |
4 | | pledges in any finance agreement into which they may enter in |
5 | | regard to such contracts. |
6 | | (h-30) The State of Illinois retains and reserves all other |
7 | | rights to enact new or amendatory legislation or take any other |
8 | | action, including, but not limited to, such legislation or |
9 | | other action that would (1) directly or indirectly raise the |
10 | | costs that the clean coal SNG facility must incur; (2) directly |
11 | | or indirectly place additional restrictions, regulations, or |
12 | | requirements on the clean coal SNG facility; (3) prohibit |
13 | | sequestration in general or prohibit a specific sequestration |
14 | | method or project; or (4) increase minimum sequestration |
15 | | requirements. |
16 | | (i) If a gas utility or an affiliate of a gas utility has |
17 | | an ownership interest in any entity that produces or sells |
18 | | synthetic natural gas, Article VII of this Act shall apply.
|
19 | | (Source: P.A. 100-391, eff. 8-25-17.) |
20 | | Section 180. The Illinois Horse Racing Act of 1975 is |
21 | | amended by changing Sections 12.1 and 12.2 as follows:
|
22 | | (230 ILCS 5/12.1) (from Ch. 8, par. 37-12.1)
|
23 | | Sec. 12.1.
(a) The General Assembly finds that the Illinois |
24 | | Racing
Industry does not include a fair proportion of minority |
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1 | | or female workers.
|
2 | | Therefore, the General Assembly urges that the job training |
3 | | institutes, trade
associations and employers involved in the |
4 | | Illinois Horse Racing Industry
take affirmative action to |
5 | | encourage equal employment opportunity to all
workers |
6 | | regardless of race, color, creed or sex.
|
7 | | Before an organization license, inter-track wagering |
8 | | license or
inter-track wagering location license can be |
9 | | granted, the applicant for any
such license shall execute and |
10 | | file with the Board a good faith affirmative
action plan to |
11 | | recruit, train and upgrade minorities and females in all
|
12 | | classifications with the applicant for license. One year after |
13 | | issuance of
any such license, and each year thereafter, the |
14 | | licensee shall file a
report with the Board evidencing and |
15 | | certifying compliance with the
originally filed affirmative |
16 | | action plan.
|
17 | | (b) At least 10% of the total amount of all State contracts |
18 | | for the
infrastructure improvement of any race track grounds in |
19 | | this State shall be let
to minority-owned businesses , or |
20 | | women-owned businesses , veteran-owned businesses, or |
21 | | businesses owned by persons with a disability . "State |
22 | | contract",
"minority-owned business" and "women-owned |
23 | | business" , "veteran-owned business", and "business owned by a |
24 | | person with a disability" shall have the meanings
ascribed to |
25 | | them under the Business Enterprise for Minorities, Women, |
26 | | Veterans, and
Persons with Disabilities Act.
|
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1 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
2 | | (230 ILCS 5/12.2) |
3 | | Sec. 12.2. Business enterprise program. |
4 | | (a) For the purposes of this Section, the terms "minority", |
5 | | "minority-owned business", "woman", "women-owned business", |
6 | | "veteran", "veteran-owned business", "person with a |
7 | | disability", and "business owned by a person with a disability" |
8 | | have the meanings ascribed to them in the Business Enterprise |
9 | | for Minorities, Women, Veterans, and Persons with Disabilities |
10 | | Act. |
11 | | (b) The Board shall, by rule, establish goals for the award |
12 | | of contracts by each organization licensee or inter-track |
13 | | wagering licensee to businesses owned by minorities, women, |
14 | | veterans, and persons with disabilities, expressed as |
15 | | percentages of an organization licensee's or inter-track |
16 | | wagering licensee's total dollar amount of contracts awarded |
17 | | during each calendar year. Each organization licensee or |
18 | | inter-track wagering licensee must make every effort to meet |
19 | | the goals established by the Board pursuant to this Section. |
20 | | When setting the goals for the award of contracts, the Board |
21 | | shall not include contracts where: (1) licensees are purchasing |
22 | | goods or services from vendors or suppliers or in markets where |
23 | | there are no or a limited number of minority-owned businesses, |
24 | | women-owned businesses, veteran-owned businesses, or |
25 | | businesses owned by persons with disabilities that would be |
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1 | | sufficient to satisfy the goal; (2) there are no or a limited |
2 | | number of suppliers licensed by the Board; (3) the licensee or |
3 | | its parent company owns a company that provides the goods or |
4 | | services; or (4) the goods or services are provided to the |
5 | | licensee by a publicly traded company. |
6 | | (c) Each organization licensee or inter-track wagering |
7 | | licensee shall file with the Board an annual report of its |
8 | | utilization of minority-owned businesses, women-owned |
9 | | businesses, veteran-owned businesses, and businesses owned by |
10 | | persons with disabilities during the preceding calendar year. |
11 | | The reports shall include a self-evaluation of the efforts of |
12 | | the organization licensee or inter-track wagering licensee to |
13 | | meet its goals under this Section. |
14 | | (d) The organization licensee or inter-track wagering
|
15 | | licensee shall have the right to request a waiver from the |
16 | | requirements of this Section. The Board shall grant the waiver |
17 | | where the organization licensee or inter-track wagering
|
18 | | licensee demonstrates that there has been made a good faith |
19 | | effort to comply with the goals for participation by |
20 | | minority-owned businesses, women-owned businesses, |
21 | | veteran-owned businesses, and businesses owned by persons with
|
22 | | disabilities. |
23 | | (e) If the Board determines that its goals and policies are |
24 | | not being met by any organization licensee or inter-track |
25 | | wagering licensee, then the Board may: |
26 | | (1) adopt remedies for such violations; and |
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1 | | (2) recommend that the organization licensee or |
2 | | inter-track wagering licensee provide additional |
3 | | opportunities for participation by minority-owned |
4 | | businesses, women-owned businesses, veteran-owned |
5 | | businesses, and businesses owned by persons with |
6 | | disabilities; such recommendations may include, but shall |
7 | | not be limited to: |
8 | | (A) assurances of stronger and better focused
|
9 | | solicitation efforts to obtain more minority-owned |
10 | | businesses, women-owned businesses, veteran-owned |
11 | | businesses, and businesses owned by persons with |
12 | | disabilities as potential sources of supply; |
13 | | (B) division of job or project requirements, when
|
14 | | economically feasible, into tasks or quantities to |
15 | | permit participation of minority-owned businesses, |
16 | | women-owned businesses, veteran-owned businesses, and |
17 | | businesses owned by persons with disabilities; |
18 | | (C) elimination of extended experience or
|
19 | | capitalization requirements, when programmatically |
20 | | feasible, to permit participation of minority-owned |
21 | | businesses, women-owned businesses, veteran-owned |
22 | | businesses, and businesses owned by persons with |
23 | | disabilities; |
24 | | (D) identification of specific proposed contracts |
25 | | as
particularly attractive or appropriate for |
26 | | participation by minority-owned businesses, |
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1 | | women-owned businesses, veteran-owned businesses, and |
2 | | businesses owned by persons with disabilities, such |
3 | | identification to result from and be coupled with the |
4 | | efforts of items (A) through (C);
and |
5 | | (E) implementation of regulations established
for |
6 | | the use of the sheltered market process. |
7 | | (f) The Board shall file, no later than March 1 of each |
8 | | year, an annual report that shall detail the level of |
9 | | achievement toward the goals specified in this Section over the |
10 | | 3 most recent fiscal years. The annual report shall include, |
11 | | but need not be limited to: |
12 | | (1) a summary detailing expenditures subject
to the |
13 | | goals, the actual goals specified, and the goals attained |
14 | | by each organization licensee or inter-track wagering |
15 | | licensee; |
16 | | (2) a summary of the number of contracts awarded and
|
17 | | the average contract amount by each organization licensee |
18 | | or inter-track wagering licensee; |
19 | | (3) an analysis of the level of overall goal
|
20 | | achievement concerning purchases from minority-owned |
21 | | businesses, women-owned businesses, veteran-owned |
22 | | businesses, and businesses owned by persons with |
23 | | disabilities; |
24 | | (4) an analysis of the number of minority-owned |
25 | | businesses, women-owned businesses, veteran-owned |
26 | | businesses, and businesses owned by persons with |
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1 | | disabilities that are certified under the program as well |
2 | | as the number of those businesses that received State |
3 | | procurement contracts; and |
4 | | (5) (blank).
|
5 | | (Source: P.A. 99-78, eff. 7-20-15; 99-891, eff. 1-1-17; |
6 | | 100-391, eff. 8-25-17.) |
7 | | Section 185. The Riverboat Gambling Act is amended by |
8 | | changing Sections 4, 7, 7.6, and 11.2 as follows:
|
9 | | (230 ILCS 10/4) (from Ch. 120, par. 2404)
|
10 | | Sec. 4. Definitions. As used in this Act:
|
11 | | (a) "Board" means the Illinois Gaming Board.
|
12 | | (b) "Occupational license" means a license issued by the |
13 | | Board to a
person or entity to perform an occupation which the |
14 | | Board has identified as
requiring a license to engage in |
15 | | riverboat gambling in Illinois.
|
16 | | (c) "Gambling game" includes, but is not limited to, |
17 | | baccarat,
twenty-one, poker, craps, slot machine, video game of |
18 | | chance, roulette
wheel, klondike table, punchboard, faro |
19 | | layout, keno layout, numbers
ticket, push card, jar ticket, or |
20 | | pull tab which is authorized by the Board
as a wagering device |
21 | | under this Act.
|
22 | | (d) "Riverboat" means a self-propelled excursion boat, a
|
23 | | permanently moored barge, or permanently moored barges that are |
24 | | permanently
fixed together to operate as one vessel, on which |
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1 | | lawful gambling is
authorized and licensed as
provided in this |
2 | | Act.
|
3 | | (e) "Managers license" means a license issued by the Board |
4 | | to a person or
entity
to manage gambling operations conducted |
5 | | by the State pursuant to Section 7.3.
|
6 | | (f) "Dock" means the location where a riverboat moors for |
7 | | the purpose of
embarking passengers for and disembarking |
8 | | passengers from the riverboat.
|
9 | | (g) "Gross receipts" means the total amount of money |
10 | | exchanged for the
purchase of chips, tokens or electronic cards |
11 | | by riverboat patrons.
|
12 | | (h) "Adjusted gross receipts" means the gross receipts less
|
13 | | winnings paid to wagerers.
|
14 | | (i) "Cheat" means to alter the selection of criteria which |
15 | | determine the
result of a gambling game or the amount or |
16 | | frequency of payment in a gambling
game.
|
17 | | (j) (Blank).
|
18 | | (k) "Gambling operation" means the conduct of authorized |
19 | | gambling games
upon a riverboat.
|
20 | | (l) "License bid" means the lump sum amount of money that |
21 | | an applicant
bids and agrees to pay the State in return for an |
22 | | owners license that is
re-issued on or after July 1, 2003.
|
23 | | (m) The terms "minority person", "woman", "veteran", and |
24 | | "person with a disability" shall have the same meaning
as
|
25 | | defined in
Section 2 of the Business Enterprise for Minorities, |
26 | | Women, Veterans, and Persons with
Disabilities Act.
|
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1 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
2 | | (230 ILCS 10/7) (from Ch. 120, par. 2407)
|
3 | | Sec. 7. Owners licenses.
