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LRB094 05629 DRJ 36444 b |
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| AN ACT concerning employment.
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| Be it enacted by the People of the State of Illinois,
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| represented in the General Assembly:
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| Section 1. Short title. This Act may be cited as the Health |
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| Care Workplace Violence Prevention Act. |
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| Section 5. Findings. The General Assembly finds as follows: |
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| (1) Violence is an escalating problem in many health |
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| care workplaces in this State and across the nation. |
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| (2) The actual incidence of workplace violence in |
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| health care workplaces, in particular, is likely to be |
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| greater than documented because of failure to report such |
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| incidents or failure to maintain records of incidents that |
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| are reported. |
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| (3) Patients, visitors, and health care employees |
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| should be assured a reasonably safe and secure environment |
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| in a health care workplace. |
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| (4) Many health care workplaces have undertaken |
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| efforts to ensure that patients, visitors, and employees |
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| are safe from violence, but additional personnel training |
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| and appropriate safeguards may be needed to prevent |
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| workplace violence and minimize the risk and dangers |
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| affecting people in connection with the delivery of health |
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| care.
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| Section 10. Definitions. In this Act: |
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| "Department" means (i) the Department of Human Services, in |
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| the case of a health care workplace that is operated or |
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| regulated by the Department of Human Services, or (ii) the |
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| Department of Public Health, in the case of a health care |
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| workplace that is operated or regulated by the Department of |
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| Public Health. |
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| "Director" means the Secretary of Human Services or the |
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| Director of Public Health, as appropriate. |
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| "Employee" means any individual who is employed on a |
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| full-time, part-time, or contractual basis by a health care |
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| workplace. |
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| "Health care workplace" means a mental health facility or |
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| developmental disability facility as defined in the Mental |
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| Health and Developmental Disabilities Code, other than a |
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| hospital or unit thereof licensed under the Hospital Licensing |
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| Act or operated under the University of Illinois Hospital Act. |
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| "Health care workplace" does not include, and shall not be |
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| construed to include, any office of a physician licensed to |
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| practice medicine in all its branches, an advanced practice |
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| nurse, or a physician assistant, regardless of the form of such |
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| office. |
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| "Imminent danger" means a preliminary determination of |
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| immediate, threatened, or impending risk of physical injury as |
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| determined by the employee. |
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| "Responsible agency" means the State agency that (i) |
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| licenses, certifies, registers, or otherwise regulates or |
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| exercises jurisdiction over a health care workplace or a health |
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| care workplace's activities or (ii) contracts with a health |
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| care workplace for the delivery of health care services.
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| "Violence" or "violent act" means any act by a patient or |
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| resident that causes or threatens to cause an injury to another |
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| person.
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| Section 15. Workplace violence plan. |
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| (a) By July 1, 2007 (in the case of a health care workplace |
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| participating in the pilot project under Section 35) or July 1, |
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| 2008 (in the case of health care workplaces not participating |
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| in the pilot project), every health care workplace must adopt |
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| and implement a plan to reasonably prevent and protect |
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| employees from violence at that setting. The plan must address |
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| security considerations related to the following items, as |
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| appropriate to the particular workplace, based on the hazards |
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| identified in the assessment required under subsection (b):
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| (1) The physical attributes of the health care |
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| workplace. |
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| (2) Staffing, including security staffing. |
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| (3) Personnel policies. |
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| (4) First aid and emergency procedures. |
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| (5) The reporting of violent acts. |
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| (6) Employee education and training.
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| (b) Before adopting the plan required under subsection (a), |
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| a health care workplace must conduct a security and safety |
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| assessment to identify existing or potential hazards for |
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| violence and determine the appropriate preventive action to be |
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| taken. The assessment must include, but need not be limited to, |
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| a measure of the frequency of, and an identification of the |
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| causes for and consequences of, violent acts at the workplace |
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| during at least the preceding 5 years or for the years for |
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| which records are available.
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| (c) In adopting the plan required by subsection (a), a |
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| health care workplace may consider any guidelines on violence |
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| in the workplace or in health care workplaces issued by the |
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| Department of Public Health, the Department of Human Services, |
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| the federal Occupational Safety and Health Administration, |
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| Medicare, and health care workplace accrediting organizations.
