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Public Act 098-0049 |
HB0948 Enrolled | LRB098 06332 KTG 36373 b |
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AN ACT concerning adult protective services.
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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 |
Statewide Centralized Abuse, Neglect, Financial Exploitation, |
and Self-Neglect Hotline Act. |
Section 5. Legislative findings. The General Assembly |
finds all of the following: |
(a) Illinois' current investigatory system is |
decentralized, being comprised of different State agencies |
responsible for investigating abuse, neglect, financial |
exploitation, or self-neglect of different populations |
depending upon the age of the individual and the setting in |
which he or she resides. |
(b) Each of the investigatory agencies has its own hotline |
to receive reports of abuse, neglect, financial exploitation, |
or self-neglect of the individuals and settings over which they |
have investigative authority. |
(c) To ensure the safety and well-being of the individuals |
the investigatory system was designed to protect, it is a goal |
to develop a statewide centralized hotline to receive reports |
of abuse, neglect, financial exploitation, or self-neglect of |
adults with disabilities and older adults. |
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Section 10. Exploratory committee for the Statewide |
Centralized Hotline. The Department on Aging shall, upon the |
effective date of this Act, act as the lead agency in convening |
an exploratory committee with the Department of Human Services |
and the Department of Public Health to determine how a |
centralized hotline will function and what types of funding, |
staffing, and training are required to support its operation. |
The Committee shall be composed of stakeholder representatives |
of all programs under consideration for inclusion in the |
Statewide Centralized Hotline, as well as representatives from |
each of the named agencies. |
Section 15. Committee responsibilities. The Committee |
shall carry out the following responsibilities: |
(1) analyze the laws and regulations that establish the |
respective agency hotlines; |
(2) evaluate the respective agency phone systems to |
determine necessary technology changes for a centralized |
hotline; |
(3) gather information on the volume of calls received by |
each agency; |
(4) determine the exact process by which a call is screened |
to ascertain where it should be directed; and |
(5) establish the manner in which the confidentiality of |
all complainant identities will be protected for purposes of |
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any dissemination of records or other information outside |
agency personnel. |
Section 20. Committee report. The Committee shall issue a |
report with its findings and recommendations together with a |
budget proposal within 6 months after the effective date of |
this Act. |
Section 25. The Open Meetings Act is amended by changing |
Section 2 as follows:
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(5 ILCS 120/2) (from Ch. 102, par. 42)
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Sec. 2. Open meetings.
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(a) Openness required. All meetings of public
bodies shall |
be open to the public unless excepted in subsection (c)
and |
closed in accordance with Section 2a.
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(b) Construction of exceptions. The exceptions contained |
in subsection
(c) are in derogation of the requirement that |
public bodies
meet in the open, and therefore, the exceptions |
are to be strictly
construed, extending only to subjects |
clearly within their scope.
The exceptions authorize but do not |
require the holding of
a closed meeting to discuss a subject |
included within an enumerated exception.
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(c) Exceptions. A public body may hold closed meetings to |
consider the
following subjects:
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(1) The appointment, employment, compensation, |
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discipline, performance,
or dismissal of specific |
employees of the public body or legal counsel for
the |
public body, including hearing
testimony on a complaint |
lodged against an employee of the public body or
against |
legal counsel for the public body to determine its |
validity.
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(2) Collective negotiating matters between the public |
body and its
employees or their representatives, or |
deliberations concerning salary
schedules for one or more |
classes of employees.
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(3) The selection of a person to fill a public office,
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as defined in this Act, including a vacancy in a public |
office, when the public
body is given power to appoint |
under law or ordinance, or the discipline,
performance or |
removal of the occupant of a public office, when the public |
body
is given power to remove the occupant under law or |
ordinance.
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(4) Evidence or testimony presented in open hearing, or |
in closed
hearing where specifically authorized by law, to
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a quasi-adjudicative body, as defined in this Act, provided |
that the body
prepares and makes available for public |
inspection a written decision
setting forth its |
determinative reasoning.
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(5) The purchase or lease of real property for the use |
of
the public body, including meetings held for the purpose |
of discussing
whether a particular parcel should be |
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acquired.
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(6) The setting of a price for sale or lease of |
property owned
by the public body.
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(7) The sale or purchase of securities, investments, or |
investment
contracts. This exception shall not apply to the |
investment of assets or income of funds deposited into the |
Illinois Prepaid Tuition Trust Fund.
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(8) Security procedures and the use of personnel and
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equipment to respond to an actual, a threatened, or a |
reasonably
potential danger to the safety of employees, |
students, staff, the public, or
public
property.
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(9) Student disciplinary cases.
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(10) The placement of individual students in special |
education
programs and other matters relating to |
individual students.
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(11) Litigation, when an action against, affecting or |
on behalf of the
particular public body has been filed and |
is pending before a court or
administrative tribunal, or |
when the public body finds that an action is
probable or |
imminent, in which case the basis for the finding shall be
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recorded and entered into the minutes of the closed |
meeting.
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(12) The establishment of reserves or settlement of |
claims as provided
in the Local Governmental and |
Governmental Employees Tort Immunity Act, if
otherwise the |
disposition of a claim or potential claim might be
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prejudiced, or the review or discussion of claims, loss or |
risk management
information, records, data, advice or |
communications from or with respect
to any insurer of the |
public body or any intergovernmental risk management
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association or self insurance pool of which the public body |
is a member.
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(13) Conciliation of complaints of discrimination in |
the sale or rental
of housing, when closed meetings are |
authorized by the law or ordinance
prescribing fair housing |
practices and creating a commission or
administrative |
agency for their enforcement.
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(14) Informant sources, the hiring or assignment of |
undercover personnel
or equipment, or ongoing, prior or |
future criminal investigations, when
discussed by a public |
body with criminal investigatory responsibilities.
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(15) Professional ethics or performance when |
considered by an advisory
body appointed to advise a |
licensing or regulatory agency on matters
germane to the |
advisory body's field of competence.
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(16) Self evaluation, practices and procedures or |
professional ethics,
when meeting with a representative of |
a statewide association of which the
public body is a |
member.
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(17) The recruitment, credentialing, discipline or |
formal peer review
of physicians or other
health care |
professionals for a hospital, or
other institution |
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providing medical care, that is operated by the public |
body.
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(18) Deliberations for decisions of the Prisoner |
Review Board.
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(19) Review or discussion of applications received |
under the
Experimental Organ Transplantation Procedures |
Act.
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(20) The classification and discussion of matters |
classified as
confidential or continued confidential by |
the State Government Suggestion Award
Board.
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(21) Discussion of minutes of meetings lawfully closed |
under this Act,
whether for purposes of approval by the |
body of the minutes or semi-annual
review of the minutes as |
mandated by Section 2.06.
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(22) Deliberations for decisions of the State
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Emergency Medical Services Disciplinary
Review Board.
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(23) The operation by a municipality of a municipal |
utility or the
operation of a
municipal power agency or |
municipal natural gas agency when the
discussion involves |
(i) contracts relating to the
purchase, sale, or delivery |
of electricity or natural gas or (ii) the results
or |
conclusions of load forecast studies.
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(24) Meetings of a residential health care facility |
resident sexual
assault and death review
team or
the |
Executive
Council under the Abuse Prevention Review
Team |
Act.
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(25) Meetings of an independent team of experts under |
Brian's Law. |
(26) Meetings of a mortality review team appointed |
under the Department of Juvenile Justice Mortality Review |
Team Act. |
(27) (Blank). Confidential information, when discussed |
by one or more members of an elder abuse fatality review |
team, designated under Section 15 of the Elder Abuse and |
Neglect Act, while participating in a review conducted by |
that team of the death of an elderly person in which abuse |
or neglect is suspected, alleged, or substantiated; |
provided that before the review team holds a closed |
meeting, or closes an open meeting, to discuss the |
confidential information, each participating review team |
member seeking to disclose the confidential information in |
the closed meeting or closed portion of the meeting must |
state on the record during an open meeting or the open |
portion of a meeting the nature of the information to be |
disclosed and the legal basis for otherwise holding that |
information confidential. |
(28) Correspondence and records (i) that may not be |
disclosed under Section 11-9 of the Public Aid Code or (ii) |
that pertain to appeals under Section 11-8 of the Public |
Aid Code. |
(29) Meetings between internal or external auditors |
and governmental audit committees, finance committees, and |
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their equivalents, when the discussion involves internal |
control weaknesses, identification of potential fraud risk |
areas, known or suspected frauds, and fraud interviews |
conducted in accordance with generally accepted auditing |
standards of the United States of America. |
(30) Those meetings or portions of meetings of an |
at-risk adult fatality review team or the Illinois At-Risk |
Adult Fatality Review Team Advisory Council during which a |
review of the death of an eligible adult in which abuse or |
neglect is suspected, alleged, or substantiated is |
conducted pursuant to Section 15 of the Adult Protective |
Services Act. |
(d) Definitions. For purposes of this Section:
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"Employee" means a person employed by a public body whose |
relationship
with the public body constitutes an |
employer-employee relationship under
the usual common law |
rules, and who is not an independent contractor.
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"Public office" means a position created by or under the
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Constitution or laws of this State, the occupant of which is |
charged with
the exercise of some portion of the sovereign |
power of this State. The term
"public office" shall include |
members of the public body, but it shall not
include |
organizational positions filled by members thereof, whether
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established by law or by a public body itself, that exist to |
assist the
body in the conduct of its business.
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"Quasi-adjudicative body" means an administrative body |
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charged by law or
ordinance with the responsibility to conduct |
hearings, receive evidence or
testimony and make |
determinations based
thereon, but does not include
local |
electoral boards when such bodies are considering petition |
challenges.
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(e) Final action. No final action may be taken at a closed |
meeting.