|
4 | | (a) The Board shall issue owners licenses to persons, firms |
5 | | or
corporations which apply for such licenses upon payment to |
6 | | the Board of the
non-refundable license fee set by the Board, |
7 | | upon payment of a $25,000
license fee for the first year of |
8 | | operation and a $5,000 license fee for
each succeeding year and |
9 | | upon a determination by the Board that the
applicant is |
10 | | eligible for an owners license pursuant to this Act and the
|
11 | | rules of the Board. From the effective date of this amendatory |
12 | | Act of the 95th General Assembly until (i) 3 years after the |
13 | | effective date of this amendatory Act of the 95th General |
14 | | Assembly, (ii) the date any organization licensee begins to |
15 | | operate a slot machine or video game of chance under the |
16 | | Illinois Horse Racing Act of 1975 or this Act, (iii) the date |
17 | | that payments begin under subsection (c-5) of Section 13 of the |
18 | | Act, or (iv) the wagering tax imposed under Section 13 of this |
19 | | Act is increased by law to reflect a tax rate that is at least |
20 | | as stringent or more stringent than the tax rate contained in |
21 | | subsection (a-3) of Section 13, whichever occurs first, as a |
22 | | condition of licensure and as an alternative source of payment |
23 | | for those funds payable under subsection (c-5) of Section 13 of |
24 | | the Riverboat Gambling Act, any owners licensee that holds or |
25 | | receives its owners license on or after the effective date of |
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1 | | this amendatory Act of the 94th General Assembly, other than an |
2 | | owners licensee operating a riverboat with adjusted gross |
3 | | receipts in calendar year 2004 of less than $200,000,000, must |
4 | | pay into the Horse Racing Equity Trust Fund, in addition to any |
5 | | other payments required under this Act, an amount equal to 3% |
6 | | of the adjusted gross receipts received by the owners licensee. |
7 | | The payments required under this Section shall be made by the |
8 | | owners licensee to the State Treasurer no later than 3:00 |
9 | | o'clock p.m. of the day after the day when the adjusted gross |
10 | | receipts were received by the owners licensee. A person, firm |
11 | | or corporation is ineligible to receive
an owners license if:
|
12 | | (1) the person has been convicted of a felony under the |
13 | | laws of this
State, any other state, or the United States;
|
14 | | (2) the person has been convicted of any violation of |
15 | | Article 28 of the
Criminal Code of 1961 or the Criminal |
16 | | Code of 2012, or substantially similar laws of any other |
17 | | jurisdiction;
|
18 | | (3) the person has submitted an application for a |
19 | | license under this
Act which contains false information;
|
20 | | (4) the person is
a member of the Board;
|
21 | | (5) a person defined in (1), (2), (3) or (4) is an |
22 | | officer, director or
managerial employee of the firm or |
23 | | corporation;
|
24 | | (6) the firm or corporation employs a person defined in |
25 | | (1), (2), (3) or
(4) who participates in the management or |
26 | | operation of gambling operations
authorized under this |
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1 | | Act;
|
2 | | (7) (blank); or
|
3 | | (8) a license of the person, firm or corporation issued |
4 | | under
this Act, or a license to own or operate gambling |
5 | | facilities
in any other jurisdiction, has been revoked.
|
6 | | The Board is expressly prohibited from making changes to |
7 | | the requirement that licensees make payment into the Horse |
8 | | Racing Equity Trust Fund without the express authority of the |
9 | | Illinois General Assembly and making any other rule to |
10 | | implement or interpret this amendatory Act of the 95th General |
11 | | Assembly. For the purposes of this paragraph, "rules" is given |
12 | | the meaning given to that term in Section 1-70 of the Illinois |
13 | | Administrative Procedure Act. |
14 | | (b) In determining whether to grant an owners license to an |
15 | | applicant, the
Board shall consider:
|
16 | | (1) the character, reputation, experience and |
17 | | financial integrity of the
applicants and of any other or |
18 | | separate person that either:
|
19 | | (A) controls, directly or indirectly, such |
20 | | applicant, or
|
21 | | (B) is controlled, directly or indirectly, by such |
22 | | applicant or by a
person which controls, directly or |
23 | | indirectly, such applicant;
|
24 | | (2) the facilities or proposed facilities for the |
25 | | conduct of riverboat
gambling;
|
26 | | (3) the highest prospective total revenue to be derived |
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1 | | by the State
from the conduct of riverboat gambling;
|
2 | | (4) the extent to which the ownership of the applicant |
3 | | reflects the
diversity of the State by including minority |
4 | | persons, women, veterans, and persons with a disability
and |
5 | | the good faith affirmative action plan of
each applicant to |
6 | | recruit, train and upgrade minority persons, women, |
7 | | veterans, and persons with a disability in all employment |
8 | | classifications;
|
9 | | (4.5) the extent to which the ownership of the |
10 | | applicant includes veterans of service in the armed forces |
11 | | of the United States, and the good faith affirmative action |
12 | | plan of each applicant to recruit, train, and upgrade |
13 | | veterans of service in the armed forces of the United |
14 | | States in all employment classifications; |
15 | | (5) the financial ability of the applicant to purchase |
16 | | and maintain
adequate liability and casualty insurance;
|
17 | | (6) whether the applicant has adequate capitalization |
18 | | to provide and
maintain, for the duration of a license, a |
19 | | riverboat;
|
20 | | (7) the extent to which the applicant exceeds or meets |
21 | | other standards
for the issuance of an owners license which |
22 | | the Board may adopt by rule;
and
|
23 | | (8) The amount of the applicant's license bid.
|
24 | | (c) Each owners license shall specify the place where |
25 | | riverboats shall
operate and dock.
|
26 | | (d) Each applicant shall submit with his application, on |
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1 | | forms
provided by the Board, 2 sets of his fingerprints.
|
2 | | (e) The Board may issue up to 10 licenses authorizing the |
3 | | holders of such
licenses to own riverboats. In the application |
4 | | for an owners license, the
applicant shall state the dock at |
5 | | which the riverboat is based and the water
on which the |
6 | | riverboat will be located. The Board shall issue 5 licenses to
|
7 | | become effective not earlier than January 1, 1991. Three of |
8 | | such licenses
shall authorize riverboat gambling on the |
9 | | Mississippi River, or, with approval
by the municipality in |
10 | | which the
riverboat was docked on August 7, 2003 and with Board |
11 | | approval, be authorized to relocate to a new location,
in a
|
12 | | municipality that (1) borders on the Mississippi River or is |
13 | | within 5
miles of the city limits of a municipality that |
14 | | borders on the Mississippi
River and (2), on August 7, 2003, |
15 | | had a riverboat conducting riverboat gambling operations |
16 | | pursuant to
a license issued under this Act; one of which shall |
17 | | authorize riverboat
gambling from a home dock in the city of |
18 | | East St. Louis. One other license
shall
authorize riverboat |
19 | | gambling on
the Illinois River south of Marshall County. The |
20 | | Board shall issue one
additional license to become effective |
21 | | not earlier than March 1, 1992, which
shall authorize riverboat |
22 | | gambling on the Des Plaines River in Will County.
The Board may |
23 | | issue 4 additional licenses to become effective not
earlier |
24 | | than
March 1, 1992. In determining the water upon which |
25 | | riverboats will operate,
the Board shall consider the economic |
26 | | benefit which riverboat gambling confers
on the State, and |
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1 | | shall seek to assure that all regions of the State share
in the |
2 | | economic benefits of riverboat gambling.
|
3 | | In granting all licenses, the Board may give favorable |
4 | | consideration to
economically depressed areas of the State, to |
5 | | applicants presenting plans
which provide for significant |
6 | | economic development over a large geographic
area, and to |
7 | | applicants who currently operate non-gambling riverboats in
|
8 | | Illinois.
The Board shall review all applications for owners |
9 | | licenses,
and shall inform each applicant of the Board's |
10 | | decision.
The Board may grant an owners license to an
applicant |
11 | | that has not submitted the highest license bid, but if it does |
12 | | not
select the highest bidder, the Board shall issue a written |
13 | | decision explaining
why another
applicant was selected and |
14 | | identifying the factors set forth in this Section
that favored |
15 | | the winning bidder.
|
16 | | In addition to any other revocation powers granted to the |
17 | | Board under this
Act,
the Board may revoke the owners license |
18 | | of a licensee which fails
to begin conducting gambling within |
19 | | 15 months
of receipt of the
Board's approval of the application |
20 | | if the Board determines that license
revocation is in the best |
21 | | interests of the State.
|
22 | | (f) The first 10 owners licenses issued under this Act |
23 | | shall permit the
holder to own up to 2 riverboats and equipment |
24 | | thereon
for a period of 3 years after the effective date of the |
25 | | license. Holders of
the first 10 owners licenses must pay the |
26 | | annual license fee for each of
the 3
years during which they |
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1 | | are authorized to own riverboats.
|
2 | | (g) Upon the termination, expiration, or revocation of each |
3 | | of the first
10 licenses, which shall be issued for a 3 year |
4 | | period, all licenses are
renewable annually upon payment of the |
5 | | fee and a determination by the Board
that the licensee |
6 | | continues to meet all of the requirements of this Act and the
|
7 | | Board's rules.
However, for licenses renewed on or after May 1, |
8 | | 1998, renewal shall be
for a period of 4 years, unless the |
9 | | Board sets a shorter period.
|
10 | | (h) An owners license shall entitle the licensee to own up |
11 | | to 2
riverboats. A licensee shall limit the number of gambling |
12 | | participants to
1,200 for any such owners license.
A licensee |
13 | | may operate both of its riverboats concurrently, provided that |
14 | | the
total number of gambling participants on both riverboats |
15 | | does not exceed
1,200. Riverboats licensed to operate on the
|
16 | | Mississippi River and the Illinois River south of Marshall |
17 | | County shall
have an authorized capacity of at least 500 |
18 | | persons. Any other riverboat
licensed under this Act shall have |
19 | | an authorized capacity of at least 400
persons.
|
20 | | (i) A licensed owner is authorized to apply to the Board |
21 | | for and, if
approved therefor, to receive all licenses from the |
22 | | Board necessary for the
operation of a riverboat, including a |
23 | | liquor license, a license
to prepare and serve food for human |
24 | | consumption, and other necessary
licenses. All use, occupation |
25 | | and excise taxes which apply to the sale of
food and beverages |
26 | | in this State and all taxes imposed on the sale or use
of |
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1 | | tangible personal property apply to such sales aboard the |
2 | | riverboat.
|
3 | | (j) The Board may issue or re-issue a license authorizing a |
4 | | riverboat to
dock
in a municipality or approve a relocation |
5 | | under Section 11.2 only if, prior
to the issuance or |
6 | | re-issuance of
the license or approval, the governing body of |
7 | | the municipality in which
the riverboat will dock has by a |
8 | | majority vote approved the docking of
riverboats in the |
9 | | municipality. The Board may issue or re-issue a license
|
10 | | authorizing a
riverboat to dock in areas of a county outside |
11 | | any municipality or approve a
relocation under Section 11.2 |
12 | | only if, prior to the issuance or re-issuance
of the license
or |
13 | | approval, the
governing body of the county has by a majority |
14 | | vote approved of the docking of
riverboats within such areas.
|
15 | | (Source: P.A. 100-391, eff. 8-25-17; 100-1152, eff. 12-14-18.)