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| (d) It is the intent of the General Assembly that any |
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| violence protection and prevention plan developed under this |
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| Act be appropriate to the setting in which it is to be |
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| implemented. To that end, the General Assembly recognizes that |
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| not all health care services are provided in a facility or |
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| other formal setting. Many health care services are provided in |
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| other, less formal settings. The General Assembly finds that it |
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| may be inappropriate and impractical for all health care |
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| workplaces to address workplace violence in the same manner. |
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| When enforcing this Act, the Department shall allow a health |
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| care workplace sufficient flexibility in recognition of the |
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| unique circumstances in which the health care workplace may |
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| deliver services. |
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| (e) Promptly after adopting a plan under subsection (a), a |
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| health care workplace must file a copy of its plan with the |
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| Department. The Department shall then forward a copy of the |
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| plan to the appropriate responsible agency. |
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| (f) A health care workplace must review its plan at least |
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| once every 3 years and must report each such review to the |
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| Department, together with any changes to the plan adopted by |
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| the health care workplace. If a health care workplace does not |
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| adopt any changes to its plan in response to such a review, it |
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| must report that fact to the Department. A health care |
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| workplace must promptly report to the Department all changes to |
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| the health care workplace's plan, regardless of whether those |
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| changes were adopted in response to a periodic review required |
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| under this subsection. The Department shall then forward a copy |
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| of the review report and changes, if any, to the appropriate |
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| responsible agency. |
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| (g) A health care workplace that is required to submit |
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| written documentation of active safety and violence prevention |
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| plans to comply with national accreditation standards shall be |
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| deemed to be in compliance with subsections (a), (b), (c), and |
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| (f) of this Section when the health care workplace forwards a |
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| copy of that documentation to the Department. |
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| Section 20. Violence prevention training. By July 1, 2006 |
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| (in the case of a health care workplace participating in the |
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| pilot project under Section 35) or July 1, 2009 (in the case of |
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| health care workplaces not participating in the pilot project), |
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| and on a regular basis thereafter, as set forth in the plan |
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| adopted under Section 15, a health care workplace must provide |
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| violence prevention training to all its affected employees as |
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| determined by the plan. For temporary employees, training must |
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| take into account unique circumstances. A health care workplace |
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| also shall provide periodic follow-up training for its |
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| employees as appropriate. The training may vary by the plan and |
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| may include, but need not be limited to, classes, videotapes, |
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| brochures, verbal training, or other verbal or written training |
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| that is determined to be appropriate under the plan. The |
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| training must address the following topics, as appropriate to |
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| the particular health care workplace and to the duties and |
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| responsibilities of the particular employee being trained, |
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| based on the hazards identified in the assessment required |
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| under Section 15:
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| (1) General safety procedures. |
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| (2) Personal safety procedures. |
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| (3) The violence escalation cycle. |
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| (4) Violence-predicting factors. |
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| (5) Obtaining patient history from a patient with a |
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| history of violent behavior. |
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| (6) Verbal and physical techniques to de-escalate and |
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| minimize violent behavior. |
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| (7) Strategies to avoid physical harm. |
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| (8) Restraining techniques, as permitted and governed |
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| by law. |
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| (9) Appropriate use of medications to reduce violent |
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| behavior. |
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| (10) Documenting and reporting incidents of violence. |
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| (11) The process whereby employees affected by a |
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| violent act may debrief or be calmed down and the tension |
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| of the situation may be reduced. |
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| (12) Any resources available to employees for coping |
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| with violence. |
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| (13) The workplace violence prevention plan adopted |
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| under Section 15.
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| (14) The protection of confidentiality in accordance |
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| with the Health Insurance Portability and Accountability |
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| Act of 1996 and other related provisions of law. |
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| Section 25. Record of violent acts. Beginning no later than |
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| July 1, 2007 (in the case of a health care workplace |
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| participating in the pilot project under Section 35) or July 1, |
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| 2008 (in the case of health care workplaces not participating |
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| in the pilot project), every health care workplace must keep a |
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| record of any violent act against an employee, a patient, or a |
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| visitor occurring at the workplace. At a minimum, the record |
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| must include the following:
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| (1) The health care workplace's name and address. |
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| (2) The date, time, and specific location at the health |
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| care workplace where the violent act occurred. |
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| (3) The name, job title, department or ward assignment, |
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| and staff identification or other identifier of the victim, |
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| if the victim was an employee. |
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| (4) A description of the person against whom the |
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| violent act was committed as one of the following:
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| (A) A patient. |
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| (B) A visitor. |
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| (C) An employee. |
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| (D) Other. |
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| (5) A description of the person committing the violent |
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| act as one of the following:
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| (A) A patient. |
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| (B) A visitor. |
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| (C) An employee. |
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| (D) Other. |
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| (6) A description of the type of violent act as one of |
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| the following:
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| (A) A verbal or physical threat that presents |
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| imminent danger. |
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| (B) A physical assault with major soreness, cuts, |
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| or large bruises. |
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| (C) A physical assault with severe lacerations, a |