Final action shall be preceded by a public recital of |
the nature of the
matter being considered and other information |
that will inform the
public of the business being conducted.
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(Source: P.A. 96-1235, eff. 1-1-11; 96-1378, eff. 7-29-10; |
96-1428, eff. 8-11-10; 97-318, eff. 1-1-12; 97-333, eff. |
8-12-11; 97-452, eff. 8-19-11; 97-813, eff. 7-13-12; 97-876, |
eff. 8-1-12.)
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Section 30. The Freedom of Information Act is amended by |
changing Section 7.5 as follows: |
(5 ILCS 140/7.5) |
Sec. 7.5. Statutory Exemptions. To the extent provided for |
by the statutes referenced below, the following shall be exempt |
from inspection and copying: |
(a) All information determined to be confidential under |
Section 4002 of the Technology Advancement and Development Act. |
(b) Library circulation and order records identifying |
library users with specific materials under the Library Records |
Confidentiality Act. |
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(c) Applications, related documents, and medical records |
received by the Experimental Organ Transplantation Procedures |
Board and any and all documents or other records prepared by |
the Experimental Organ Transplantation Procedures Board or its |
staff relating to applications it has received. |
(d) Information and records held by the Department of |
Public Health and its authorized representatives relating to |
known or suspected cases of sexually transmissible disease or |
any information the disclosure of which is restricted under the |
Illinois Sexually Transmissible Disease Control Act. |
(e) Information the disclosure of which is exempted under |
Section 30 of the Radon Industry Licensing Act. |
(f) Firm performance evaluations under Section 55 of the |
Architectural, Engineering, and Land Surveying Qualifications |
Based Selection Act. |
(g) Information the disclosure of which is restricted and |
exempted under Section 50 of the Illinois Prepaid Tuition Act. |
(h) Information the disclosure of which is exempted under |
the State Officials and Employees Ethics Act, and records of |
any lawfully created State or local inspector general's office |
that would be exempt if created or obtained by an Executive |
Inspector General's office under that Act. |
(i) Information contained in a local emergency energy plan |
submitted to a municipality in accordance with a local |
emergency energy plan ordinance that is adopted under Section |
11-21.5-5 of the Illinois Municipal Code. |
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(j) Information and data concerning the distribution of |
surcharge moneys collected and remitted by wireless carriers |
under the Wireless Emergency Telephone Safety Act. |
(k) Law enforcement officer identification information or |
driver identification information compiled by a law |
enforcement agency or the Department of Transportation under |
Section 11-212 of the Illinois Vehicle Code. |
(l) Records and information provided to a residential |
health care facility resident sexual assault and death review |
team or the Executive Council under the Abuse Prevention Review |
Team Act. |
(m) Information provided to the predatory lending database |
created pursuant to Article 3 of the Residential Real Property |
Disclosure Act, except to the extent authorized under that |
Article. |
(n) Defense budgets and petitions for certification of |
compensation and expenses for court appointed trial counsel as |
provided under Sections 10 and 15 of the Capital Crimes |
Litigation Act. This subsection (n) shall apply until the |
conclusion of the trial of the case, even if the prosecution |
chooses not to pursue the death penalty prior to trial or |
sentencing. |
(o) Information that is prohibited from being disclosed |
under Section 4 of the Illinois Health and Hazardous Substances |
Registry Act. |
(p) Security portions of system safety program plans, |
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investigation reports, surveys, schedules, lists, data, or |
information compiled, collected, or prepared by or for the |
Regional Transportation Authority under Section 2.11 of the |
Regional Transportation Authority Act or the St. Clair County |
Transit District under the Bi-State Transit Safety Act. |
(q) Information prohibited from being disclosed by the |
Personnel Records Review Act. |
(r) Information prohibited from being disclosed by the |
Illinois School Student Records Act. |
(s) Information the disclosure of which is restricted under |
Section 5-108 of the Public Utilities Act.
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(t) All identified or deidentified health information in |
the form of health data or medical records contained in, stored |
in, submitted to, transferred by, or released from the Illinois |
Health Information Exchange, and identified or deidentified |
health information in the form of health data and medical |
records of the Illinois Health Information Exchange in the |
possession of the Illinois Health Information Exchange |
Authority due to its administration of the Illinois Health |
Information Exchange. The terms "identified" and |
"deidentified" shall be given the same meaning as in the Health |
Insurance Accountability and Portability Act of 1996, Public |
Law 104-191, or any subsequent amendments thereto, and any |
regulations promulgated thereunder. |
(u) Records and information provided to an independent team |
of experts under Brian's Law. |
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(v) Names and information of people who have applied for or |
received Firearm Owner's Identification Cards under the |
Firearm Owners Identification Card Act. |
(w) Personally identifiable information which is exempted |
from disclosure under subsection (g) of Section 19.1 of the |
Toll Highway Act. |
(x) Information which is exempted from disclosure under |
Section 5-1014.3 of the Counties Code or Section 8-11-21 of the |
Illinois Municipal Code. |
(y) Confidential information under the Adult Protective |
Services Act and its predecessor enabling statute, the Elder |
Abuse and Neglect Act, including information about the identity |
and administrative finding against any caregiver of a verified |
and substantiated decision of significant abuse, neglect, or |
financial exploitation of an eligible adult maintained in the |
Department of Public Health's Health Care Worker Registry. |
(z) Records and information provided to an at-risk adult |
fatality review team or the Illinois At-Risk Adult Fatality |
Review Team Advisory Council under Section 15 of the Adult |
Protective Services Act. |
(Source: P.A. 96-542, eff. 1-1-10; 96-1235, eff. 1-1-11; |
96-1331, eff. 7-27-10; 97-80, eff. 7-5-11; 97-333, eff. |
8-12-11; 97-342, eff. 8-12-11; 97-813, eff. 7-13-12; 97-976, |
eff. 1-1-13.) |
Section 35. The State Employee Indemnification Act is |
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amended by changing Section 1 as follows: |
(5 ILCS 350/1) (from Ch. 127, par. 1301)
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Sec. 1. Definitions. For the purpose of this Act:
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(a) The term "State" means the State of Illinois, the |
General
Assembly, the court, or any State office, department, |
division, bureau,
board, commission, or committee, the |
governing boards of the public
institutions of higher education |
created by the State, the Illinois
National Guard, the |
Comprehensive Health Insurance Board, any poison control
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center designated under the Poison Control System Act that |
receives State
funding, or any other agency or instrumentality |
of the State. It
does not mean any local public entity as that |
term is defined in Section
1-206 of the Local Governmental and |
Governmental Employees Tort Immunity
Act or a pension fund.
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(b) The term "employee" means any present or former elected |
or
appointed officer, trustee or employee of the State, or of a |
pension
fund,
any present or former commissioner or employee of |
the Executive Ethics
Commission or of the Legislative Ethics |
Commission, any present or former
Executive, Legislative, or |
Auditor General's Inspector General, any present or
former |
employee of an Office of an Executive, Legislative, or Auditor |
General's
Inspector General, any present or former member of |
the Illinois National
Guard
while on active duty, individuals |
or organizations who contract with the
Department of |
Corrections, the Comprehensive Health Insurance Board, or the
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Department of Veterans' Affairs to provide services, |
individuals or
organizations who contract with the Department |
of Human Services (as
successor to the Department of Mental |
Health and Developmental
Disabilities) to provide services |
including but not limited to treatment and
other services for |
sexually violent persons, individuals or organizations who
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contract with the Department of
Military
Affairs for youth |
programs, individuals or
organizations who contract to perform |
carnival and amusement ride safety
inspections for the |
Department of Labor, individual representatives of or
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designated organizations authorized to represent the Office of |
State Long-Term
Ombudsman for the Department on Aging, |
individual representatives of or
organizations designated by |
the Department on Aging in the performance of their
duties as |
adult protective services elder abuse provider agencies or |
regional administrative agencies
under the Adult Protective |
Services Act, individuals or organizations appointed as |
members of a review team or the Advisory Council under the |
Adult Protective Services Act Elder Abuse and Neglect Act , |
individuals or organizations who perform
volunteer services |
for the State where such volunteer relationship is reduced
to |
writing, individuals who serve on any public entity (whether |
created by law
or administrative action) described in paragraph |
(a) of this Section,
individuals or not for profit |
organizations who, either as volunteers, where
such volunteer |
relationship is reduced to writing, or pursuant to contract,
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furnish professional advice or consultation to any agency or |
instrumentality of
the State, individuals who serve as foster |
parents for the Department of
Children and Family Services when |
caring for a Department ward, individuals who serve as members |
of an independent team of experts under Brian's Law, and |
individuals
who serve as arbitrators pursuant to Part 10A of
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Article II of the Code of Civil Procedure and the rules of the |
Supreme Court
implementing Part 10A, each as now or hereafter |
amended, but does not mean an
independent contractor except as |
provided in this Section. The term includes an
individual |
appointed as an inspector by the Director of State Police when
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performing duties within the scope of the activities of a |
Metropolitan
Enforcement Group or a law enforcement |
organization established under the
Intergovernmental |
Cooperation Act. An individual who renders professional
advice |
and consultation to the State through an organization which |
qualifies as
an "employee" under the Act is also an employee. |
The term includes the estate
or personal representative of an |
employee.
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(c) The term "pension fund" means a retirement system or |
pension
fund created under the Illinois Pension Code.
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(Source: P.A. 96-1235, eff. 1-1-11.)
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Section 40. The Illinois Act on the Aging is amended by |
changing Section 4.01 as follows:
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(20 ILCS 105/4.01) (from Ch. 23, par. 6104.01)
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Sec. 4.01. Additional powers and duties of the Department. |
In addition
to powers and duties otherwise provided by law, the |
Department shall have the
following powers and duties:
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(1) To evaluate all programs, services, and facilities for |
the aged
and for minority senior citizens within the State and |
determine the extent
to which present public or private |
programs, services and facilities meet the
needs of the aged.