|
16 | | (230 ILCS 10/7.6) |
17 | | Sec. 7.6. Business enterprise program. |
18 | | (a) For the purposes of this Section, the terms "minority", |
19 | | "minority-owned business", "woman", "women-owned business", |
20 | | "person with a disability", "veteran", "veteran-owned |
21 | | business", and "business owned by a person with a disability" |
22 | | have the meanings ascribed to them in the Business Enterprise |
23 | | for Minorities, Women, Veterans, and Persons with Disabilities |
24 | | Act. |
25 | | (b) The Board shall, by rule, establish goals for the award |
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1 | | of contracts by each owners licensee to businesses owned by |
2 | | minorities, women, veterans, and persons with disabilities, |
3 | | expressed as percentages of an owners licensee's total dollar |
4 | | amount of contracts awarded during each calendar year. Each |
5 | | owners licensee must make every effort to meet the goals |
6 | | established by the Board pursuant to this Section. When setting |
7 | | the goals for the award of contracts, the Board shall not |
8 | | include contracts where: (1) any purchasing mandates would be |
9 | | dependent upon the availability of minority-owned businesses, |
10 | | women-owned businesses, veteran-owned businesses, and |
11 | | businesses owned by persons with disabilities ready, willing, |
12 | | and able with capacity to provide quality goods and services to |
13 | | a gaming operation at reasonable prices; (2) there are no or a |
14 | | limited number of licensed suppliers as defined by this Act for |
15 | | the goods or services provided to the licensee; (3) the |
16 | | licensee or its parent company owns a company that provides the |
17 | | goods or services; or (4) the goods or services are provided to |
18 | | the licensee by a publicly traded company. |
19 | | (c) Each owners licensee shall file with the Board an |
20 | | annual report of its utilization of minority-owned businesses, |
21 | | women-owned businesses, veteran-owned businesses, and |
22 | | businesses owned by persons with disabilities during the |
23 | | preceding calendar year. The reports shall include a |
24 | | self-evaluation of the efforts of the owners licensee to meet |
25 | | its goals under this Section. |
26 | | (c-5) The Board shall, by rule, establish goals for the |
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1 | | award of contracts by each owners licensee to businesses owned |
2 | | by veterans of service in the armed forces of the United |
3 | | States, expressed as percentages of an owners licensee's total |
4 | | dollar amount of contracts awarded during each calendar year. |
5 | | When setting the goals for the award of contracts, the Board |
6 | | shall not include contracts where: (1) any purchasing mandates |
7 | | would be dependent upon the availability of veteran-owned |
8 | | businesses ready, willing, and able with capacity to provide |
9 | | quality goods and services to a gaming operation at reasonable |
10 | | prices; (2) there are no or a limited number of licensed |
11 | | suppliers as defined in this Act for the goods or services |
12 | | provided to the licensee; (3) the licensee or its parent |
13 | | company owns a company that provides the goods or services; or |
14 | | (4) the goods or services are provided to the licensee by a |
15 | | publicly traded company. |
16 | | Each owners licensee shall file with the Board an annual |
17 | | report of its utilization of veteran-owned businesses during |
18 | | the preceding calendar year. The reports shall include a |
19 | | self-evaluation of the efforts of the owners licensee to meet |
20 | | its goals under this Section. |
21 | | (d) The owners licensee shall have the right to request a |
22 | | waiver from the requirements of this Section. The Board shall |
23 | | grant the waiver where the owners licensee demonstrates that |
24 | | there has been made a good faith effort to comply with the |
25 | | goals for participation by minority-owned businesses, |
26 | | women-owned businesses, businesses owned by persons with
|
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1 | | disabilities, and veteran-owned businesses. |
2 | | (e) If the Board determines that its goals and policies are |
3 | | not being met by any owners licensee, then the Board may: |
4 | | (1) adopt remedies for such violations; and |
5 | | (2) recommend that the owners licensee provide |
6 | | additional opportunities for participation by |
7 | | minority-owned businesses, women-owned businesses, |
8 | | businesses owned by persons with disabilities, and |
9 | | veteran-owned businesses; such recommendations may |
10 | | include, but shall not be limited to: |
11 | | (A) assurances of stronger and better focused
|
12 | | solicitation efforts to obtain more minority-owned |
13 | | businesses, women-owned businesses, businesses owned |
14 | | by persons with disabilities, and veteran-owned |
15 | | businesses as potential sources of supply; |
16 | | (B) division of job or project requirements, when
|
17 | | economically feasible, into tasks or quantities to |
18 | | permit participation of minority-owned businesses, |
19 | | women-owned businesses, businesses owned by persons |
20 | | with disabilities, and veteran-owned businesses; |
21 | | (C) elimination of extended experience or
|
22 | | capitalization requirements, when programmatically |
23 | | feasible, to permit participation of minority-owned |
24 | | businesses, women-owned businesses, businesses owned |
25 | | by persons with disabilities, and veteran-owned |
26 | | businesses; |
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1 | | (D) identification of specific proposed contracts |
2 | | as
particularly attractive or appropriate for |
3 | | participation by minority-owned businesses, |
4 | | women-owned businesses, businesses owned by persons |
5 | | with disabilities, and veteran-owned businesses, such |
6 | | identification to result from and be coupled with the |
7 | | efforts of items (A) through (C);
and |
8 | | (E) implementation of regulations established
for |
9 | | the use of the sheltered market process. |
10 | | (f) The Board shall file, no later than March 1 of each |
11 | | year, an annual report that shall detail the level of |
12 | | achievement toward the goals specified in this Section over the |
13 | | 3 most recent fiscal years. The annual report shall include, |
14 | | but need not be limited to: |
15 | | (1) a summary detailing expenditures subject
to the |
16 | | goals, the actual goals specified, and the goals attained |
17 | | by each owners licensee; and |
18 | | (2) an analysis of the level of overall goal
|
19 | | achievement concerning purchases from minority-owned |
20 | | businesses, women-owned businesses, businesses owned by |
21 | | persons with disabilities, and veteran-owned businesses.
|
22 | | (Source: P.A. 99-78, eff. 7-20-15; 100-391, eff. 8-25-17; |
23 | | 100-1152, eff. 12-14-18.)
|
24 | | (230 ILCS 10/11.2)
|
25 | | Sec. 11.2. Relocation of riverboat home dock.
|
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1 | | (a) A licensee that was not conducting
riverboat gambling |
2 | | on January 1, 1998 may apply to the Board for renewal and
|
3 | | approval of relocation to a new home dock location authorized |
4 | | under Section
3(c) and
the Board
shall grant the application |
5 | | and approval upon receipt by the licensee of
approval from the |
6 | | new municipality or county, as the case may be, in which the
|
7 | | licensee wishes to relocate pursuant to Section 7(j).
|
8 | | (b) Any licensee that relocates its home dock
pursuant
to |
9 | | this Section shall attain a level of at least 20% minority |
10 | | person and woman
ownership, at least 16% and 4% respectively, |
11 | | within a time period
prescribed by the Board,
but not to exceed |
12 | | 12 months from the date
the licensee
begins conducting gambling |
13 | | at the new home dock location. The 12-month period
shall be |
14 | | extended by the amount of
time
necessary to conduct a |
15 | | background investigation pursuant to Section 6.
For the |
16 | | purposes of this
Section, the terms "woman" and "minority |
17 | | person" have the meanings provided in
Section 2 of the
Business |
18 | | Enterprise for Minorities, Women, Veterans, and Persons with |
19 | | Disabilities
Act.
|
20 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
21 | | Section 190. The Quincy Veterans' Home Rehabilitation and |
22 | | Rebuilding Act is amended by changing Sections 5, 15, 30, and |
23 | | 46 as follows: |
24 | | (330 ILCS 21/5) |
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1 | | (Section scheduled to be repealed on July 17, 2023)
|
2 | | Sec. 5. Legislative policy. It is the intent of the |
3 | | General Assembly
that
the Capital Development Board or the |
4 | | Department of Veterans' Affairs be allowed to use the |
5 | | design-build delivery method
for public
projects to renovate, |
6 | | restore, rehabilitate, or rebuild the Quincy Veterans' Home, if |
7 | | it is shown to be in the State's best interests for that |
8 | | particular
project. It shall be the policy of the Capital |
9 | | Development Board and the Department of Veterans' Affairs in |
10 | | the
procurement of
design-build services to publicly announce |
11 | | all requirements for design-build
services for the Quincy |
12 | | Veterans' Home and to procure these services on the basis of |
13 | | demonstrated competence
and qualifications and with due regard |
14 | | for the principles of competitive
selection.
|
15 | | The Capital Development Board and the Department of |
16 | | Veterans' Affairs shall, prior to issuing requests for |
17 | | proposals,
promulgate
and publish procedures for the |
18 | | solicitation and award of contracts pursuant to
this Act.
|
19 | | The Capital Development Board and the Department of |
20 | | Veterans' Affairs shall, for each public project or projects
|
21 | | permitted under
this Act, make a written determination, |
22 | | including a description as to the
particular advantages of the |
23 | | design-build procurement method, that it is in the
best |
24 | | interests of this State to enter into a design-build contract |
25 | | for the
project or projects. In making that determination, the |
26 | | following factors shall
be considered:
|
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1 | | (1) The probability that the design-build procurement |
2 | | method will be in
the best interests of the State by |
3 | | providing a material savings of time or
cost over the |
4 | | design-bid-build or other delivery system.
|
5 | | (2) The type and size of the project and its |
6 | | suitability to the
design-build procurement method.
|
7 | | (3) The ability of the State construction agency to |
8 | | define and provide
comprehensive
scope and performance |
9 | | criteria for the project.
|
10 | | No State construction agency may use a design-build |
11 | | procurement method unless the agency determines in writing that |
12 | | the project will comply with the disadvantaged business and |
13 | | equal employment practices of the State as established in the |
14 | | Business Enterprise for Minorities, Women, Veterans, and |
15 | | Persons with Disabilities Act and Section 2-105 of the Illinois |
16 | | Human Rights Act.
|
17 | | The Capital Development Board or the Department of |
18 | | Veterans' Affairs shall, within 15 days after the initial
|
19 | | determination, provide an advisory copy to the Procurement |
20 | | Policy Board and
maintain the full record of determination for |
21 | | 5 years.
|
22 | | (Source: P.A. 100-610, eff. 7-17-18.) |
23 | | (330 ILCS 21/15) |
24 | | (Section scheduled to be repealed on July 17, 2023)
|
25 | | Sec. 15. Solicitation of proposals.
|
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1 | | (a) When the State construction agency elects to use the |
2 | | design-build delivery
method, it must
issue a notice of intent |
3 | | to receive requests for proposals for the project at
least 14 |
4 | | days before issuing the request for proposal. The State
|
5 | | construction agency
must publish the advance notice in the |
6 | | official procurement bulletin of the
State or the professional |
7 | | services bulletin of the State construction agency,
if any. The
|
8 | | agency is encouraged to use publication of the notice in |
9 | | related construction
industry service publications. A brief |
10 | | description of the proposed procurement
must be included in the |
11 | | notice. The State construction agency must provide a
copy of |
12 | | the
request for proposal to any party requesting a copy.
|
13 | | (b) The request for proposal shall be prepared for each |
14 | | project and must
contain, without limitation, the following |
15 | | information:
|
16 | | (1) The name of the State construction agency.
|
17 | | (2) A preliminary schedule for the completion of the |
18 | | contract.
|
19 | | (3) The proposed budget for the project, the source of |
20 | | funds, and the
currently available funds at the time the |
21 | | request for proposal is submitted.
|
22 | | (4) Prequalification criteria for design-build |
23 | | entities wishing to submit
proposals.
The State |
24 | | construction agency shall include, at a minimum, its normal
|
25 | | prequalification, licensing, registration, and other |
26 | | requirements, but nothing
contained herein precludes the |
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1 | | use of additional prequalification criteria
by the State |
2 | | construction agency.
|
3 | | (5) Material requirements of the contract, including, |
4 | | but not limited to,
the proposed terms and conditions, |
5 | | required performance and payment bonds,
insurance, and the |
6 | | entity's plan to comply with the utilization goals for |
7 | | business enterprises established in the Business |
8 | | Enterprise for Minorities, Women, Veterans, and Persons |
9 | | with Disabilities Act, and with Section 2-105 of the |
10 | | Illinois Human Rights Act.
|
11 | | (6) The performance criteria.
|
12 | | (7) The evaluation criteria for each phase of the |
13 | | solicitation.
|
14 | | (8) The number of entities that will be considered for |
15 | | the technical and
cost
evaluation phase.
|
16 | | (c) The State construction agency may include any other |
17 | | relevant information
that it
chooses to supply. The |
18 | | design-build entity shall be entitled to rely upon the
accuracy |
19 | | of this documentation in the development of its proposal.
|
20 | | (d) The date that proposals are due must be at least 21 |
21 | | calendar days after
the date of the issuance of the request for |
22 | | proposal. In the event the cost of
the project
is estimated to |
23 | | exceed $10,000,000, then the proposal due date must be at least
|
24 | | 28 calendar days after the date of the issuance of the request |
25 | | for proposal.