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| bone fracture, or a head injury. |
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| (D) A physical assault with loss of limb or death. |
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| (E) A violent act requiring employee response, in |
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| the course of which an employee is injured. |
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| (7) An identification of any body part injured. |
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| (8) A description of any weapon used. |
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| (9) The number of employees in the vicinity of the |
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| violent act when it occurred. |
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| (10) A description of actions taken by employees and |
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| the health care workplace in response to the violent act. |
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| Section 30. Assistance in complying with Act. A health care |
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| workplace that needs assistance in complying with this Act may |
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| contact the federal Department of Labor for assistance. The |
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| Illinois departments of Human Services and Public Health shall |
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| collaborate with representatives of health care workplaces to |
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| develop technical assistance and training seminars on |
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| developing and implementing a workplace violence plan as |
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| required under Section 15. Those departments shall coordinate |
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| their assistance to health care workplaces. |
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| Section 35. Pilot project; task force. |
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| (a) The Department of Human Services and the Department of |
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| Public Health shall initially implement this Act as a 2-year |
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| pilot project in which only the following health care |
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| workplaces shall participate: |
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| (1) The Chester Mental Health Center. |
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| (2) The Alton Mental Health Center. |
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| (3) The Douglas Singer Mental Health Center. |
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| (4) The Andrew McFarland Mental Health Center. |
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| (5) The Jacksonville Developmental Center. |
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| Each health care workplace participating in the pilot |
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| project shall comply with this Act as provided in this Act. |
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| (b) The Governor shall convene a 6-member task force |
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| consisting of the following: one member appointed by the |
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| President of the Senate; one member appointed by the Minority |
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| Leader of the Senate; one member appointed by the Speaker of |
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| House of Representatives; one member appointed by the Minority |
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| Leader of the House of Representatives; one representative from |
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| a statewide association representing licensed registered |
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| professional nurses; and one representative from the |
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| Department of Human Services. The task force shall submit a |
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| report to the Illinois General Assembly by January 1, 2008 that |
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| shall (i) evaluate the effectiveness of the health care |
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| workplace violence prevention pilot project in the facilities |
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| participating in the pilot project and (ii) make |
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| recommendations concerning the implementation of workplace |
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| violence prevention programs in all health care workplaces. |
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| Section 40. Rules. The Department shall adopt rules to |
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| implement this Act.
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| Section 900. The Mental Health and Developmental |
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| Disabilities Administrative Act is amended by adding Section 72 |
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| as follows: |
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| (20 ILCS 1705/72 new) |
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| Sec. 72. Violent acts against employees of facilities under |
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| the Department's jurisdiction. Within 6 months after the |
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| effective date of this amendatory Act of the 94th General |
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| Assembly, the Department shall adopt rules prescribing the |
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| procedures for reporting, investigating, and responding to |
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| violent acts against employees of facilities under the |
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| Department's jurisdiction. As used in this Section, "violent |
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| acts" has the meaning ascribed to that term in the Health Care |
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| Workplace Violence Prevention Act. |
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| Section 905. The Illinois State Auditing Act is amended by |
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| changing Section 3-2 as follows: |
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| (30 ILCS 5/3-2) (from Ch. 15, par. 303-2)
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| Sec. 3-2. Mandatory and directed post audits. The Auditor |
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| General
shall conduct a financial audit, a compliance audit, or |
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| other attestation
engagement, as is appropriate to the agency's |
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| operations under generally
accepted
government auditing |
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| standards, of each State agency except the Auditor
General or |
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| his office at least once
during every biennium, except as is |
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| otherwise provided in regulations
adopted under Section 3-8. |
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| The general direction and supervision of the
financial audit |
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| program may be delegated only to an individual who is a
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| Certified Public Accountant and a payroll employee of the |
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| Office of the
Auditor General. In the conduct of financial |
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| audits, compliance audits, and
other attestation engagements, |
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| the
Auditor General may inquire into and report upon matters |
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| properly within
the scope of a performance audit, provided that
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| such inquiry
shall be limited to matters arising during the |
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| ordinary course of the
financial audit.
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| In any year the Auditor General shall conduct any special |
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| audits as may
be necessary to form an opinion on the financial |
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| statements of
this State, as
prepared by the Comptroller, and |
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| to certify that this presentation is in
accordance with |
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| generally accepted accounting principles for government.
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| Simultaneously with the biennial compliance audit of the
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| Department of
Human Services, the
Auditor General shall
conduct |
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| a program audit of each facility under the jurisdiction of that
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| Department that is described in Section 4 of the
Mental Health
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| and Developmental Disabilities Administrative Act. The program |
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| audit
shall include an examination of the records of each |
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| facility concerning
(i) reports of suspected abuse or neglect |
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| of any patient or resident of the
facility and (ii) reports of |
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| violent acts against facility staff by patients or residents . |
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| The Auditor General shall report the findings of the program
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| audit to the Governor and the General Assembly, including |
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| findings
concerning patterns or trends relating to (i) abuse or |
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| neglect of facility
patients and residents or (ii) violent acts |
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| against facility staff by patients or residents . However, for |
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| any year for which the Inspector
General submits a report to |
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| the Governor and General Assembly as required under
Section 6.7 |
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| of the Abused and Neglected Long Term Care Facility Residents
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| Reporting Act, the Auditor General need not conduct the program |
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| audit otherwise
required under this paragraph.