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(2) To coordinate and evaluate all programs, services, and |
facilities
for the Aging and for minority senior citizens |
presently furnished by State
agencies and make appropriate |
recommendations regarding such services, programs
and |
facilities to the Governor and/or the General Assembly.
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(3) To function as the sole State agency to develop a |
comprehensive
plan to meet the needs of the State's senior |
citizens and the State's
minority senior citizens.
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(4) To receive and disburse State and federal funds made |
available
directly to the Department including those funds made |
available under the
Older Americans Act and the Senior |
Community Service Employment Program for
providing services |
for senior citizens and minority senior citizens or for
|
purposes related thereto, and shall develop and administer any |
State Plan
for the Aging required by federal law.
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(5) To solicit, accept, hold, and administer in behalf of |
the State
any grants or legacies of money, securities, or |
property to the State of
Illinois for services to senior |
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citizens and minority senior citizens or
purposes related |
thereto.
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(6) To provide consultation and assistance to communities, |
area agencies
on aging, and groups developing local services |
for senior citizens and
minority senior citizens.
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(7) To promote community education regarding the problems |
of senior
citizens and minority senior citizens through |
institutes, publications,
radio, television and the local |
press.
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(8) To cooperate with agencies of the federal government in |
studies
and conferences designed to examine the needs of senior |
citizens and minority
senior citizens and to prepare programs |
and facilities to meet those needs.
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(9) To establish and maintain information and referral |
sources
throughout the State when not provided by other |
agencies.
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(10) To provide the staff support that may reasonably be |
required
by the Council.
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(11) To make and enforce rules and regulations necessary |
and proper
to the performance of its duties.
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(12) To establish and fund programs or projects or |
experimental facilities
that are specially designed as |
alternatives to institutional care.
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(13) To develop a training program to train the counselors |
presently
employed by the Department's aging network to provide |
Medicare
beneficiaries with counseling and advocacy in |
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Medicare, private health
insurance, and related health care |
coverage plans. The Department shall
report to the General |
Assembly on the implementation of the training
program on or |
before December 1, 1986.
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(14) To make a grant to an institution of higher learning |
to study the
feasibility of establishing and implementing an |
affirmative action
employment plan for the recruitment, |
hiring, training and retraining of
persons 60 or more years old |
for jobs for which their employment would not
be precluded by |
law.
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(15) To present one award annually in each of the |
categories of community
service, education, the performance |
and graphic arts, and the labor force
to outstanding Illinois |
senior citizens and minority senior citizens in
recognition of |
their individual contributions to either community service,
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education, the performance and graphic arts, or the labor |
force. The awards
shall be presented to 4 senior citizens and |
minority senior citizens
selected from a list of 44 nominees |
compiled annually by
the Department. Nominations shall be |
solicited from senior citizens'
service providers, area |
agencies on aging, senior citizens'
centers, and senior |
citizens' organizations. The Department shall establish a |
central location within
the State to be designated as the |
Senior Illinoisans Hall of Fame for the
public display of all |
the annual awards, or replicas thereof.
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(16) To establish multipurpose senior centers through area |
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agencies on
aging and to fund those new and existing |
multipurpose senior centers
through area agencies on aging, the |
establishment and funding to begin in
such areas of the State |
as the Department shall designate by rule and as
specifically |
appropriated funds become available.
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(17) To develop the content and format of the |
acknowledgment regarding
non-recourse reverse mortgage loans |
under Section 6.1 of the Illinois
Banking Act; to provide |
independent consumer information on reverse
mortgages and |
alternatives; and to refer consumers to independent
counseling |
services with expertise in reverse mortgages.
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(18) To develop a pamphlet in English and Spanish which may |
be used by
physicians licensed to practice medicine in all of |
its branches pursuant
to the Medical Practice Act of 1987, |
pharmacists licensed pursuant to the
Pharmacy Practice Act, and |
Illinois residents 65 years of age or
older for the purpose of |
assisting physicians, pharmacists, and patients in
monitoring |
prescriptions provided by various physicians and to aid persons
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65 years of age or older in complying with directions for |
proper use of
pharmaceutical prescriptions. The pamphlet may |
provide space for recording
information including but not |
limited to the following:
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(a) name and telephone number of the patient;
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(b) name and telephone number of the prescribing |
physician;
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(c) date of prescription;
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(d) name of drug prescribed;
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(e) directions for patient compliance; and
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(f) name and telephone number of dispensing pharmacy.
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In developing the pamphlet, the Department shall consult |
with the
Illinois State Medical Society, the Center for |
Minority Health Services,
the Illinois Pharmacists Association |
and
senior citizens organizations. The Department shall |
distribute the
pamphlets to physicians, pharmacists and |
persons 65 years of age or older
or various senior citizen |
organizations throughout the State.
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(19) To conduct a study of the feasibility of
implementing |
the Senior Companion Program throughout the State.
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(20) The reimbursement rates paid through the community |
care program
for chore housekeeping services and home care |
aides
shall be the same.
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(21) From funds appropriated to the Department from the |
Meals on Wheels
Fund, a special fund in the State treasury that |
is hereby created, and in
accordance with State and federal |
guidelines and the intrastate funding
formula, to make grants |
to area agencies on aging, designated by the
Department, for |
the sole purpose of delivering meals to homebound persons 60
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years of age and older.
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(22) To distribute, through its area agencies on aging, |
information
alerting seniors on safety issues regarding |
emergency weather
conditions, including extreme heat and cold, |
flooding, tornadoes, electrical
storms, and other severe storm |
|
weather. The information shall include all
necessary |
instructions for safety and all emergency telephone numbers of
|
organizations that will provide additional information and |
assistance.
|
(23) To develop guidelines for the organization and |
implementation of
Volunteer Services Credit Programs to be |
administered by Area Agencies on
Aging or community based |
senior service organizations. The Department shall
hold public |
hearings on the proposed guidelines for public comment, |
suggestion,
and determination of public interest. The |
guidelines shall be based on the
findings of other states and |
of community organizations in Illinois that are
currently |
operating volunteer services credit programs or demonstration
|
volunteer services credit programs. The Department shall offer |
guidelines for
all aspects of the programs including, but not |
limited to, the following:
|
(a) types of services to be offered by volunteers;
|
(b) types of services to be received upon the |
redemption of service
credits;
|
(c) issues of liability for the volunteers and the |
administering
organizations;
|
(d) methods of tracking service credits earned and |
service credits
redeemed;
|
(e) issues of time limits for redemption of service |
credits;
|
(f) methods of recruitment of volunteers;
|
|
(g) utilization of community volunteers, community |
service groups, and
other resources for delivering |
services to be received by service credit
program clients;
|
(h) accountability and assurance that services will be |
available to
individuals who have earned service credits; |
and
|
(i) volunteer screening and qualifications.
|
The Department shall submit a written copy of the guidelines to |
the General
Assembly by July 1, 1998.
|
(24) To function as the sole State agency to receive and |
disburse State and federal funds for providing adult protective |
services in a domestic living situation in accordance with the |
Adult Protective Services Act. |
(Source: P.A. 95-298, eff. 8-20-07; 95-689, eff. 10-29-07; |
95-876, eff. 8-21-08; 96-918, eff. 6-9-10.)