The State construction agency shall include in |
26 | | the request for proposal a
minimum of 30 days
to develop the |
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1 | | Phase II submissions after the selection of entities
from the |
2 | | Phase I evaluation is completed.
|
3 | | (Source: P.A. 100-610, eff. 7-17-18.) |
4 | | (330 ILCS 21/30) |
5 | | (Section scheduled to be repealed on July 17, 2023)
|
6 | | Sec. 30. Procedures for selection.
|
7 | | (a) The State construction agency must use a two-phase |
8 | | procedure for the
selection of the
successful design-build |
9 | | entity. Phase I of the procedure will evaluate and
shortlist |
10 | | the design-build entities based on qualifications, and Phase II
|
11 | | will
evaluate the technical and cost proposals.
|
12 | | (b) The State construction agency shall include in the |
13 | | request for proposal
the
evaluating factors to be used in Phase |
14 | | I. These factors are in addition to any
prequalification |
15 | | requirements of design-build entities that the agency has set
|
16 | | forth. Each request for proposal shall establish the relative |
17 | | importance
assigned to each evaluation factor and subfactor, |
18 | | including any weighting of
criteria to be employed by the State |
19 | | construction agency. The State
construction agency must |
20 | | maintain a
record of the evaluation scoring to be disclosed in |
21 | | the event of a protest
regarding the solicitation.
|
22 | | The State construction agency shall include the following |
23 | | criteria in every
Phase I
evaluation of design-build entities: |
24 | | (1) experience of personnel; (2)
successful
experience with |
25 | | similar project types; (3) financial capability; (4) |
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1 | | timeliness
of past performance; (5) experience with similarly |
2 | | sized projects; (6)
successful reference checks of the firm; |
3 | | (7) commitment to assign personnel
for the duration of the |
4 | | project and qualifications of the entity's consultants; and (8) |
5 | | ability or past performance in meeting or exhausting good faith |
6 | | efforts to meet the utilization goals for business enterprises |
7 | | established in the Business Enterprise for Minorities, Women, |
8 | | Veterans, and Persons with Disabilities Act and with Section |
9 | | 2-105 of the Illinois Human Rights Act.
The State construction |
10 | | agency may include any additional relevant criteria in
Phase I |
11 | | that
it deems necessary for a proper qualification review.
|
12 | | The State construction agency may not consider any |
13 | | design-build entity for
evaluation or
award if the entity has |
14 | | any pecuniary interest in the project or has other
|
15 | | relationships or circumstances, including, but not limited to, |
16 | | long-term
leasehold, mutual performance, or development |
17 | | contracts with the State
construction agency,
that may give the |
18 | | design-build entity a financial or tangible advantage over
|
19 | | other design-build entities in the preparation, evaluation, or |
20 | | performance of
the
design-build contract or that create the |
21 | | appearance of impropriety.
No proposal shall be considered that |
22 | | does not include an entity's plan to comply with the |
23 | | requirements established in the Business Enterprise for |
24 | | Minorities, Women, Veterans, and Persons with Disabilities |
25 | | Act, for both the design and construction areas of performance, |
26 | | and with Section 2-105 of the Illinois Human Rights Act.
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1 | | Upon completion of the qualifications evaluation, the |
2 | | State construction
agency shall
create a shortlist of the most |
3 | | highly qualified design-build entities. The
State
construction |
4 | | agency, in its discretion, is not required to shortlist the
|
5 | | maximum number of
entities as identified for Phase II |
6 | | evaluation, so long as no less than
2
design-build entities nor |
7 | | more than 6 design-build entities are selected to submit Phase |
8 | | II
proposals.
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9 | | The State construction agency shall notify the entities |
10 | | selected for the
shortlist in
writing. This notification shall |
11 | | commence the period for the preparation of the
Phase II |
12 | | technical and cost evaluations. The State construction agency |
13 | | must
allow sufficient
time for the shortlist entities to |
14 | | prepare their Phase II submittals
considering
the scope and |
15 | | detail requested by the State agency.
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16 | | (c) The State construction agency shall include in the |
17 | | request for proposal
the
evaluating factors to be used in the |
18 | | technical and cost submission components
of Phase II. Each |
19 | | request for proposal shall establish, for both the technical
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20 | | and cost submission components of Phase II, the relative |
21 | | importance assigned to
each evaluation factor and subfactor, |
22 | | including any weighting of criteria to be
employed by the State |
23 | | construction agency. The State construction agency must
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24 | | maintain a record of the
evaluation scoring to be disclosed in |
25 | | the event of a protest regarding the
solicitation.
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26 | | The State construction agency shall include the following |
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1 | | criteria in every
Phase II
technical evaluation of design-build |
2 | | entities: (1) compliance with objectives
of
the
project; (2) |
3 | | compliance of proposed services to the request for proposal
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4 | | requirements; (3) quality of products or materials proposed; |
5 | | (4) quality of
design parameters; (5) design concepts; (6) |
6 | | innovation in meeting the scope and
performance criteria; and |
7 | | (7) constructability of the
proposed project. The State |
8 | | construction agency may include any additional
relevant
|
9 | | technical evaluation factors it deems necessary for proper |
10 | | selection.
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11 | | The State construction agency shall include the following |
12 | | criteria in every
Phase II cost
evaluation: the total project |
13 | | cost, the construction costs, and the time of
completion. The |
14 | | State construction agency may include any additional relevant
|
15 | | technical
evaluation factors it deems necessary for proper |
16 | | selection. The total project cost criteria weighting weighing |
17 | | factor shall be 25%.
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18 | | The State construction agency shall directly employ or |
19 | | retain a licensed
design
professional to evaluate the technical |
20 | | and cost submissions to determine if the
technical submissions |
21 | | are in accordance with generally
accepted industry standards.
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22 | | Upon completion of the technical submissions and cost |
23 | | submissions evaluation,
the State construction agency may |
24 | | award the design-build contract to the
highest
overall ranked |
25 | | entity.
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26 | | (Source: P.A. 100-610, eff. 7-17-18; revised 10-3-18.) |
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1 | | (330 ILCS 21/46) |
2 | | (Section scheduled to be repealed on July 17, 2023)
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3 | | Sec. 46. Reports and evaluation. At the end of every |
4 | | 6-month period following the contract award, and again prior to |
5 | | final contract payout and closure, a selected design-build |
6 | | entity shall detail, in a written report submitted to the State |
7 | | agency, its efforts and success in implementing the entity's |
8 | | plan to comply with the utilization goals for business |
9 | | enterprises established in the Business Enterprise for |
10 | | Minorities, Women, Veterans, and Persons with Disabilities Act |
11 | | and Section 2-105 of the Illinois Human Rights Act. If the |
12 | | entity's performance in implementing the plan falls short of |
13 | | the performance measures and outcomes set forth in the plans |
14 | | submitted by the entity during the proposal process, the entity |
15 | | shall, in a detailed written report, inform the General |
16 | | Assembly and the Governor whether and to what degree each |
17 | | design-build contract authorized under this Act promoted the |
18 | | utilization goals for business enterprises established in the |
19 | | Business Enterprise for Minorities, Women, Veterans, and |
20 | | Persons with Disabilities Act and Section 2-105 of the Illinois |
21 | | Human Rights Act.
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22 | | (Source: P.A. 100-610, eff. 7-17-18.) |
23 | | Section 195. The Environmental Protection Act is amended by |
24 | | changing Section 14.7 as follows: |
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1 | | (415 ILCS 5/14.7) |
2 | | Sec. 14.7. Preservation of community water supplies. |
3 | | (a) The Agency shall adopt rules governing certain |
4 | | corrosion prevention projects carried out on community water |
5 | | supplies. Those rules shall not apply to buried pipelines |
6 | | including, but not limited to, pipes, mains, and joints. The |
7 | | rules shall exclude routine maintenance activities of |
8 | | community water supplies including, but not limited to, the use |
9 | | of protective coatings applied by the owner's utility personnel |
10 | | during the course of performing routine maintenance |
11 | | activities. The activities may include, but not be limited to, |
12 | | the painting of fire hydrants; routine over-coat painting of |
13 | | interior and exterior building surfaces such as floors, doors, |
14 | | windows, and ceilings; and routine touch-up and over-coat |
15 | | application of protective coatings typically found on water |
16 | | utility pumps, pipes, tanks, and other water treatment plant |
17 | | appurtenances and utility owned structures. Those rules shall |
18 | | include: |
19 | | (1) standards for ensuring that community water |
20 | | supplies carry out corrosion prevention and mitigation |
21 | | methods according to corrosion prevention industry |
22 | | standards adopted by the Agency; |
23 | | (2) requirements that community water supplies use: |
24 | | (A) protective coatings personnel to carry out |
25 | | corrosion prevention and mitigation methods on exposed |
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1 | | water treatment tanks, exposed non-concrete water |
2 | | treatment structures, exposed water treatment pipe |
3 | | galleys; exposed pumps; and generators; the Agency |
4 | | shall not limit to protective coatings personnel any |
5 | | other work relating to prevention and mitigation |
6 | | methods on any other water treatment appurtenances |
7 | | where protective coatings are utilized for corrosion |
8 | | control and prevention to prolong the life of the water |
9 | | utility asset; and |
10 | | (B) inspectors to ensure that best practices and |
11 | | standards are adhered to on each corrosion prevention |
12 | | project; and |
13 | | (3) standards to prevent environmental degradation |
14 | | that might occur as a result of carrying out corrosion |
15 | | prevention and mitigation methods including, but not |
16 | | limited to, standards to prevent the improper handling and |
17 | | containment of hazardous materials, especially lead paint, |
18 | | removed from the exterior of a community water supply. |
19 | | In adopting rules under this subsection (a), the Agency
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20 | | shall obtain input from corrosion industry experts
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21 | | specializing in the training of personnel to
carry out |
22 | | corrosion prevention and mitigation methods. |
23 | | (b) As used in this Section: |
24 | | "Community water supply" has the meaning ascribed to that
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25 | | term in Section 3.145 of this Act. |
26 | | "Corrosion" means a naturally occurring phenomenon
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1 | | commonly defined as the deterioration of a metal that results |
2 | | from a chemical or electrochemical reaction
with its |
3 | | environment. |
4 | | "Corrosion prevention and mitigation methods" means the |
5 | | preparation, application, installation,
removal, or general |
6 | | maintenance as necessary of a
protective coating system, |
7 | | including any or more of the
following: |
8 | | (A) surface preparation and coating application on
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9 | | the exterior or interior of a community water supply; |
10 | | or |
11 | | (B) shop painting of structural steel fabricated
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12 | | for installation as part of a community water supply. |
13 | | "Corrosion prevention project" means carrying out
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14 | | corrosion prevention and mitigation methods. "Corrosion |
15 | | prevention project" does not include clean-up related to |
16 | | surface preparation. |
17 | | "Protective coatings personnel" means personnel employed |
18 | | or retained by a contractor providing services covered by this |
19 | | Section to carry out corrosion prevention or mitigation methods |
20 | | or inspections. |
21 | | (c) This Section shall apply to only those projects |
22 | | receiving 100% funding from the State. |
23 | | (d) Each contract procured pursuant to the Illinois |
24 | | Procurement Code for the provision of services covered by this |
25 | | Section (1) shall comply with applicable provisions of the |
26 | | Illinois Procurement Code and (2) shall include provisions for |
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1 | | reporting participation by minority persons, women, and |
2 | | veterans, as defined by Section 2 of the Business Enterprise |
3 | | for Minorities, Women, Veterans, and Persons with Disabilities |
4 | | Act ; women, as defined by Section 2 of the Business Enterprise |
5 | | for Minorities, Women, and Persons with Disabilities Act; and |
6 | | veterans, as defined by Section 45-57 of the Illinois |
7 | | Procurement Code , in apprenticeship and training programs in |
8 | | which the contractor or his or her subcontractors participate. |
9 | | The requirements of this Section do not apply to an individual |
10 | | licensed under the Professional Engineering Practice Act of |
11 | | 1989 or the Structural Engineering Act of 1989.