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| The Auditor General shall conduct a performance
audit of a
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| State agency when so directed by the Commission, or by either |
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| house of
the General Assembly, in a resolution identifying the |
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| subject, parties
and scope. Such a directing resolution may:
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| (a) require the Auditor General to examine and report |
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| upon specific
management efficiencies or cost |
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| effectiveness proposals specified therein;
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| (b) in the case of a program audit, set forth specific |
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| program
objectives, responsibilities or duties or may |
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| specify the program
performance standards or program |
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| evaluation standards to be the basis of
the program audit;
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| (c) be directed at particular procedures or functions |
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| established by
statute, by administrative regulation or by |
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| precedent; and
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| (d) require the Auditor General to examine and report |
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| upon specific
proposals relating to state programs |
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| specified in the resolution.
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| The Commission may by resolution clarify, further direct, |
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| or limit
the scope of any audit directed by a resolution of the |
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| House or Senate,
provided that any such action by the |
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| Commission must be consistent with
the terms of the directing |
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| resolution.
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| (Source: P.A. 93-630, eff. 12-23-03.)
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| Section 910. The Community Living Facilities Licensing Act |
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| is amended by changing Section 11 as follows:
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| (210 ILCS 35/11) (from Ch. 111 1/2, par. 4191)
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| Sec. 11. Grounds for denial or revocation of a license. The |
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| Department
may deny or begin proceedings to revoke a license if |
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| the applicant or licensee
has been convicted of a felony or 2 |
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| or more misdemeanors involving moral
turpitude, as shown by a |
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| certified copy of the court of conviction; if the
Department |
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| determines after investigation that such person has not been
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| sufficiently rehabilitated to warrant the public trust; or upon |
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| other satisfactory
evidence that the moral
character of the |
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| applicant or licensee is not reputable. In addition, the
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| Department may deny or begin proceedings to revoke a license at |
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| any time
if the licensee:
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| (1) Submits false information either on Department |
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| licensure forms or
during an inspection;
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| (2) Refuses to allow an inspection to occur;
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| (3) Violates this Act or rules and regulations promulgated |
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| under this Act;
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| (4) Violates the rights of its residents;
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| (5) Fails to submit or implement a plan of correction |
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| within the specified
time period ; or
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| (6) Fails to submit a workplace violence prevention plan in |
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| compliance with the Health Care Workplace Violence Prevention |
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| Act .
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| (Source: P.A. 82-567.)
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| Section 915. The Community-Integrated Living Arrangements |
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| Licensure and
Certification Act is amended by changing Section |
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| 6 as follows:
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| (210 ILCS 135/6) (from Ch. 91 1/2, par. 1706)
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| Sec. 6. (a) The Department shall deny an application for a |
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| license,
or revoke or refuse to renew the license of a |
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| community mental health or
developmental services agency, or |
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| refuse to issue a license to the holder
of a temporary permit, |
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| if the Department determines that the applicant,
agency or |
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| permit holder has not complied with a provision of this Act, |
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| the
Mental Health and Developmental Disabilities Code, or |
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| applicable Department
rules and regulations. Specific grounds |
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| for denial or revocation of a
license, or refusal to renew a |
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| license or to
issue a license to the holder of a temporary |
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| permit, shall include but not be limited to:
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| (1) Submission of false information either on Department |
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| licensure forms
or during an inspection;
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| (2) Refusal to allow an inspection to occur;
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| (3) Violation of this Act or rules and regulations |
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| promulgated under this Act;
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| (4) Violation of the rights of a recipient; or
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| (5) Failure to submit or implement a plan of correction |
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| within the
specified time period ; or |
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| (6) Failure to submit a workplace violence prevention plan |
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| in compliance with the Health Care Workplace Violence |
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| Prevention Act .
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| (b) If the Department determines that the operation of a |
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| community mental health
or developmental services agency or one |
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| or more of the programs or
placements certified by the agency |
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| under this Act jeopardizes the health,
safety or welfare of the |
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| recipients served by the agency, the Department
may immediately |
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| revoke the agency's license and may direct the agency to
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| withdraw recipients from any such program or placement.
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| (Source: P.A. 85-1250.)
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| Section 999. Effective date. This Act takes effect upon |
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| becoming law. |