|
Section 45. The Department of Human Services Act is amended |
by changing Section 1-17 as follows:
|
(20 ILCS 1305/1-17)
|
Sec. 1-17. Inspector General. |
(a) Nature and purpose. It is the express intent of the |
General Assembly to ensure the health, safety, and financial |
condition of individuals receiving services in this State due |
to mental illness, developmental disability, or both by |
protecting those persons from acts of abuse, neglect, or both |
|
by service providers. To that end, the Office of the Inspector |
General for the Department of Human Services is created to |
investigate and report upon allegations of the abuse, neglect, |
or financial exploitation of individuals receiving services |
within mental health facilities, developmental disabilities |
facilities, and community agencies operated, licensed, funded |
or certified by the Department of Human Services, but not |
licensed or certified by any other State agency. It is also the |
express intent of the General Assembly to authorize the |
Inspector General to investigate alleged or suspected cases of |
abuse, neglect, or financial exploitation of adults with |
disabilities living in domestic settings in the community under |
the Abuse of Adults with Disabilities Intervention Act. |
(b) Definitions. The following definitions apply to this |
Section: |
"Adult student with a disability" means an adult student, |
age 18 through 21, inclusive, with an Individual Education |
Program, other than a resident of a facility licensed by the |
Department of Children and Family Services in accordance with |
the Child Care Act of 1969. For purposes of this definition, |
"through age 21, inclusive", means through the day before the |
student's 22nd birthday. |
"Agency" or "community agency" means (i) a community agency |
licensed, funded, or certified by the Department, but not |
licensed or certified by any other human services agency of the |
State, to provide mental health service or developmental |
|
disabilities service, or (ii) a program licensed, funded, or |
certified by the Department, but not licensed or certified by |
any other human services agency of the State, to provide mental |
health service or developmental disabilities service. |
"Aggravating circumstance" means a factor that is |
attendant to a finding and that tends to compound or increase |
the culpability of the accused. |
"Allegation" means an assertion, complaint, suspicion, or |
incident involving any of the following conduct by an employee, |
facility, or agency against an individual or individuals: |
mental abuse, physical abuse, sexual abuse, neglect, or |
financial exploitation. |
"Day" means working day, unless otherwise specified. |
"Deflection" means a situation in which an individual is |
presented for admission to a facility or agency, and the |
facility staff or agency staff do not admit the individual. |
"Deflection" includes triage, redirection, and denial of |
admission. |
"Department" means the Department of Human Services. |
"Developmentally disabled" means having a developmental |
disability. |
"Developmental disability" means "developmental |
disability" as defined in the Mental Health and Developmental |
Disabilities Code. |
"Egregious neglect" means a finding of neglect as |
determined by the Inspector General that (i) represents a gross |
|
failure to adequately provide for, or a callused indifference |
to, the health, safety, or medical needs of an individual and |
(ii) results in an individual's death or other serious |
deterioration of an individual's physical condition or mental |
condition. |
"Employee" means any person who provides services at the |
facility or agency on-site or off-site. The service |
relationship can be with the individual or with the facility or |
agency. Also, "employee" includes any employee or contractual |
agent of the Department of Human Services or the community |
agency involved in providing or monitoring or administering |
mental health or developmental disability services. This |
includes but is not limited to: owners, operators, payroll |
personnel, contractors, subcontractors, and volunteers. |
"Facility" or "State-operated facility" means a mental |
health facility or developmental disabilities facility |
operated by the Department. |
"Financial exploitation" means taking unjust advantage of |
an individual's assets, property, or financial resources |
through deception, intimidation, or conversion for the |
employee's, facility's, or agency's own advantage or benefit. |
"Finding" means the Office of Inspector General's |
determination regarding whether an allegation is |
substantiated, unsubstantiated, or unfounded. |
"Health care worker registry" or "registry" means the |
health care worker registry created by the Nursing Home Care |
|
Act. |
"Individual" means any person receiving mental health |
service, developmental disabilities service, or both from a |
facility or agency, while either on-site or off-site. |
"Mental abuse" means the use of demeaning, intimidating, or |
threatening words, signs, gestures, or other actions by an |
employee about an individual and in the presence of an |
individual or individuals that results in emotional distress or |
maladaptive behavior, or could have resulted in emotional |
distress or maladaptive behavior, for any individual present. |
"Mental illness" means "mental illness" as defined in the |
Mental Health and Developmental Disabilities Code. |
"Mentally ill" means having a mental illness. |
"Mitigating circumstance" means a condition that (i) is |
attendant to a finding, (ii) does not excuse or justify the |
conduct in question, but (iii) may be considered in evaluating |
the severity of the conduct, the culpability of the accused, or |
both the severity of the conduct and the culpability of the |
accused. |
"Neglect" means an employee's, agency's, or facility's |
failure to provide adequate medical care, personal care, or |
maintenance and that, as a consequence, (i) causes an |
individual pain, injury, or emotional distress, (ii) results in |
either an individual's maladaptive behavior or the |
deterioration of an individual's physical condition or mental |
condition, or (iii) places the individual's health or safety at |
|
substantial risk. |
"Physical abuse" means an employee's non-accidental and |
inappropriate contact with an individual that causes bodily |
harm. "Physical abuse" includes actions that cause bodily harm |
as a result of an employee directing an individual or person to |
physically abuse another individual. |
"Recommendation" means an admonition, separate from a |
finding, that requires action by the facility, agency, or |
Department to correct a systemic issue, problem, or deficiency |
identified during an investigation. |
"Required reporter" means any employee who suspects, |
witnesses, or is informed of an allegation of any one or more |
of the following: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. |
"Secretary" means the Chief Administrative Officer of the |
Department. |
"Sexual abuse" means any sexual contact or intimate |
physical contact between an employee and an individual, |
including an employee's coercion or encouragement of an |
individual to engage in sexual behavior that results in sexual |
contact, intimate physical contact, sexual behavior, or |
intimate physical behavior. |
"Substantiated" means there is a preponderance of the |
evidence to support the allegation. |
"Unfounded" means there is no credible evidence to support |
the allegation. |
|
"Unsubstantiated" means there is credible evidence, but |
less than a preponderance of evidence to support the |
allegation. |
(c) Appointment. The Governor shall appoint, and the Senate |
shall confirm, an Inspector General. The Inspector General |
shall be appointed for a term of 4 years and shall function |
within the Department of Human Services and report to the |
Secretary and the Governor. |
(d) Operation and appropriation. The Inspector General |
shall function independently within the Department with |
respect to the operations of the Office, including the |
performance of investigations and issuance of findings and |
recommendations. The appropriation for the Office of Inspector |
General shall be separate from the overall appropriation for |
the Department. |
(e) Powers and duties. The Inspector General shall |
investigate reports of suspected mental abuse, physical abuse, |
sexual abuse, neglect, or financial exploitation of |
individuals in any mental health or developmental disabilities |
facility or agency and shall have authority to take immediate |
action to prevent any one or more of the following from |
happening to individuals under its jurisdiction: mental abuse, |
physical abuse, sexual abuse, neglect, or financial |
exploitation. Upon written request of an agency of this State, |
the Inspector General may assist another agency of the State in |
investigating reports of the abuse, neglect, or abuse and |
|
neglect of persons with mental illness, persons with |
developmental disabilities, or persons with both. To comply |
with the requirements of subsection (k) of this Section, the |
Inspector General shall also review all reportable deaths for |
which there is no allegation of abuse or neglect. Nothing in |
this Section shall preempt any duties of the Medical Review |
Board set forth in the Mental Health and Developmental |
Disabilities Code. The Inspector General shall have no |
authority to investigate alleged violations of the State |
Officials and Employees Ethics Act. Allegations of misconduct |
under the State Officials and Employees Ethics Act shall be |
referred to the Office of the Governor's Executive Inspector |
General for investigation. |
(f) Limitations. The Inspector General shall not conduct an |
investigation within an agency or facility if that |
investigation would be redundant to or interfere with an |
investigation conducted by another State agency. The Inspector |
General shall have no supervision over, or involvement in, the |
routine programmatic, licensing, funding, or certification |
operations of the Department. Nothing in this subsection limits |
investigations by the Department that may otherwise be required |
by law or that may be necessary in the Department's capacity as |
central administrative authority responsible for the operation |
of the State's mental health and developmental disabilities |
facilities. |
(g) Rulemaking authority. The Inspector General shall |
|
promulgate rules establishing minimum requirements for |
reporting allegations as well as for initiating, conducting, |
and completing investigations based upon the nature of the |
allegation or allegations. The rules shall clearly establish |
that if 2 or more State agencies could investigate an |
allegation, the Inspector General shall not conduct an |
investigation that would be redundant to, or interfere with, an |
investigation conducted by another State agency. The rules |
shall further clarify the method and circumstances under which |
the Office of Inspector General may interact with the |
licensing, funding, or certification units of the Department in |
preventing further occurrences of mental abuse, physical |
abuse, sexual abuse, neglect, egregious neglect, and financial |
exploitation. |
(h) Training programs. The Inspector General shall (i) |
establish a comprehensive program to ensure that every person |
authorized to conduct investigations receives ongoing training |
relative to investigation techniques, communication skills, |
and the appropriate means of interacting with persons receiving |
treatment for mental illness, developmental disability, or |
both mental illness and developmental disability, and (ii) |
establish and conduct periodic training programs for facility |
and agency employees concerning the prevention and reporting of |
any one or more of the following: mental abuse, physical abuse, |
sexual abuse, neglect, egregious neglect, or financial |
exploitation. Nothing in this Section shall be deemed to |
|
prevent the Office of Inspector General from conducting any |
other training as determined by the Inspector General to be |
necessary or helpful. |
(i) Duty to cooperate. |
(1) The Inspector General shall at all times be granted |
access to any facility or agency for the purpose of |
investigating any allegation, conducting unannounced site |
visits, monitoring compliance with a written response, or |
completing any other statutorily assigned duty. The |
Inspector General shall conduct unannounced site visits to |
each facility at least annually for the purpose of |
reviewing and making recommendations on systemic issues |
relative to preventing, reporting, investigating, and |
responding to all of the following: mental abuse, physical |
abuse, sexual abuse, neglect, egregious neglect, or |
financial exploitation. |
(2) Any employee who fails to cooperate with an Office |
of the Inspector General investigation is in violation of |
this Act. Failure to cooperate with an investigation |
includes, but is not limited to, any one or more of the |
following: (i) creating and transmitting a false report to |
the Office of the Inspector General hotline, (ii) providing |