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12 | | (Source: P.A. 99-923, eff. 7-1-17; 100-391, eff. 8-25-17.) |
13 | | Section 200. The Public Private Agreements for the Illiana |
14 | | Expressway Act is amended by changing Section 20 as follows: |
15 | | (605 ILCS 130/20)
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16 | | Sec. 20. Procurement; request for proposals process. |
17 | | (a) Notwithstanding any provision of law to the contrary, |
18 | | the Department on behalf of the State shall select a contractor |
19 | | through a competitive request for proposals process governed by |
20 | | the Illinois Procurement Code and rules adopted under that Code |
21 | | and this Act. |
22 | | (b) The competitive request for proposals process shall, at |
23 | | a minimum, solicit statements of qualification and proposals |
24 | | from offerors. |
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1 | | (c) The competitive request for proposals process shall, at |
2 | | a minimum, take into account the following criteria: |
3 | | (1) The offeror's plans for the Illiana Expressway |
4 | | project; |
5 | | (2) The offeror's current and past business practices; |
6 | | (3) The offeror's poor or inadequate past performance |
7 | | in developing, financing, constructing, managing, or |
8 | | operating highways or other public assets; |
9 | | (4) The offeror's ability to meet and past performance |
10 | | in meeting or exhausting good faith efforts to meet the |
11 | | utilization goals for business enterprises established in |
12 | | the Business Enterprise for Minorities, Women, Veterans, |
13 | | and Persons with Disabilities Act; |
14 | | (5) The offeror's ability to comply with and past |
15 | | performance in complying with Section 2-105 of the Illinois |
16 | | Human Rights Act; and |
17 | | (6) The offeror's plans to comply with the Business |
18 | | Enterprise for Minorities, Women, Veterans, and Persons |
19 | | with Disabilities Act and Section 2-105 of the Illinois |
20 | | Human Rights Act.
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21 | | (d) The Department shall retain the services of an advisor |
22 | | or advisors with significant experience in the development, |
23 | | financing, construction, management, or operation of public |
24 | | assets to assist in the preparation of the request for |
25 | | proposals. |
26 | | (e) The Department shall not include terms in the request |
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1 | | for proposals that provide an advantage, whether directly or |
2 | | indirectly, to any contractor presently providing goods, |
3 | | services, or equipment to the Department. |
4 | | (f) The Department shall select at least 2 offerors as |
5 | | finalists. The Department shall submit the offerors' |
6 | | statements of qualification and proposals to the Commission on |
7 | | Government Forecasting and Accountability and the Procurement |
8 | | Policy Board, which shall, within 30 days of the submission, |
9 | | complete a review of the statements of qualification and |
10 | | proposals and, jointly or separately, report on, at a minimum, |
11 | | the satisfaction of the criteria contained in the request for |
12 | | proposals, the qualifications of the offerors, and the value of |
13 | | the proposals to the State. The Department shall not select an |
14 | | offeror as the contractor for the Illiana Expressway project |
15 | | until it has received and considered the findings of the |
16 | | Commission on Government Forecasting and Accountability and |
17 | | the Procurement Policy Board as set forth in their respective |
18 | | reports. |
19 | | (g) Before awarding a public private agreement to an |
20 | | offeror, the Department shall schedule and hold a public |
21 | | hearing or hearings on the proposed public private agreement |
22 | | and publish notice of the hearing or hearings at least 7 days |
23 | | before the hearing and in accordance with Section 4-219 of the |
24 | | Illinois Highway Code. The notice must include the following: |
25 | | (1) the date, time, and place of the hearing and the |
26 | | address of the Department; |
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1 | | (2) the subject matter of the hearing; |
2 | | (3) a description of the agreement that may be awarded; |
3 | | and |
4 | | (4) the recommendation that has been made to select an |
5 | | offeror as the contractor for the Illiana Expressway |
6 | | project. |
7 | | At the hearing, the Department shall allow the public to be |
8 | | heard on the subject of the hearing. |
9 | | (h) After the procedures required in this Section have been |
10 | | completed, the Department shall make a determination as to |
11 | | whether the offeror should be designated as the contractor for |
12 | | the Illiana Expressway project and shall submit the decision to |
13 | | the Governor and to the Governor's Office of Management and |
14 | | Budget. After review of the Department's determination, the |
15 | | Governor may accept or reject the determination. If the |
16 | | Governor accepts the determination of the Department, the |
17 | | Governor shall designate the offeror for the Illiana Expressway |
18 | | project.
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19 | | (Source: P.A. 100-391, eff. 8-25-17.) |
20 | | Section 205. The Public-Private Agreements for the South |
21 | | Suburban Airport Act is amended by changing Section 2-30 as |
22 | | follows: |
23 | | (620 ILCS 75/2-30)
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24 | | Sec. 2-30. Request for proposals process to enter into |
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1 | | public-private agreements.
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2 | | (a) Notwithstanding any provisions of the Illinois |
3 | | Procurement Code, the Department, on behalf of the State, shall |
4 | | select a contractor through a competitive request for proposals |
5 | | process governed by Section 2-30 of this Act. The Department |
6 | | will consult with the chief procurement officer for |
7 | | construction or construction-related activities designated |
8 | | pursuant to clause (2) of Section 1-15.15 of the Illinois |
9 | | Procurement Code on the competitive request for proposals |
10 | | process, and the Secretary will determine, in consultation with |
11 | | the chief procurement officer, which procedures to adopt and |
12 | | apply to the competitive request for proposals process in order |
13 | | to ensure an open, transparent, and efficient process that |
14 | | accomplishes the purposes of this Act. |
15 | | (b) The competitive request for proposals process shall, at |
16 | | a minimum, solicit statements of qualification and proposals |
17 | | from offerors. |
18 | | (c) The competitive request for proposals process shall, at |
19 | | a minimum, take into account the following criteria: |
20 | | (1) the offeror's plans for the South Suburban Airport |
21 | | project; |
22 | | (2) the offeror's current and past business practices; |
23 | | (3) the offeror's poor or inadequate past performance |
24 | | in developing, financing, constructing, managing, or |
25 | | operating airports or other public assets; |
26 | | (4) the offeror's ability to meet the utilization goals |
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1 | | for business enterprises established in the Business |
2 | | Enterprise for Minorities, Women, Veterans, and Persons |
3 | | with Disabilities Act; |
4 | | (5) the offeror's ability to comply with Section 2-105 |
5 | | of the Illinois Human Rights Act; and |
6 | | (6) the offeror's plans to comply with the Business |
7 | | Enterprise for Minorities, Women, Veterans, and Persons |
8 | | with Disabilities Act and Section 2-105 of the Illinois |
9 | | Human Rights Act. |
10 | | (d) The Department shall retain the services of an advisor |
11 | | or advisors with significant experience in the development, |
12 | | financing, construction, management, or operation of public |
13 | | assets to assist in the preparation of the request for |
14 | | proposals. |
15 | | (e) The Department shall not include terms in the request |
16 | | for proposals that provide an advantage, whether directly or |
17 | | indirectly, to any contractor presently providing goods, |
18 | | services, or equipment to the Department. |
19 | | (f) The Department shall select one or more offerors as |
20 | | finalists. The Department shall submit the offeror's |
21 | | statements of qualification and proposals to the Commission on |
22 | | Government Forecasting and Accountability and the Procurement |
23 | | Policy Board, which shall, within 30 days after the submission, |
24 | | complete a review of the statements of qualification and |
25 | | proposals and, jointly or separately, report on, at a minimum, |
26 | | the satisfaction of the criteria contained in the request for |
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1 | | proposals, the qualifications of the offerors, and the value of |
2 | | the proposals to the State. The Department shall not select an |
3 | | offeror as the contractor for the South Suburban Airport |
4 | | project until it has received and considered the findings of |
5 | | the Commission on Government Forecasting and Accountability |
6 | | and the Procurement Policy Board as set forth in their |
7 | | respective reports. |
8 | | (g) Before awarding a public-private agreement to an |
9 | | offeror, the Department shall schedule and hold a public |
10 | | hearing or hearings on the proposed public-private agreement |
11 | | and publish notice of the hearing or hearings at least 7 days |
12 | | before the hearing. The notice shall include the following: |
13 | | (1) the date, time, and place of the hearing and the |
14 | | address of the Department; |
15 | | (2) the subject matter of the hearing; |
16 | | (3) a description of the agreement that may be awarded; |
17 | | and |
18 | | (4) the recommendation that has been made to select an |
19 | | offeror as the contractor for the South Suburban Airport |
20 | | project. |
21 | | At the hearing, the Department shall allow the public to be |
22 | | heard on the subject of the hearing. |
23 | | (h) After the procedures required in this Section have been |
24 | | completed, the Department shall make a determination as to |
25 | | whether the offeror should be designated as the contractor for |
26 | | the South Suburban Airport project and shall submit the |
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1 | | decision to the Governor and to the Governor's Office of |
2 | | Management and Budget. After review of the Department's |
3 | | determination, the Governor may accept or reject the |
4 | | determination. If the Governor accepts the determination of the |
5 | | Department, the Governor shall designate the offeror for the |
6 | | South Suburban Airport project.
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7 | | (Source: P.A. 100-391, eff. 8-25-17.) |
8 | | Section 210. The Public-Private Partnerships for |
9 | | Transportation Act is amended by changing Section 25 as |
10 | | follows: |
11 | | (630 ILCS 5/25)
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12 | | Sec. 25. Design-build procurement. |
13 | | (a) This Section 25 shall apply only to transportation |
14 | | projects for which the Department or the Authority intends to |
15 | | execute a design-build agreement, in which case the Department |
16 | | or the Authority shall abide by the requirements and procedures |
17 | | of this Section 25 in addition to other applicable requirements |
18 | | and procedures set forth in this Act. |
19 | | (b)(1) The transportation agency must issue a notice of |
20 | | intent to receive proposals for the project at least 14 days |
21 | | before issuing the request for the qualifications. The |
22 | | transportation agency must publish the advance notice in a |
23 | | daily newspaper of general circulation in the county where the |
24 | | transportation agency is located. The transportation agency is |
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1 | | encouraged to use publication of the notice in related |
2 | | construction industry service publications. A brief |
3 | | description of the proposed procurement must be included in the |
4 | | notice. The transportation agency must provide a copy of the |
5 | | request for qualifications to any party requesting a copy. |
6 | | (2) The request for qualifications shall be prepared for |
7 | | each project and must contain, without limitation, the |
8 | | following information: (i) the name of the transportation |
9 | | agency; (ii) a preliminary schedule for the completion of the |
10 | | contract; (iii) the proposed budget for the project and the |
11 | | source of funds, to the extent not already reflected in the |
12 | | Department's Multi-Year Highway Improvement Program; (iv) the |
13 | | shortlisting process for entities or groups of entities such as |
14 | | unincorporated joint ventures wishing to submit proposals (the |
15 | | transportation agency shall include, at a minimum, its normal |
16 | | prequalification, licensing, registration, and other |