false information to an Office of the Inspector General |
Investigator during an investigation, (iii) colluding with |
other employees to cover up evidence, (iv) colluding with |
other employees to provide false information to an Office |
|
of the Inspector General investigator, (v) destroying |
evidence, (vi) withholding evidence, or (vii) otherwise |
obstructing an Office of the Inspector General |
investigation. Additionally, any employee who, during an |
unannounced site visit or written response compliance |
check, fails to cooperate with requests from the Office of |
the Inspector General is in violation of this Act. |
(j) Subpoena powers. The Inspector General shall have the |
power to subpoena witnesses and compel the production of all |
documents and physical evidence relating to his or her |
investigations and any hearings authorized by this Act. This |
subpoena power shall not extend to persons or documents of a |
labor organization or its representatives insofar as the |
persons are acting in a representative capacity to an employee |
whose conduct is the subject of an investigation or the |
documents relate to that representation. Any person who |
otherwise fails to respond to a subpoena or who knowingly |
provides false information to the Office of the Inspector |
General by subpoena during an investigation is guilty of a |
Class A misdemeanor. |
(k) Reporting allegations and deaths. |
(1) Allegations. If an employee witnesses, is told of, |
or has reason to believe an incident of mental abuse, |
physical abuse, sexual abuse, neglect, or financial |
exploitation has occurred, the employee, agency, or |
facility shall report the allegation by phone to the Office |
|
of the Inspector General hotline according to the agency's |
or facility's procedures, but in no event later than 4 |
hours after the initial discovery of the incident, |
allegation, or suspicion of any one or more of the |
following: mental abuse, physical abuse, sexual abuse, |
neglect, or financial exploitation. A required reporter as |
defined in subsection (b) of this Section who knowingly or |
intentionally fails to comply with these reporting |
requirements is guilty of a Class A misdemeanor. |
(2) Deaths. Absent an allegation, a required reporter |
shall, within 24 hours after initial discovery, report by |
phone to the Office of the Inspector General hotline each |
of the following: |
(i) Any death of an individual occurring within 14 |
calendar days after discharge or transfer of the |
individual from a residential program or facility. |
(ii) Any death of an individual occurring within 24 |
hours after deflection from a residential program or |
facility. |
(iii) Any other death of an individual occurring at |
an agency or facility or at any Department-funded site. |
(3) Retaliation. It is a violation of this Act for any |
employee or administrator of an agency or facility to take |
retaliatory action against an employee who acts in good |
faith in conformance with his or her duties as a required |
reporter. |
|
(l) Reporting to law enforcement. |
(1) Reporting criminal acts. Within 24 hours after |
determining that there is credible evidence indicating |
that a criminal act may have been committed or that special |
expertise may be required in an investigation, the |
Inspector General shall notify the Department of State |
Police or other appropriate law enforcement authority, or |
ensure that such notification is made. The Department of |
State Police shall investigate any report from a |
State-operated facility indicating a possible murder, |
sexual assault, or other felony by an employee. All |
investigations conducted by the Inspector General shall be |
conducted in a manner designed to ensure the preservation |
of evidence for possible use in a criminal prosecution. |
(2) Reporting allegations of adult students with |
disabilities. Upon receipt of a reportable allegation |
regarding an adult student with a disability, the |
Department's Office of the Inspector General shall |
determine whether the allegation meets the criteria for the |
Domestic Abuse Program under the Abuse of Adults with |
Disabilities Intervention Act. If the allegation is |
reportable to that program, the Office of the Inspector |
General shall initiate an investigation. If the allegation |
is not reportable to the Domestic Abuse Program, the Office |
of the Inspector General shall make an expeditious referral |
to the respective law enforcement entity. If the alleged |
|
victim is already receiving services from the Department, |
the Office of the Inspector General shall also make a |
referral to the respective Department of Human Services' |
Division or Bureau. |
(m) Investigative reports. Upon completion of an |
investigation, the Office of Inspector General shall issue an |
investigative report identifying whether the allegations are |
substantiated, unsubstantiated, or unfounded. Within 10 |
business days after the transmittal of a completed |
investigative report substantiating an allegation, or if a |
recommendation is made, the Inspector General shall provide the |
investigative report on the case to the Secretary and to the |
director of the facility or agency where any one or more of the |
following occurred: mental abuse, physical abuse, sexual |
abuse, neglect, egregious neglect, or financial exploitation. |
In a substantiated case, the investigative report shall include |
any mitigating or aggravating circumstances that were |
identified during the investigation. If the case involves |
substantiated neglect, the investigative report shall also |
state whether egregious neglect was found. An investigative |
report may also set forth recommendations. All investigative |
reports prepared by the Office of the Inspector General shall |
be considered confidential and shall not be released except as |
provided by the law of this State or as required under |
applicable federal law. Unsubstantiated and unfounded reports |
shall not be disclosed except as allowed under Section 6 of the |
|
Abused and Neglected Long Term Care Facility Residents |
Reporting Act. Raw data used to compile the investigative |
report shall not be subject to release unless required by law |
or a court order. "Raw data used to compile the investigative |
report" includes, but is not limited to, any one or more of the |
following: the initial complaint, witness statements, |
photographs, investigator's notes, police reports, or incident |
reports. If the allegations are substantiated, the accused |
shall be provided with a redacted copy of the investigative |
report. Death reports where there was no allegation of abuse or |
neglect shall only be released pursuant to applicable State or |
federal law or a valid court order. |
(n) Written responses and reconsideration requests. |
(1) Written responses. Within 30 calendar days from |
receipt of a substantiated investigative report or an |
investigative report which contains recommendations, |
absent a reconsideration request, the facility or agency |
shall file a written response that addresses, in a concise |
and reasoned manner, the actions taken to: (i) protect the |
individual; (ii) prevent recurrences; and (iii) eliminate |
the problems identified. The response shall include the |
implementation and completion dates of such actions. If the |
written response is not filed within the allotted 30 |
calendar day period, the Secretary shall determine the |
appropriate corrective action to be taken. |
(2) Reconsideration requests. The facility, agency, |
|
victim or guardian, or the subject employee may request |
that the Office of Inspector General reconsider or clarify |
its finding based upon additional information. |
(o) Disclosure of the finding by the Inspector General. The |
Inspector General shall disclose the finding of an |
investigation to the following persons: (i) the Governor, (ii) |
the Secretary, (iii) the director of the facility or agency, |
(iv) the alleged victims and their guardians, (v) the |
complainant, and (vi) the accused. This information shall |
include whether the allegations were deemed substantiated, |
unsubstantiated, or unfounded. |
(p) Secretary review. Upon review of the Inspector |
General's investigative report and any agency's or facility's |
written response, the Secretary shall accept or reject the |
written response and notify the Inspector General of that |
determination. The Secretary may further direct that other |
administrative action be taken, including, but not limited to, |
any one or more of the following: (i) additional site visits, |
(ii) training, (iii) provision of technical assistance |
relative to administrative needs, licensure or certification, |
or (iv) the imposition of appropriate sanctions. |
(q) Action by facility or agency. Within 30 days of the |
date the Secretary approves the written response or directs |
that further administrative action be taken, the facility or |
agency shall provide an implementation report to the Inspector |
General that provides the status of the action taken. The |
|
facility or agency shall be allowed an additional 30 days to |
send notice of completion of the action or to send an updated |
implementation report. If the action has not been completed |
within the additional 30 day period, the facility or agency |
shall send updated implementation reports every 60 days until |
completion. The Inspector General shall conduct a review of any |
implementation plan that takes more than 120 days after |
approval to complete, and shall monitor compliance through a |
random review of approved written responses, which may include, |
but are not limited to: (i) site visits, (ii) telephone |
contact, and (iii) requests for additional documentation |
evidencing compliance. |
(r) Sanctions. Sanctions, if imposed by the Secretary under |
Subdivision (p)(iv) of this Section, shall be designed to |
prevent further acts of mental abuse, physical abuse, sexual |
abuse, neglect, egregious neglect, or financial exploitation |
or some combination of one or more of those acts at a facility |
or agency, and may include any one or more of the following: |
(1) Appointment of on-site monitors. |
(2) Transfer or relocation of an individual or |
individuals. |
(3) Closure of units. |
(4) Termination of any one or more of the following: |
(i) Department licensing, (ii) funding, or (iii) |
certification. |
The Inspector General may seek the assistance of the |
|
Illinois Attorney General or the office of any State's Attorney |
in implementing sanctions. |
(s) Health care worker registry. |
(1) Reporting to the registry. The Inspector General |
shall report to the Department of Public Health's health |
care worker registry, a public registry, the identity and |
finding of each employee of a facility or agency against |
whom there is a final investigative report containing a |
substantiated allegation of physical or sexual abuse or |
egregious neglect of an individual. |
(2) Notice to employee. Prior to reporting the name of |
an employee, the employee shall be notified of the |
Department's obligation to report and shall be granted an |
opportunity to request an administrative hearing, the sole |
purpose of which is to determine if the substantiated |
finding warrants reporting to the registry. Notice to the |
employee shall contain a clear and concise statement of the |
grounds on which the report to the registry is based, offer |
the employee an opportunity for a hearing, and identify the |
process for requesting such a hearing. Notice is sufficient |
if provided by certified mail to the employee's last known |
address. If the employee fails to request a hearing within |
30 days from the date of the notice, the Inspector General |
shall report the name of the employee to the registry. |
Nothing in this subdivision (s)(2) shall diminish or impair |
the rights of a person who is a member of a collective |
|
bargaining unit under the Illinois Public Labor Relations |
Act or under any other federal labor statute. |
(3) Registry hearings. If the employee requests an |
administrative hearing, the employee shall be granted an |
opportunity to appear before an administrative law judge to |
present reasons why the employee's name should not be |
reported to the registry. The Department shall bear the |
burden of presenting evidence that establishes, by a |
preponderance of the evidence, that the substantiated |
finding warrants reporting to the registry. After |
considering all the evidence presented, the administrative |
law judge shall make a recommendation to the Secretary as |
to whether the substantiated finding warrants reporting |
the name of the employee to the registry. The Secretary |
shall render the final decision. The Department and the |
employee shall have the right to request that the |
administrative law judge consider a stipulated disposition |
of these proceedings. |
(4) Testimony at registry hearings. A person who makes |
a report or who investigates a report under this Act shall |
testify fully in any judicial proceeding resulting from |
such a report, as to any evidence of abuse or neglect, or |
the cause thereof. No evidence shall be excluded by reason |
of any common law or statutory privilege relating to |
communications between the alleged perpetrator of abuse or |
neglect, or the individual alleged as the victim in the |
|
report, and the person making or investigating the report. |
Testimony at hearings is exempt from the confidentiality |
requirements of subsection (f) of Section 10 of the Mental |
Health and Developmental Disabilities Confidentiality Act. |
(5) Employee's rights to collateral action. No |
reporting to the registry shall occur and no hearing shall |
be set or proceed if an employee notifies the Inspector |
General in writing, including any supporting |
documentation, that he or she is formally contesting an |
adverse employment action resulting from a substantiated |
finding by complaint filed with the Illinois Civil Service |
Commission, or which otherwise seeks to enforce the |
employee's rights pursuant to any applicable collective |
bargaining agreement. If an action taken by an employer |
against an employee as a result of a finding of physical |
abuse, sexual abuse, or egregious neglect is overturned |
through an action filed with the Illinois Civil Service |
Commission or under any applicable collective bargaining |
agreement and if that employee's name has already been sent |
to the registry, the employee's name shall be removed from |
the registry. |
(6) Removal from registry. At any time after the report |
to the registry, but no more than once in any 12-month |
period, an employee may petition the Department in writing |
to remove his or her name from the registry. Upon receiving |
notice of such request, the Inspector General shall conduct |
|
an investigation into the petition. Upon receipt of such |
request, an administrative hearing will be set by the |
Department. At the hearing, the employee shall bear the |
burden of presenting evidence that establishes, by a |
preponderance of the evidence, that removal of the name |
from the registry is in the public interest. The parties |
may jointly request that the administrative law judge |
consider a stipulated disposition of these proceedings. |
(t) Review of Administrative Decisions. The Department |
shall preserve a record of all proceedings at any formal |
hearing conducted by the Department involving health care |
worker registry hearings. Final administrative decisions of |
the Department are subject to judicial review pursuant to |
provisions of the Administrative Review Law. |
(u) Quality Care Board. There is created, within the Office |
of the Inspector General, a Quality Care Board to be composed |
of 7 members appointed by the Governor with the advice and |
consent of the Senate. One of the members shall be designated |
as chairman by the Governor. Of the initial appointments made |
by the Governor, 4 Board members shall each be appointed for a |
term of 4 years and 3 members shall each be appointed for a |
term of 2 years. Upon the expiration of each member's term, a |
successor shall be appointed for a term of 4 years. In the case |
of a vacancy in the office of any member, the Governor shall |
appoint a successor for the remainder of the unexpired term. |
Members appointed by the Governor shall be qualified by |
|
professional knowledge or experience in the area of law, |
investigatory techniques, or in the area of care of the |
mentally ill or developmentally disabled. Two members |
appointed by the Governor shall be persons with a disability or |
a parent of a person with a disability. Members shall serve |
without compensation, but shall be reimbursed for expenses |
incurred in connection with the performance of their duties as |
members. |
The Board shall meet quarterly, and may hold other meetings |
on the call of the chairman. Four members shall constitute a |
quorum allowing the Board to conduct its business. The Board |
may adopt rules and regulations it deems necessary to govern |
its own procedures. |
The Board shall monitor and oversee the operations, |
policies, and procedures of the Inspector General to ensure the |
prompt and thorough investigation of allegations of neglect and |
abuse. In fulfilling these responsibilities, the Board may do |
the following: |
(1) Provide independent, expert consultation to the |
Inspector General on policies and protocols for |
investigations of alleged abuse, neglect, or both abuse and |
neglect. |
(2) Review existing regulations relating to the |
operation of facilities. |
(3) Advise the Inspector General as to the content of |
training activities authorized under this Section. |
|
(4) Recommend policies concerning methods for |
improving the intergovernmental relationships between the |
Office of the Inspector General and other State or federal |
offices. |
(v) Annual report. The Inspector General shall provide to |
the General Assembly and the Governor, no later than January 1 |
of each year, a summary of reports and investigations made |
under this Act for the prior fiscal year with respect to |
individuals receiving mental health or developmental |
disabilities services. The report shall detail the imposition |
of sanctions, if any, and the final disposition of any |
corrective or administrative action directed by the Secretary. |
The summaries shall not contain any confidential or identifying |
information of any individual, but shall include objective data |
identifying any trends in the number of reported allegations, |
the timeliness of the Office of the Inspector General's |
investigations, and their disposition, for each facility and |
Department-wide, for the most recent 3-year time period. The |
report shall also identify, by facility, the staff-to-patient |
ratios taking account of direct care staff only. The report |
shall also include detailed recommended administrative actions |
and matters for consideration by the General Assembly. |
(w) Program audit. The Auditor General shall conduct a |
program audit of the Office of the Inspector General on an |
as-needed basis, as determined by the Auditor General. The |
audit shall specifically include the Inspector General's |
|
compliance with the Act and effectiveness in investigating |
reports of allegations occurring in any facility or agency. The |
Auditor General shall conduct the program audit according to |
the provisions of the Illinois State Auditing Act and shall |
report its findings to the General Assembly no later than |
January 1 following the audit period.
|
(x) Nothing in this Section shall be construed to mean that |
a patient is a victim of abuse or neglect because of health |
care services appropriately provided or not provided by health |
care professionals. |
(y) Nothing in this Section shall require a facility, |
including its employees, agents, medical staff members, and |
health care professionals, to provide a service to a patient in |
contravention of that patient's stated or implied objection to |
the provision of that service on the ground that that service |
conflicts with the patient's religious beliefs or practices, |
nor shall the failure to provide a service to a patient be |
considered abuse under this Section if the patient has objected |
to the provision of that service based on his or her religious |
beliefs or practices.
|
(Source: P.A. 95-545, eff. 8-28-07; 96-339, eff. 7-1-10; |
96-407, eff. 8-13-09; 96-555, eff. 8-18-09; 96-1000, eff. |
7-2-10; 96-1446, eff. 8-20-10.)
|
(20 ILCS 2435/Act rep.) |
Section 50. The Abuse of Adults with Disabilities |
|
Intervention Act is repealed. |
Section 55. The Illinois Police Training Act is amended by |
changing Section 7 as follows:
|
(50 ILCS 705/7) (from Ch. 85, par. 507)
|
Sec. 7. Rules and standards for schools. The Board shall |
adopt rules and
minimum standards for such schools which shall |
include but not be limited to
the following:
|
a. The curriculum for probationary police officers which |
shall be
offered by all certified schools shall include but not |
be limited to
courses of arrest, search and seizure, civil |
rights, human relations,
cultural
diversity, including racial |
and ethnic sensitivity,
criminal law, law of criminal |
procedure, vehicle and traffic law including
uniform and |
non-discriminatory enforcement of the Illinois Vehicle Code,
|
traffic control and accident investigation, techniques of |
obtaining
physical evidence, court testimonies, statements, |
reports, firearms
training, first-aid (including |
cardiopulmonary resuscitation), handling of
juvenile |
offenders, recognition of
mental conditions which require |
immediate assistance and methods to
safeguard and provide |
assistance to a person in need of mental
treatment, recognition |
of elder abuse , and neglect , financial exploitation, and |
self-neglect of adults with disabilities and older adults, as |
defined in Section 2 of the Adult Protective Services Act Elder |
|
Abuse and Neglect Act , crimes against the elderly, law of |
evidence, the hazards of high-speed police vehicle
chases with |
an emphasis on alternatives to the high-speed chase, and
|
physical training. The curriculum shall include specific |
training in
techniques for immediate response to and |
investigation of cases of domestic
violence and of sexual |
assault of adults and children. The curriculum shall include
|
training in techniques designed to promote effective
|
communication at the initial contact with crime victims and |
ways to comprehensively
explain to victims and witnesses their |
rights under the Rights
of Crime Victims and Witnesses Act and |
the Crime
Victims Compensation Act. The curriculum shall also |
include a block of instruction aimed at identifying and |
interacting with persons with autism and other developmental |
disabilities, reducing barriers to reporting crimes against |
persons with autism, and addressing the unique challenges |
presented by cases involving victims or witnesses with autism |
and other developmental disabilities. The curriculum for
|
permanent police officers shall include but not be limited to |
(1) refresher
and in-service training in any of the courses |
listed above in this
subparagraph, (2) advanced courses in any |
of the subjects listed above in
this subparagraph, (3) training |
for supervisory personnel, and (4)
specialized training in |
subjects and fields to be selected by the board.
|
b. Minimum courses of study, attendance requirements and |
equipment
requirements.
|
|
c. Minimum requirements for instructors.
|
d. Minimum basic training requirements, which a |
probationary police
officer must satisfactorily complete |
before being eligible for permanent
employment as a local law |
enforcement officer for a participating local
governmental |
agency. Those requirements shall include training in first aid
|
(including cardiopulmonary resuscitation).
|
e. Minimum basic training requirements, which a |
probationary county
corrections officer must satisfactorily |
complete before being eligible for
permanent employment as a |
county corrections officer for a participating
local |
governmental agency.
|
f. Minimum basic training requirements which a |
probationary court
security officer must satisfactorily |
complete before being eligible for
permanent employment as a |
court security officer for a participating local
governmental |
agency. The Board shall
establish those training requirements |
which it considers appropriate for court
security officers and |
shall certify schools to conduct that training.
|
A person hired to serve as a court security officer must |
obtain from the
Board a certificate (i) attesting to his or her |
successful completion of the
training course; (ii) attesting to |
his or her satisfactory
completion of a training program of |
similar content and number of hours that
has been found |
acceptable by the Board under the provisions of this Act; or
|
(iii) attesting to the Board's determination that the training
|
|
course is unnecessary because of the person's extensive prior |
law enforcement
experience.
|
Individuals who currently serve as court security officers |
shall be deemed
qualified to continue to serve in that capacity |
so long as they are certified
as provided by this Act within 24 |
months of the effective date of this
amendatory Act of 1996. |
Failure to be so certified, absent a waiver from the
Board, |
shall cause the officer to forfeit his or her position.
|
All individuals hired as court security officers on or |
after the effective
date of this amendatory Act of 1996 shall |
be certified within 12 months of the
date of their hire, unless |
a waiver has been obtained by the Board, or they
shall forfeit |
their positions.
|
The Sheriff's Merit Commission, if one exists, or the |
Sheriff's Office if
there is no Sheriff's Merit Commission, |
shall maintain a list of all
individuals who have filed |
applications to become court security officers and
who meet the |
eligibility requirements established under this Act. Either
|
the Sheriff's Merit Commission, or the Sheriff's Office if no |
Sheriff's Merit
Commission exists, shall establish a schedule |
of reasonable intervals for
verification of the applicants' |
qualifications under
this Act and as established by the Board.
|
(Source: P.A. 97-815, eff. 1-1-13; 97-862, eff. 1-1-13; revised |
8-3-12.)