17 | | requirements, but nothing contained herein precludes the use of |
18 | | additional criteria by the transportation agency); (v) a |
19 | | summary of anticipated material requirements of the contract, |
20 | | including but not limited to, the proposed terms and |
21 | | conditions, required performance and payment bonds, insurance, |
22 | | and the utilization goals established by the transportation |
23 | | agency for minority and women business enterprises and |
24 | | compliance with Section 2-105 of the Illinois Human Rights Act; |
25 | | and (vi) the anticipated number of entities that will be |
26 | | shortlisted for the request for proposals phase. |
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1 | | (3) The transportation agency may include any other |
2 | | relevant information in the request for qualifications that it |
3 | | chooses to supply. The private entity shall be entitled to rely |
4 | | upon the accuracy of this documentation in the development of |
5 | | its statement of qualifications and its proposal only to the |
6 | | extent expressly warranted by the transportation agency. |
7 | | (4) The date that statements of qualifications are due must |
8 | | be at least 21 calendar days after the date of the issuance of |
9 | | the request for qualifications. In the event the cost of the |
10 | | project is estimated to exceed $12,000,000, then the statement |
11 | | of qualifications due date must be at least 28 calendar days |
12 | | after the date of the issuance of the request for |
13 | | qualifications. The transportation agency shall include in the |
14 | | request for proposals a minimum of 30 days to develop the |
15 | | proposals after the selection of entities from the evaluation |
16 | | of the statements of qualifications is completed. |
17 | | (c)(1) The transportation agency shall develop, with the |
18 | | assistance of a licensed design professional, the request for |
19 | | qualifications and the request for proposals, which shall |
20 | | include scope and performance criteria. The scope and |
21 | | performance criteria must be in sufficient detail and contain |
22 | | adequate information to reasonably apprise the private |
23 | | entities of the transportation agency's overall programmatic |
24 | | needs and goals, including criteria and preliminary design |
25 | | plans, general budget parameters, schedule, and delivery |
26 | | requirements. |
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1 | | (2) Each request for qualifications and request for |
2 | | proposals shall also include a description of the level of |
3 | | design to be provided in the proposals. This description must |
4 | | include the scope and type of renderings, drawings, and |
5 | | specifications that, at a minimum, will be required by the |
6 | | transportation agency to be produced by the private entities. |
7 | | (3) The scope and performance criteria shall be prepared by |
8 | | a design professional who is an employee of the transportation |
9 | | agency, or the transportation agency may contract with an |
10 | | independent design professional selected under the |
11 | | Architectural, Engineering, and Land Surveying Qualifications |
12 | | Based Selection Act to provide these services. |
13 | | (4) The design professional that prepares the scope and |
14 | | performance criteria is prohibited from participating in any |
15 | | private entity proposal for the project. |
16 | | (d)(1) The transportation agency must use a two phase |
17 | | procedure for the selection of the successful design-build |
18 | | entity. The request for qualifications phase will evaluate and |
19 | | shortlist the private entities based on qualifications, and the |
20 | | request for proposals will evaluate the technical and cost |
21 | | proposals. |
22 | | (2) The transportation agency shall include in the request |
23 | | for qualifications the evaluating factors to be used in the |
24 | | request for qualifications phase. These factors are in addition |
25 | | to any prequalification requirements of private entities that |
26 | | the transportation agency has set forth. Each request for |
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1 | | qualifications shall establish the relative importance |
2 | | assigned to each evaluation factor, including any weighting of |
3 | | criteria to be employed by the transportation agency. The |
4 | | transportation agency must maintain a record of the evaluation |
5 | | scoring to be disclosed in event of a protest regarding the |
6 | | solicitation. |
7 | | The transportation agency shall include the following |
8 | | criteria in every request for qualifications phase evaluation |
9 | | of private entities: (i) experience of personnel; (ii) |
10 | | successful experience with similar project types; (iii) |
11 | | financial capability; (iv) timeliness of past performance; (v) |
12 | | experience with similarly sized projects; (vi) successful |
13 | | reference checks of the firm; (vii) commitment to assign |
14 | | personnel for the duration of the project and qualifications of |
15 | | the entity's consultants; and (viii) ability or past |
16 | | performance in meeting or exhausting good faith efforts to meet |
17 | | the utilization goals for business enterprises established in |
18 | | the Business Enterprise for Minorities, Women, Veterans, and |
19 | | Persons with Disabilities Act and in complying with Section |
20 | | 2-105 of the Illinois Human Rights Act. No proposal shall be |
21 | | considered that does not include an entity's plan to comply |
22 | | with the requirements regarding minority and women business |
23 | | enterprises and economically disadvantaged firms established |
24 | | by the transportation agency and with Section 2-105 of the |
25 | | Illinois Human Rights Act. The transportation agency may |
26 | | include any additional relevant criteria in the request for |
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1 | | qualifications phase that it deems necessary for a proper |
2 | | qualification review. |
3 | | Upon completion of the qualifications evaluation, the |
4 | | transportation agency shall create a shortlist of the most |
5 | | highly qualified private entities. |
6 | | The transportation agency shall notify the entities |
7 | | selected for the shortlist in writing. This notification shall |
8 | | commence the period for the preparation of the request for |
9 | | proposals phase technical and cost evaluations. The |
10 | | transportation agency must allow sufficient time for the |
11 | | shortlist entities to prepare their proposals considering the |
12 | | scope and detail requested by the transportation agency. |
13 | | (3) The transportation agency shall include in the request |
14 | | for proposals the evaluating factors to be used in the |
15 | | technical and cost submission components. Each request for |
16 | | proposals shall establish, for both the technical and cost |
17 | | submission components, the relative importance assigned to |
18 | | each evaluation factor, including any weighting of criteria to |
19 | | be employed by the transportation agency. The transportation |
20 | | agency must maintain a record of the evaluation scoring to be |
21 | | disclosed in event of a protest regarding the solicitation. |
22 | | The transportation agency shall include the following |
23 | | criteria in every request for proposals phase technical |
24 | | evaluation of private entities: (i) compliance with objectives |
25 | | of the project; (ii) compliance of proposed services to the |
26 | | request for proposal requirements; (iii) compliance with the |
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1 | | request for proposal requirements of products or materials |
2 | | proposed; (iv) quality of design parameters; and (v) design |
3 | | concepts. The transportation agency may include any additional |
4 | | relevant technical evaluation factors it deems necessary for |
5 | | proper selection. |
6 | | The transportation agency shall include the following |
7 | | criteria in every request for proposals phase cost evaluation: |
8 | | the total project cost and the time of completion. The |
9 | | transportation agency may include any additional relevant |
10 | | technical evaluation factors it deems necessary for proper |
11 | | selection. The guaranteed maximum project cost criteria |
12 | | weighing factor shall not exceed 30%. |
13 | | The transportation agency shall directly employ or retain a |
14 | | licensed design professional to evaluate the technical and cost |
15 | | submissions to determine if the technical submissions are in |
16 | | accordance with generally accepted industry standards. |
17 | | (e) Statements of qualifications and proposals must be |
18 | | properly identified and sealed. Statements of qualifications |
19 | | and proposals may not be reviewed until after the deadline for |
20 | | submission has passed as set forth in the request for |
21 | | qualifications or the request for proposals. All private |
22 | | entities submitting statements of qualifications or proposals |
23 | | shall be disclosed after the deadline for submission, and all |
24 | | private entities who are selected for request for proposals |
25 | | phase evaluation shall also be disclosed at the time of that |
26 | | determination. |
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1 | | Design-build proposals shall include a bid bond in the form |
2 | | and security as designated in the request for proposals. |
3 | | Proposals shall also contain a separate sealed envelope with |
4 | | the cost information within the overall proposal submission. |
5 | | Proposals shall include a list of all design professionals and |
6 | | other entities to which any work identified in Section 30-30 of |
7 | | the Illinois Procurement Code as a subdivision of construction |
8 | | work may be subcontracted during the performance of the |
9 | | contract to the extent known at the time of proposal. If the |
10 | | information is not known at the time of proposal, then the |
11 | | design-build agreement shall require the identification prior |
12 | | to a previously unlisted subcontractor commencing work on the |
13 | | transportation project. |
14 | | Statements of qualifications and proposals must meet all |
15 | | material requirements of the request for qualifications or |
16 | | request for proposals, or else they may be rejected as |
17 | | non-responsive. The transportation agency shall have the right |
18 | | to reject any and all statements of qualifications and |
19 | | proposals. |
20 | | The private entity's proprietary intellectual property |
21 | | contained in the drawings and specifications of any |
22 | | unsuccessful statement of qualifications or proposal shall |
23 | | remain the property of the private entity. |
24 | | The transportation agency shall review the statements of |
25 | | qualifications and the proposals for compliance with the |
26 | | performance criteria and evaluation factors. |
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1 | | Statements of qualifications and proposals may be |
2 | | withdrawn prior to the due date and time for submissions for |
3 | | any cause. After evaluation begins by the transportation |
4 | | agency, clear and convincing evidence of error is required for |
5 | | withdrawal.
|
6 | | (Source: P.A. 100-391, eff. 8-25-17.) |
7 | | Section 215. The Criminal Code of 2012 is amended by |
8 | | changing Sections 17-10.2, 17-10.3, 33E-2, and 33E-6 as |
9 | | follows: |
10 | | (720 ILCS 5/17-10.2) (was 720 ILCS 5/17-29) |
11 | | Sec. 17-10.2. Businesses owned by minorities, women |
12 | | females , veterans, and persons with disabilities; fraudulent |
13 | | contracts with governmental units. |
14 | | (a) In this Section: |
15 | | "Minority person" means a person who is any of the |
16 | | following: |
17 | | (1) American Indian or Alaska Native (a person having |
18 | | origins in any of the original peoples of North and South |
19 | | America, including Central America, and who maintains |
20 | | tribal affiliation or community attachment). |
21 | | (2) Asian (a person having origins in any of the |
22 | | original peoples of the Far East, Southeast Asia, or the |
23 | | Indian subcontinent, including, but not limited to, |
24 | | Cambodia, China, India, Japan, Korea, Malaysia, Pakistan, |
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1 | | the Philippine Islands, Thailand, and Vietnam). |
2 | | (3) Black or African American (a person having origins |
3 | | in any of the black racial groups of Africa). Terms such as |
4 | | "Haitian" or "Negro" can be used in addition to "Black or |
5 | | African American". |
6 | | (4) Hispanic or Latino (a person of Cuban, Mexican, |
7 | | Puerto Rican, South or Central American, or other Spanish |
8 | | culture or origin, regardless of race). |
9 | | (5) Native Hawaiian or Other Pacific Islander (a person |
10 | | having origins in any of the original peoples of Hawaii, |
11 | | Guam, Samoa, or other Pacific Islands). |
12 | | "Woman" "Female" means a person who is of the female |
13 | | gender.
|
14 | | "Person with a disability" means a person who is a |
15 | | person qualifying as having a disability.