|
Section 60. The Illinois Banking Act is amended by changing |
|
Section 48.1 as follows:
|
(205 ILCS 5/48.1) (from Ch. 17, par. 360)
|
Sec. 48.1. Customer financial records; confidentiality.
|
(a) For the purpose of this Section, the term "financial |
records" means any
original, any copy, or any summary of:
|
(1) a document granting signature
authority over a |
deposit or account;
|
(2) a statement, ledger card or other
record on any |
deposit or account, which shows each transaction in or with
|
respect to that account;
|
(3) a check, draft or money order drawn on a bank
or |
issued and payable by a bank; or
|
(4) any other item containing
information pertaining |
to any relationship established in the ordinary
course of a |
bank's business between a bank and its customer, including
|
financial statements or other financial information |
provided by the customer.
|
(b) This Section does not prohibit:
|
(1) The preparation, examination, handling or |
maintenance of any
financial records by any officer, |
employee or agent of a bank
having custody of the records, |
or the examination of the records by a
certified public |
accountant engaged by the bank to perform an independent
|
audit.
|
(2) The examination of any financial records by, or the |
|
furnishing of
financial records by a bank to, any officer, |
employee or agent of (i) the
Commissioner of Banks and Real |
Estate, (ii) after May
31, 1997, a state regulatory |
authority authorized to examine a branch of a
State bank |
located in another state, (iii) the Comptroller of the |
Currency,
(iv) the Federal Reserve Board, or (v) the |
Federal Deposit Insurance
Corporation for use solely in the |
exercise of his duties as an officer,
employee, or agent.
|
(3) The publication of data furnished from financial |
records
relating to customers where the data cannot be |
identified to any
particular customer or account.
|
(4) The making of reports or returns required under |
Chapter 61 of
the Internal Revenue Code of 1986.
|
(5) Furnishing information concerning the dishonor of |
any negotiable
instrument permitted to be disclosed under |
the Uniform Commercial Code.
|
(6) The exchange in the regular course of business of |
(i) credit
information
between a bank and other banks or |
financial institutions or commercial
enterprises, directly |
or through a consumer reporting agency or (ii)
financial |
records or information derived from financial records |
between a bank
and other banks or financial institutions or |
commercial enterprises for the
purpose of conducting due |
diligence pursuant to a purchase or sale involving
the bank |
or assets or liabilities of the bank.
|
(7) The furnishing of information to the appropriate |
|
law enforcement
authorities where the bank reasonably |
believes it has been the victim of a
crime.
|
(8) The furnishing of information under the Uniform |
Disposition of
Unclaimed Property Act.
|
(9) The furnishing of information under the Illinois |
Income Tax Act and
the Illinois Estate and |
Generation-Skipping Transfer Tax Act.
|
(10) The furnishing of information under the federal |
Currency
and Foreign Transactions Reporting Act Title 31, |
United States
Code, Section 1051 et seq.
|
(11) The furnishing of information under any other |
statute that
by its terms or by regulations promulgated |
thereunder requires the disclosure
of financial records |
other than by subpoena, summons, warrant, or court order.
|
(12) The furnishing of information about the existence |
of an account
of a person to a judgment creditor of that |
person who has made a written
request for that information.
|
(13) The exchange in the regular course of business of |
information
between commonly owned banks in connection |
with a transaction authorized
under paragraph (23) of
|
Section 5 and conducted at an affiliate facility.
|
(14) The furnishing of information in accordance with |
the federal
Personal Responsibility and Work Opportunity |
Reconciliation Act of 1996.
Any bank governed by this Act |
shall enter into an agreement for data
exchanges with a |
State agency provided the State agency
pays to the bank a |
|
reasonable fee not to exceed its
actual cost incurred. A |
bank providing
information in accordance with this item |
shall not be liable to any account
holder or other person |
for any disclosure of information to a State agency, for
|
encumbering or surrendering any assets held by the bank in |
response to a lien
or order to withhold and deliver issued |
by a State agency, or for any other
action taken pursuant |
to this item, including individual or mechanical errors,
|
provided the action does not constitute gross negligence or |
willful misconduct.
A bank shall have no obligation to |
hold, encumber, or surrender assets until
it has been |
served with a subpoena, summons, warrant, court or |
administrative
order,
lien, or levy.
|
(15) The exchange in the regular course of business of |
information
between
a bank and any commonly owned affiliate |
of the bank, subject to the provisions
of the Financial |
Institutions Insurance Sales Law.
|
(16) The furnishing of information to law enforcement |
authorities, the
Illinois Department on
Aging and its |
regional administrative and provider agencies, the |
Department of
Human Services Office
of Inspector General, |
or public guardians: (i) upon subpoena by the investigatory |
entity or the guardian, or (ii) if there is suspicion by |
the bank that a customer
who is an elderly or
disabled |
person has been or may become the victim of financial |
exploitation.
For the purposes of this
item (16), the term: |
|
(i) "elderly person" means a person who is 60 or more
years |
of age, (ii) "disabled
person" means a person who has or |
reasonably appears to the bank to have a
physical or mental
|
disability that impairs his or her ability to seek or |
obtain protection from or
prevent financial
exploitation, |
and (iii) "financial exploitation" means tortious or |
illegal use
of the assets or resources of
an elderly or |
disabled person, and includes, without limitation,
|
misappropriation of the elderly or
disabled person's |
assets or resources by undue influence, breach of fiduciary
|
relationship, intimidation,
fraud, deception, extortion, |
or the use of assets or resources in any manner
contrary to |
law. A bank or
person furnishing information pursuant to |
this item (16) shall be entitled to
the same rights and
|
protections as a person furnishing information under the |
Adult Protective Services Act and Elder Abuse and
Neglect |
Act, the Illinois
Domestic Violence Act of 1986 , and the |
Abuse of Adults with Disabilities Intervention Act .
|
(17) The disclosure of financial records or |
information as necessary to
effect, administer, or enforce |
a transaction requested or authorized by the
customer, or |
in connection with:
|
(A) servicing or processing a financial product or |
service requested or
authorized by the customer;
|
(B) maintaining or servicing a customer's account |
with the bank; or
|
|
(C) a proposed or actual securitization or |
secondary market sale
(including sales of servicing |
rights) related to a
transaction of a customer.
|
Nothing in this item (17), however, authorizes the sale |
of the financial
records or information of a customer |
without the consent of the customer.
|
(18) The disclosure of financial records or |
information as necessary to
protect against actual or |
potential fraud, unauthorized transactions, claims,
or |
other liability.
|
(19)(a) The disclosure of financial records or |
information
related to a private label credit program |
between a financial
institution and a private label party |
in connection with that
private label credit program. Such |
information is limited to
outstanding balance, available |
credit, payment and performance
and account history, |
product references, purchase information,
and information
|
related to the identity of the customer.
|
(b)(l) For purposes of this paragraph (19) of |
subsection
(b) of Section 48.1, a "private label credit |
program" means a
credit program involving a financial |
institution and a private label
party that is used by a |
customer of the financial institution and the
private label |
party primarily for payment for goods or services
sold, |
manufactured, or distributed by a private label party.
|
(2) For purposes of this paragraph (19) of subsection |
|
(b)
of Section 48.l, a "private label party" means, with |
respect to a
private label credit program, any of the |
following: a
retailer, a merchant, a manufacturer, a trade |
group,
or any such person's affiliate, subsidiary, member,
|
agent, or service provider.
|
(c) Except as otherwise provided by this Act, a bank may |
not disclose to
any person, except to the customer or his
duly |
authorized agent, any financial records or financial |
information
obtained from financial records relating to that |
customer of
that bank unless:
|
(1) the customer has authorized disclosure to the |
person;
|
(2) the financial records are disclosed in response to |
a lawful
subpoena, summons, warrant, citation to discover |
assets, or court order which meets the requirements
of |
subsection (d) of this Section; or
|
(3) the bank is attempting to collect an obligation |
owed to the bank
and the bank complies with the provisions |
of Section 2I of the Consumer
Fraud and Deceptive Business |
Practices Act.
|
(d) A bank shall disclose financial records under paragraph |
(2) of
subsection (c) of this Section under a lawful subpoena, |
summons, warrant, citation to discover assets, or
court order |
only after the bank mails a copy of the subpoena, summons, |
warrant, citation to discover assets,
or court order to the |
person establishing the relationship with the bank, if
living, |
|
and, otherwise his personal representative, if known, at his |
last known
address by first class mail, postage prepaid, unless |
the bank is specifically
prohibited from notifying the person |
by order of court or by applicable State
or federal law. A bank |
shall not mail a copy of a subpoena to any person
pursuant to |
this subsection if the subpoena was issued by a grand jury |
under
the Statewide Grand Jury Act.
|
(e) Any officer or employee of a bank who knowingly and
|
willfully furnishes financial records in violation of this |
Section is
guilty of a business offense and, upon conviction, |
shall be fined not
more than $1,000.
|
(f) Any person who knowingly and willfully induces or |
attempts to
induce any officer or employee of a bank to |
disclose financial
records in violation of this Section is |
guilty of a business offense
and, upon conviction, shall be |
fined not more than $1,000.
|
(g) A bank shall be reimbursed for costs that are |
reasonably necessary
and that have been directly incurred in |
searching for, reproducing, or
transporting books, papers, |
records, or other data of a customer required or
requested to |
be produced pursuant to a lawful subpoena, summons, warrant, |
citation to discover assets, or
court order. The Commissioner |
shall determine the rates and conditions
under which payment |
may be made.
|
(Source: P.A. 94-495, eff. 8-8-05; 94-851, eff. 6-13-06; |
95-661, eff. 1-1-08.)
|
|
Section 65. The Illinois Savings and Loan Act of 1985 is |
amended by changing Section 3-8 as follows:
|
(205 ILCS 105/3-8) (from Ch. 17, par. 3303-8)
|
Sec. 3-8. Access to books and records; communication with |
members.
|
(a) Every member or holder of capital shall have the right |
to inspect
the books and records of the association that |
pertain to his account.