|
16 | | "Veteran" means a person who (i) has been a member of |
17 | | the armed forces of the United States or, while a citizen |
18 | | of the United States, was a member of the armed forces of |
19 | | allies of the United States in time of hostilities with a |
20 | | foreign country and (ii) has served under one or more of |
21 | | the following conditions: (a) the veteran served a total of |
22 | | at least 6 months; (b) the veteran served for the duration |
23 | | of hostilities regardless of the length of the engagement; |
24 | | (c) the veteran was discharged on the basis of hardship; or |
25 | | (d) the veteran was released from active duty because of a |
26 | | service connected disability and was discharged under |
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1 | | honorable conditions. |
2 | | "Disability" means a severe physical or mental |
3 | | disability that:
(1) results from:
amputation,
arthritis,
|
4 | | autism,
blindness,
burn injury,
cancer,
cerebral palsy,
|
5 | | cystic fibrosis,
deafness,
head injury,
heart disease,
|
6 | | hemiplegia,
hemophilia,
respiratory or pulmonary |
7 | | dysfunction, an intellectual disability,
mental illness,
|
8 | | multiple sclerosis,
muscular dystrophy,
musculoskeletal |
9 | | disorders,
neurological disorders, including stroke and |
10 | | epilepsy,
paraplegia,
quadriplegia and other spinal cord |
11 | | conditions,
sickle cell anemia,
specific learning |
12 | | disabilities, or
end stage renal failure disease; and
(2) |
13 | | substantially limits one or more of the person's major life |
14 | | activities. |
15 | | "Minority-owned business" means a business which
is at |
16 | | least 51% owned by one or more minority persons, or in the |
17 | | case of a corporation, at least 51% of the stock in which |
18 | | is owned by one or more minority persons; and the |
19 | | management and daily business operations of which are |
20 | | controlled by one or more of the minority individuals who |
21 | | own it. |
22 | | "Women-owned business" means a business which is
at |
23 | | least 51% owned by one or more women, or, in the case of a |
24 | | corporation, at least 51% of the stock in which is owned by |
25 | | one or more women; and the management and daily business |
26 | | operations of which are controlled by one or more of the |
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1 | | women who own it. |
2 | | "Business owned by a person with a disability"
means a |
3 | | business that is at least 51% owned by one or more persons |
4 | | with a disability and the management and daily business |
5 | | operations of which are controlled by one or more of the |
6 | | persons with disabilities who own it. A not-for-profit |
7 | | agency for persons with disabilities that is exempt from |
8 | | taxation under Section 501 of the Internal Revenue Code of |
9 | | 1986 is also considered a "business owned by a person with |
10 | | a disability. |
11 | | "Veteran-owned business" means a business which is at |
12 | | least 51% owned by one or more veterans, or, in the case of |
13 | | a corporation, at least 51% of the stock in which is owned |
14 | | by one or more veterans; and the management and daily |
15 | | business operations of which are controlled by one or more |
16 | | of the veterans who own it. |
17 | | "Minority owned business" means a business concern |
18 | | that is at least 51% owned by one or more minority persons, |
19 | | or in the case of a corporation, at least 51% of the stock |
20 | | in which is owned by one or more minority persons; and the |
21 | | management and daily business operations of which are |
22 | | controlled by one or more of the minority individuals who |
23 | | own it. |
24 | | "Female owned business" means a business concern that |
25 | | is at least 51% owned by one or more females, or, in the |
26 | | case of a corporation, at least 51% of the stock in which |
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1 | | is owned by one or more females; and the management and |
2 | | daily business operations of which are controlled by one or |
3 | | more of the females who own it. |
4 | | " Business owned by a person with a disability" means a |
5 | | business concern that is at least 51% owned by one or more |
6 | | persons with a disability and the management and daily |
7 | | business operations of which are controlled by one or more |
8 | | of the persons with disabilities who own it. A |
9 | | not-for-profit agency for persons with disabilities that |
10 | | is exempt from taxation under Section 501 of the Internal |
11 | | Revenue Code of 1986 is also considered a "business owned |
12 | | by a person with a disability". |
13 | | "Governmental unit" means the State, a unit of local |
14 | | government, or school district. |
15 | | "Armed forces of the United States" means the United |
16 | | States Army, Navy, Air Force, Marine Corps, Coast Guard, or |
17 | | service in active duty as defined under 38 U.S.C. Section |
18 | | 101. Service in the Merchant Marine that constitutes active |
19 | | duty under Section 401 of federal Public Act 95-202 shall |
20 | | also be considered service in the armed forces for purposes |
21 | | of this Section. |
22 | | "Time of hostilities with a foreign country" means any |
23 | | period of time in the past, present, or future during which |
24 | | a declaration of war by the United States Congress has been |
25 | | or is in effect or during which an emergency condition has |
26 | | been or is in effect that is recognized by the issuance of |
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1 | | a Presidential proclamation or a Presidential executive |
2 | | order and in which the armed forces expeditionary medal or |
3 | | other campaign service medals are awarded according to |
4 | | Presidential executive order. |
5 | | (b) In addition to any other penalties imposed by law or by |
6 | | an ordinance or resolution of a unit of local government or |
7 | | school district, any individual or entity that knowingly |
8 | | obtains, or knowingly assists another to obtain, a contract |
9 | | with a governmental unit, or a subcontract or written |
10 | | commitment for a subcontract under a contract with a |
11 | | governmental unit, by falsely representing that the individual |
12 | | or entity, or the individual or entity assisted, is a minority |
13 | | owned business, female owned business, or business owned by a |
14 | | person with a disability is guilty of a Class 2 felony, |
15 | | regardless of whether the preference for awarding the contract |
16 | | to a minority owned business, female owned business, or |
17 | | business owned by a person with a disability was established by |
18 | | statute or by local ordinance or resolution. |
19 | | (c) In addition to any other penalties authorized by law, |
20 | | the court shall order that an individual or entity convicted of |
21 | | a violation of this Section must pay to the governmental unit |
22 | | that awarded the contract a penalty equal to one and one-half |
23 | | times the amount of the contract obtained because of the false |
24 | | representation.
|
25 | | (Source: P.A. 99-143, eff. 7-27-15.) |
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1 | | (720 ILCS 5/17-10.3) |
2 | | Sec. 17-10.3. Deception relating to certification of |
3 | | disadvantaged business enterprises. |
4 | | (a) Fraudulently obtaining or retaining certification. A |
5 | | person
who, in the course of business, fraudulently obtains or |
6 | | retains
certification as a minority-owned business, |
7 | | women-owned business, service-disabled veteran-owned small |
8 | | business, or veteran-owned small business , or a business owned |
9 | | by a person with a disability commits
a Class 2 felony. |
10 | | (b) Willfully making a false statement. A person who, in |
11 | | the
course of business, willfully makes a false statement |
12 | | whether by affidavit,
report or other representation, to an |
13 | | official or employee of a State
agency or the Business |
14 | | Enterprise Council for Minorities, Women, Veterans, and |
15 | | Persons with Disabilities for the
purpose of influencing the |
16 | | certification or denial of certification of any
business entity |
17 | | as a minority-owned business, women-owned business, |
18 | | service-disabled veteran-owned small business, or |
19 | | veteran-owned small business , or a business owned by a person |
20 | | with a disability
commits a Class 2 felony. |
21 | | (c) Willfully obstructing or impeding an official or |
22 | | employee of
any agency in his or her investigation.
Any person |
23 | | who, in the course of business, willfully obstructs or impedes
|
24 | | an official or employee of any State agency or the
Business |
25 | | Enterprise Council for Minorities, Women, Veterans, and |
26 | | Persons with Disabilities
who is investigating the |
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1 | | qualifications of a business
entity which has requested |
2 | | certification as a minority-owned business, women-owned
|
3 | | business, service-disabled veteran-owned small business, or |
4 | | veteran-owned small business , or a business owned by a person |
5 | | with a disability commits a Class 2 felony. |
6 | | (d) Fraudulently obtaining public moneys reserved for
|
7 | | disadvantaged business enterprises. Any person who, in the |
8 | | course of
business, fraudulently obtains public moneys |
9 | | reserved for, or allocated or
available to, minority-owned |
10 | | businesses, women-owned businesses, service-disabled |
11 | | veteran-owned small businesses, or veteran-owned small |
12 | | businesses , or businesses owned by persons with a disability |
13 | | commits a
Class 2 felony. |
14 | | (e) Definitions. As used in this Article, "minority-owned
|
15 | | business", "women-owned business", "veteran-owned business", |
16 | | "business owned by a person with a disability", "State agency" |
17 | | with respect to minority-owned businesses , and women-owned |
18 | | businesses , veteran-owned businesses, businesses owned by |
19 | | persons with disabilities , and "certification" with respect to |
20 | | minority-owned businesses , and women-owned businesses , |
21 | | veteran-owned businesses, and businesses owned by persons with |
22 | | a disability shall
have the meanings ascribed to them in |
23 | | Section 2 of the Business Enterprise for
Minorities, Women, |
24 | | Veterans, and
Persons with Disabilities Act. As used in this |
25 | | Article, "service-disabled veteran-owned small business", |
26 | | "veteran-owned small business", "State agency" with respect to |
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1 | | service-disabled veteran-owned small businesses and |
2 | | veteran-owned small businesses, and "certification" with |
3 | | respect to service-disabled veteran-owned small businesses and |
4 | | veteran-owned small businesses have the same meanings as in |
5 | | Section 45-57 of the Illinois Procurement Code.
|
6 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
7 | | (720 ILCS 5/33E-2) (from Ch. 38, par. 33E-2)
|
8 | | Sec. 33E-2. Definitions. In this Act:
|
9 | | (a) "Public contract" means any
contract for goods, |
10 | | services or construction let to any person with or
without bid |
11 | | by any unit of State or local government.
|
12 | | (b) "Unit of State or local government" means the State, |
13 | | any unit of state
government or agency thereof, any county or |
14 | | municipal government or committee
or agency thereof, or any |
15 | | other entity which is funded by or expends tax
dollars or the |
16 | | proceeds of publicly guaranteed bonds.
|
17 | | (c) "Change order" means a change in a contract term other |
18 | | than as
specifically provided for in the contract which |
19 | | authorizes or necessitates
any increase or decrease in the cost |
20 | | of the contract or the time to completion.
|
21 | | (d) "Person" means any individual, firm, partnership,
|
22 | | corporation, joint venture or other entity, but does not |
23 | | include a unit
of State or local government.
|
24 | | (e) "Person employed by any unit of State or local |
25 | | government" means
any employee of a unit of State or local |
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1 | | government and any person defined in
subsection (d) who is |
2 | | authorized by such unit of State or local government
to act on |
3 | | its behalf in relation to any public contract.
|
4 | | (f) "Sheltered market" has the meaning ascribed to it in |
5 | | Section 8b of the Business Enterprise for Minorities, Women, |
6 | | Veterans, and Persons with Disabilities Act ; except that, with |
7 | | respect to State contracts set aside for award to |
8 | | service-disabled veteran-owned small businesses and |
9 | | veteran-owned small businesses pursuant to Section 45-57 of the |
10 | | Illinois Procurement Code, "sheltered market" means |
11 | | procurements pursuant to that Section .
|
12 | | (g) "Kickback" means any money, fee, commission, credit, |
13 | | gift, gratuity,
thing of value, or compensation of any kind |
14 | | which is provided, directly or
indirectly, to any prime |
15 | | contractor, prime contractor employee,
subcontractor, or |
16 | | subcontractor employee for the purpose of improperly
obtaining |
17 | | or rewarding favorable treatment in connection with a prime
|
18 | | contract or in connection with a subcontract relating to a |
19 | | prime contract.
|
20 | | (h) "Prime contractor" means any person who has entered |
21 | | into
a public contract.
|
22 | | (i) "Prime contractor employee" means any officer, |
23 | | partner, employee, or
agent of a prime contractor.
|
24 | | (i-5) "Stringing" means knowingly structuring a contract
|
25 | | or job order to avoid the contract or job order being subject |
26 | | to competitive
bidding requirements.
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1 | | (j) "Subcontract" means a contract or contractual action |
2 | | entered into by
a prime contractor or subcontractor for the |
3 | | purpose of obtaining goods or
services of any kind under a |
4 | | prime contract.
|
5 | | (k) "Subcontractor" (1) means any person, other than the |
6 | | prime
contractor, who offers to furnish or furnishes any goods |
7 | | or services of any
kind under a prime contract or a subcontract |
8 | | entered into in connection
with such prime contract; and (2) |
9 | | includes any person who offers to furnish
or furnishes goods or |
10 | | services to the prime contractor or a higher tier
|
11 | | subcontractor.
|
12 | | (l) "Subcontractor employee" means any officer, partner, |
13 | | employee, or
agent of a subcontractor.
|
14 | | (Source: P.A. 100-391, eff. 8-25-17.)
|
15 | | (720 ILCS 5/33E-6) (from Ch. 38, par. 33E-6)
|
16 | | Sec. 33E-6.
Interference with contract submission and |
17 | | award by public
official. |
18 | | (a) Any person who is an official of or employed by any |
19 | | unit of
State or local government who knowingly conveys, either |
20 | | directly or indirectly,
outside of the publicly available |
21 | | official invitation to bid, pre-bid
conference, solicitation |
22 | | for contracts procedure or such procedure used
in any sheltered |
23 | | market procurement adopted pursuant to law or ordinance by
that |
24 | | unit of government, to any person any information concerning |
25 | | the
specifications for such contract or the identity of any |
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1 | | particular
potential subcontractors, when inclusion of such |
2 | | information concerning the
specifications or contractors in |
3 | | the bid or offer would influence the
likelihood of acceptance |
4 | | of such bid or offer, commits a Class 4 felony.
It shall not |
5 | | constitute a violation of this subsection to convey
information |
6 | | intended to clarify plans or specifications regarding a public
|
7 | | contract where such disclosure of information is also made |
8 | | generally
available to the public.
|
9 | | (b) Any person who is an official of or employed by any |
10 | | unit of State or
local government who, either directly or |
11 | | indirectly, knowingly informs a
bidder or offeror that the bid |
12 | | or offer will be accepted or executed only
if specified |
13 | | individuals are included as subcontractors commits a Class 3
|
14 | | felony.
|
15 | | (c) It shall not constitute a violation of subsection (a) |
16 | | of this
Section where any person who is an official of or |
17 | | employed by any unit of
State or local government follows |
18 | | procedures established (i) by federal,
State or local minority , |
19 | | woman, veteran, or person with a disability or female owned |
20 | | business enterprise programs or (ii) pursuant to Section 45-57 |
21 | | of the Illinois Procurement Code .
|
22 | | (d) Any bidder or offeror who is the recipient of |
23 | | communications from
the unit of government which he reasonably |
24 | | believes to be proscribed by
subsections (a) or (b), and fails |
25 | | to inform either the Attorney General or
the State's Attorney |
26 | | for the county in which the unit of government is
located, |
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1 | | commits a Class A misdemeanor.
|
2 | | (e) Any public official who knowingly awards a contract |
3 | | based on
criteria which were not publicly disseminated via the |
4 | | invitation to bid,
when such invitation to bid is required by |
5 | | law or ordinance, the pre-bid
conference, or any solicitation |
6 | | for contracts procedure or such
procedure used in any sheltered |
7 | | market procurement procedure adopted
pursuant to statute or |
8 | | ordinance, commits a Class 3 felony.
|
9 | | (f) It shall not constitute a violation of subsection (a) |
10 | | for any
person who is an official of or employed by any unit of |
11 | | State or local
government to provide to any person a copy of |
12 | | the transcript or other
summary of any pre-bid conference where |
13 | | such transcript or summary is also
made generally available to |
14 | | the public.
|
15 | | (Source: P.A. 97-260, eff. 8-5-11.)
|
16 | | Section 220. The Business Corporation Act of 1983 is |
17 | | amended by changing Section 14.05 as follows:
|
18 | | (805 ILCS 5/14.05) (from Ch. 32, par. 14.05)
|
19 | | Sec. 14.05. Annual report of domestic or foreign |
20 | | corporation. Each domestic corporation organized under any |
21 | | general law or
special act of this State authorizing the |
22 | | corporation to issue shares,
other than homestead |
23 | | associations, building and loan associations, banks
and |
24 | | insurance companies (which includes a syndicate or limited |
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1 | | syndicate
regulated under Article V 1/2 of the Illinois |
2 | | Insurance Code or member of a
group of underwriters regulated |
3 | | under Article V of that Code), and each
foreign corporation |
4 | | (except members of a group of underwriters regulated
under |
5 | | Article V of the Illinois Insurance Code) authorized to |
6 | | transact
business in this State, shall file, within the time |
7 | | prescribed by this
Act, an annual report setting forth:
|
8 | | (a) The name of the corporation.
|
9 | | (b) The address, including street and number, or rural |
10 | | route number, of
its registered office in this State, and |
11 | | the name of its registered agent
at that address.
|
12 | | (c) The address, including street and number, or rural |
13 | | route number, of
its principal office.
|
14 | | (d) The names and respective addresses, including |
15 | | street and
number, or rural route number, of its directors |
16 | | and officers.
|
17 | | (e) A statement of the aggregate number of shares which |
18 | | the corporation
has authority to issue, itemized by classes |
19 | | and series, if any, within a class.
|
20 | | (f) A statement of the aggregate number of issued |
21 | | shares, itemized by
classes, and series, if any, within a |
22 | | class.
|
23 | | (g) A statement, expressed in dollars, of the amount of |
24 | | paid-in capital
of the corporation as defined in this Act.
|
25 | | (h) Either a statement that (1) all the property of the |
26 | | corporation is
located in this State and all of its |
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1 | | business is transacted at or from places
of business in |
2 | | this State, or the corporation elects to pay the annual
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3 | | franchise tax on the basis of its entire paid-in capital, |
4 | | or (2) a
statement, expressed in dollars, of the value of |
5 | | all the property owned by
the corporation, wherever |
6 | | located, and the value of the property located
within this |
7 | | State, and a statement, expressed in dollars, of the gross
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8 | | amount of business transacted by the corporation and the |
9 | | gross amount thereof
transacted by the corporation at or |
10 | | from places of business in this State
as of the close of |
11 | | its fiscal year on or immediately preceding the last day of
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12 | | the third month prior to the anniversary month or in the |
13 | | case of a
corporation which has established an extended |
14 | | filing month, as of the close
of its fiscal year on or |
15 | | immediately preceding the last day of the third month
prior |
16 | | to the extended filing month; however, in the case of a |
17 | | domestic
corporation that has not completed its first |
18 | | fiscal year, the statement with
respect to property owned |
19 | | shall be as of the last day of the third month
preceding |
20 | | the anniversary month and the statement with respect to |
21 | | business
transacted shall be furnished for the period |
22 | | between the date
of incorporation and the last day of the |
23 | | third month preceding the
anniversary month. In the case of |
24 | | a foreign corporation that has not been
authorized to |
25 | | transact business in this State for a period of 12 months |
26 | | and
has not commenced transacting business prior to |
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1 | | obtaining
authority, the statement with respect to |
2 | | property owned shall be as of the
last day of the third |
3 | | month preceding the anniversary month and the
statement |
4 | | with respect to business transacted shall be furnished for |
5 | | the
period between the date of its authorization to |
6 | | transact business in this
State and the last day of the |
7 | | third month preceding the anniversary month.
If the data |
8 | | referenced in item (2) of this subsection is not completed,
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9 | | the franchise tax provided for in this Act shall be |
10 | | computed on the basis of
the entire paid-in capital.
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11 | | (i) A statement, including the basis therefor, of |
12 | | status as a
"minority-owned business" or as a "women-owned |
13 | | business" as those terms
are defined in the Business |
14 | | Enterprise for
Minorities, Women, Veterans, and Persons |
15 | | with Disabilities Act.
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16 | | (j) Additional information as may be necessary or |
17 | | appropriate in
order to enable the Secretary of State to |
18 | | administer this Act and to verify
the proper amount of fees |
19 | | and franchise taxes payable by the corporation.
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20 | | The annual report shall be made on forms prescribed and |
21 | | furnished by
the Secretary of State, and the information |
22 | | therein required by paragraphs
(a) through (d), both inclusive, |
23 | | of this Section, shall be given as of the date
of the execution |
24 | | of the annual report and the information therein required
by |
25 | | paragraphs (e), (f), and (g) of this Section shall be given as |
26 | | of the
last day of the third month preceding the anniversary |
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1 | | month, except that
the information required by paragraphs (e), |
2 | | (f), and (g) shall, in the case
of a corporation which has |
3 | | established an extended filing month, be given
in its final |
4 | | transition annual report and each subsequent annual report as
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5 | | of the close of its fiscal year on or immediately preceding the |
6 | | last day of the third month prior to its extended filing
month. |
7 | | It shall be executed by the corporation by its president, a
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8 | | vice-president, secretary, assistant secretary, treasurer or |
9 | | other officer
duly authorized by the board of directors of the |
10 | | corporation to execute
those reports, and verified by him or |
11 | | her, or, if the corporation is in the
hands of a receiver or |
12 | | trustee, it shall be executed on behalf of the
corporation and |
13 | | verified by the receiver or trustee.
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14 | | (Source: P.A. 100-391, eff. 8-25-17; 100-486, eff. 1-1-18; |
15 | | 100-863, eff. 8-14-18.)
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16 | | Section 999. Effective date. This Act takes effect upon |
17 | | becoming law.
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| 1 | |
INDEX
| 2 | |
Statutes amended in order of appearance
| | 3 | | 15 ILCS 205/9 | | | 4 | | 15 ILCS 305/19 | | | 5 | | 15 ILCS 405/23.9 | | | 6 | | 15 ILCS 405/23.10 | | | 7 | | 15 ILCS 505/30 | | | 8 | | 20 ILCS 605/605-1020 | | | 9 | | 20 ILCS 655/4 | from Ch. 67 1/2, par. 604 | | 10 | | 20 ILCS 1605/9.1 | | | 11 | | 20 ILCS 2705/2705-585 | | | 12 | | 20 ILCS 3105/16 | from Ch. 127, par. 783b | | 13 | | 20 ILCS 3501/835-10 | | | 14 | | 20 ILCS 3860/20 | | | 15 | | 20 ILCS 3948/20 | | | 16 | | 30 ILCS 5/2-16 | | | 17 | | 30 ILCS 105/8.32 | from Ch. 127, par. 144.32 | | 18 | | 30 ILCS 105/45 | | | 19 | | 30 ILCS 330/8 | from Ch. 127, par. 658 | | 20 | | 30 ILCS 330/15.5 | | | 21 | | 30 ILCS 425/5 | from Ch. 127, par. 2805 | | 22 | | 30 ILCS 425/8.3 | | | 23 | | 30 ILCS 500/15-25 | | | 24 | | 30 ILCS 500/30-30 | | | 25 | | 30 ILCS 500/45-45 | | |
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| 1 | | 30 ILCS 500/45-58 new | | | 2 | | 30 ILCS 500/45-65 | | | 3 | | 30 ILCS 500/45-57 rep. | | | 4 | | 30 ILCS 537/5 | | | 5 | | 30 ILCS 537/15 | | | 6 | | 30 ILCS 537/30 | | | 7 | | 30 ILCS 537/46 | | | 8 | | 30 ILCS 571/25 | | | 9 | | 30 ILCS 571/37 | | | 10 | | 30 ILCS 575/0.01 | from Ch. 127, par. 132.600 | | 11 | | 30 ILCS 575/1 | from Ch. 127, par. 132.601 | | 12 | | 30 ILCS 575/2 | | | 13 | | 30 ILCS 575/4 | from Ch. 127, par. 132.604 | | 14 | | 30 ILCS 575/4f | | | 15 | | 30 ILCS 575/5 | from Ch. 127, par. 132.605 | | 16 | | 30 ILCS 575/6 | from Ch. 127, par. 132.606 | | 17 | | 30 ILCS 575/6a | from Ch. 127, par. 132.606a | | 18 | | 30 ILCS 575/7 | from Ch. 127, par. 132.607 | | 19 | | 30 ILCS 575/8 | from Ch. 127, par. 132.608 | | 20 | | 30 ILCS 575/8a | from Ch. 127, par. 132.608a | | 21 | | 30 ILCS 575/8b | from Ch. 127, par. 132.608b | | 22 | | 30 ILCS 575/8f | | | 23 | | 30 ILCS 575/8g | | | 24 | | 30 ILCS 575/8h | | | 25 | | 35 ILCS 5/220 | | | 26 | | 35 ILCS 16/30 | | |
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| 1 | | 35 ILCS 16/45 | | | 2 | | 35 ILCS 17/10-30 | | | 3 | | 35 ILCS 17/10-50 | | | 4 | | 40 ILCS 5/1-109.1 | from Ch. 108 1/2, par. 1-109.1 | | 5 | | 40 ILCS 5/1-113.21 | | | 6 | | 40 ILCS 5/1-113.22 | | | 7 | | 55 ILCS 5/5-1134 | | | 8 | | 65 ILCS 115/10-5.3 | | | 9 | | 70 ILCS 210/10.2 | | | 10 | | 70 ILCS 210/23.1 | from Ch. 85, par. 1243.1 | | 11 | | 70 ILCS 3205/9 | from Ch. 85, par. 6009 | | 12 | | 70 ILCS 3210/40 | | | 13 | | 70 ILCS 3605/12c | | | 14 | | 105 ILCS 5/10-20.44 | | | 15 | | 110 ILCS 62/3 | | | 16 | | 110 ILCS 62/5-10 | | | 17 | | 110 ILCS 675/20-115 | | | 18 | | 220 ILCS 5/9-220 | from Ch. 111 2/3, par. 9-220 | | 19 | | 230 ILCS 5/12.1 | from Ch. 8, par. 37-12.1 | | 20 | | 230 ILCS 5/12.2 | | | 21 | | 230 ILCS 10/4 | from Ch. 120, par. 2404 | | 22 | | 230 ILCS 10/7 | from Ch. 120, par. 2407 | | 23 | | 230 ILCS 10/7.6 | | | 24 | | 230 ILCS 10/11.2 | | | 25 | | 330 ILCS 21/5 | | | 26 | | 330 ILCS 21/15 | | |
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| 1 | | 330 ILCS 21/30 | | | 2 | | 330 ILCS 21/46 | | | 3 | | 415 ILCS 5/14.7 | | | 4 | | 605 ILCS 130/20 | | | 5 | | 620 ILCS 75/2-30 | | | 6 | | 630 ILCS 5/25 | | | 7 | | 720 ILCS 5/17-10.2 | was 720 ILCS 5/17-29 | | 8 | | 720 ILCS 5/17-10.3 | | | 9 | | 720 ILCS 5/33E-2 | from Ch. 38, par. 33E-2 | | 10 | | 720 ILCS 5/33E-6 | from Ch. 38, par. 33E-6 | | 11 | | 805 ILCS 5/14.05 | from Ch. 32, par. 14.05 |
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