Otherwise, the right of inspection and |
examination of the books and
records shall be limited as |
provided in this Act, and no other person
shall have access to |
the books and records or shall be entitled to a
list of the |
members.
|
(b) For the purpose of this Section, the term "financial |
records"
means any original, any copy, or any summary of (i) a |
document granting
signature authority over a deposit or |
account; (ii) a statement, ledger
card, or other record on any |
deposit or account that
shows each transaction in or with |
respect to that account; (iii) a check,
draft, or money order |
drawn on an association or issued and payable by
an |
association; or (iv) any other item containing information |
pertaining to
any relationship established in the ordinary |
course of an association's
business between an association and |
its customer, including financial
statements or other |
financial information provided by the member or holder of
|
|
capital.
|
(c) This Section does not prohibit:
|
(1) The preparation, examination, handling, or |
maintenance of any
financial records by any officer, |
employee, or agent of an association having
custody of |
those records or the examination of those records by a |
certified
public accountant engaged by the association to |
perform an independent
audit.
|
(2) The examination of any financial records by, or the |
furnishing of
financial records by an association to, any |
officer, employee, or agent of the
Commissioner of Banks |
and Real Estate or federal depository institution
|
regulator for use solely in the exercise
of
his duties as |
an officer, employee, or agent.
|
(3) The publication of data furnished from financial |
records
relating to members or holders of capital where the |
data cannot be
identified to any particular member, holder |
of capital, or account.
|
(4) The making of reports or returns required under |
Chapter 61 of
the Internal Revenue Code of 1986.
|
(5) Furnishing information concerning the dishonor of |
any negotiable
instrument permitted to be disclosed under |
the Uniform Commercial
Code.
|
(6) The exchange in the regular course of business of |
(i) credit
information between an association and other |
associations or financial
institutions or commercial |
|
enterprises, directly or through a consumer
reporting |
agency
or (ii) financial records or information derived |
from financial records
between an association and other |
associations or financial institutions or
commercial |
enterprises for the purpose of conducting due diligence |
pursuant to
a purchase or sale involving the association or |
assets or liabilities of the
association.
|
(7) The furnishing of information to the appropriate |
law enforcement
authorities where the association |
reasonably believes it has been the
victim of a crime.
|
(8) The furnishing of information pursuant to the |
Uniform Disposition
of Unclaimed Property Act.
|
(9) The furnishing of information pursuant to the |
Illinois Income Tax
Act and the Illinois Estate and |
Generation-Skipping Transfer Tax Act.
|
(10) The furnishing of information pursuant to the |
federal "Currency
and Foreign Transactions Reporting Act", |
(Title 31, United States
Code, Section 1051 et seq.).
|
(11) The furnishing of information pursuant to any |
other statute that
by its terms or by regulations |
promulgated thereunder requires the disclosure
of |
financial records other than by subpoena, summons, |
warrant, or court
order.
|
(12) The exchange of information between an |
association and an affiliate
of the association; as used in |
this item, "affiliate" includes any
company, partnership, |
|
or organization that controls, is controlled by, or is
|
under common control with an association.
|
(13) The furnishing of information
in accordance with |
the federal Personal Responsibility and Work Opportunity
|
Reconciliation Act of 1996. Any association governed by |
this Act shall enter
into an agreement for data
exchanges |
with a State agency provided the State agency
pays to the |
association a reasonable fee not to exceed its
actual cost |
incurred. An association
providing
information in |
accordance with this item shall not be liable to any |
account
holder or other person for any disclosure of |
information to a State agency, for
encumbering or |
surrendering any assets held by the association in response |
to a
lien
or order to withhold and deliver issued by a |
State agency, or for any other
action taken pursuant to |
this item, including individual or mechanical errors,
|
provided the action does not constitute gross negligence or |
willful misconduct.
An association shall have no |
obligation to hold, encumber, or surrender assets
until it |
has been served with a subpoena, summons, warrant, court or
|
administrative order, lien, or levy.
|
(14) The furnishing of information to law enforcement |
authorities, the
Illinois Department on
Aging and its |
regional administrative and provider agencies, the |
Department of
Human Services Office
of Inspector General, |
or public guardians: (i) upon subpoena by the investigatory |
|
entity or the guardian, or (ii) if there is suspicion by |
the association that a
customer who is an elderly or
|
disabled person has been or may become the victim of |
financial exploitation.
For the purposes of this
item (14), |
the term: (i) "elderly person" means a person who is 60 or |
more
years of age, (ii) "disabled
person" means a person |
who has or reasonably appears to the association to have
a |
physical or mental
disability that impairs his or her |
ability to seek or obtain protection from or
prevent |
financial
exploitation, and (iii) "financial exploitation" |
means tortious or illegal use
of the assets or resources of
|
an elderly or disabled person, and includes, without |
limitation,
misappropriation of the elderly or
disabled |
person's assets or resources by undue influence, breach of |
fiduciary
relationship, intimidation,
fraud, deception, |
extortion, or the use of assets or resources in any manner
|
contrary to law. An
association or person furnishing |
information pursuant to this item (14) shall
be entitled to |
the same
rights and protections as a person furnishing |
information under the Adult Protective Services Act and |
Elder Abuse
and Neglect Act, the
Illinois Domestic Violence |
Act of 1986 , and the Abuse of Adults with Disabilities |
Intervention Act .
|
(15) The disclosure of financial records or |
information as necessary to
effect, administer, or enforce |
a transaction requested or authorized by the
member or |
|
holder of capital, or in connection with:
|
(A) servicing or processing a financial product or |
service requested or
authorized by the member or holder |
of capital;
|
(B) maintaining or servicing an account of a member |
or holder of capital
with the association; or
|
(C) a proposed or actual securitization or |
secondary market sale
(including
sales of servicing |
rights) related to a transaction of
a member or holder |
of capital.
|
Nothing in this item (15), however, authorizes the sale |
of the financial
records or information of a member or |
holder of capital without the consent of
the member or |
holder of capital.
|
(16) The disclosure of financial records or |
information as necessary to
protect against or prevent |
actual or potential fraud, unauthorized
transactions, |
claims, or other liability.
|
(17)(a) The disclosure of financial records or |
information
related to a private label credit program |
between a financial
institution and a private label party |
in connection
with that private label credit program. Such |
information
is limited to outstanding balance, available |
credit, payment and
performance and account history, |
product references, purchase
information,
and information |
related to the identity of the
customer.
|
|
(b)(l) For purposes of this paragraph (17) of |
subsection
(c) of Section 3-8, a "private label credit |
program" means a
credit program involving a financial |
institution and a private label
party that is used by a |
customer of the financial institution and the
private label |
party primarily for payment for goods or services
sold, |
manufactured, or distributed by a private label party.
|
(2) For purposes of this paragraph (17) of subsection |
(c)
of Section 3-8, a "private label party" means, with |
respect to a
private label credit program, any of the |
following: a
retailer, a merchant, a manufacturer, a trade |
group,
or any such person's affiliate, subsidiary, member,
|
agent, or service provider.
|
(d) An association may not disclose to any person, except |
to the
member or holder of capital or his duly authorized |
agent, any financial
records relating to that member or holder |
of capital of that association
unless:
|
(1) The member or holder of capital has authorized |
disclosure to the
person; or
|
(2) The financial records are disclosed in response to |
a lawful
subpoena, summons, warrant, citation to discover |
assets, or court order that meets the
requirements of |
subsection (e) of this Section.
|
(e) An association shall disclose financial records under |
subsection
(d) of this Section pursuant to a lawful subpoena, |
summons,
warrant, citation to discover assets, or court order |
|
only after the association mails a copy of the
subpoena, |
summons, warrant, citation to discover assets, or court order |
to the person establishing
the relationship with the |
association, if living, and, otherwise, his
personal |
representative, if known, at his last known address by first |
class
mail, postage prepaid, unless the association is |
specifically prohibited
from notifying that person by order of |
court.
|
(f)(1) Any officer or employee of an association who |
knowingly and
willfully furnishes financial records in |
violation of this Section is
guilty of a business offense and, |
upon conviction, shall be fined not
more than $1,000.
|
(2) Any person who knowingly and willfully induces or |
attempts to
induce any officer or employee of an association to |
disclose financial
records in violation of this Section is |
guilty of a business offense
and, upon conviction, shall be |
fined not more than $1,000.
|
(g) However, if any member desires to communicate with the |
other
members of the association with reference to any question |
pending or to
be presented at a meeting of the members, the |
association shall give him
upon request a statement of the |
approximate number of members entitled
to vote at the meeting |
and an estimate of the cost of
preparing and mailing the |
communication. The requesting
member then shall submit the |
communication to the Commissioner who, if he
finds it to be |
appropriate and truthful, shall direct that it be prepared
and |
|
mailed to the members upon the requesting member's payment or
|
adequate provision for payment of the expenses of preparation |
and mailing.
|
(h) An association shall be reimbursed for costs that are |
necessary and
that have been directly incurred in searching |
for, reproducing, or
transporting books, papers, records, or |
other data of a customer required
to be reproduced pursuant to |
a lawful subpoena, warrant, citation to discover assets, or |
court order.
|
(Source: P.A. 94-495, eff. 8-8-05; 94-851, eff. 6-13-06; |
95-661, eff. 1-1-08.)
|
Section 70. The Savings Bank Act is amended by changing |
Section 4013 as follows:
|
(205 ILCS 205/4013) (from Ch. 17, par. 7304-13)
|
Sec. 4013. Access to books and records; communication with |
members
and shareholders. |
(a) Every member or shareholder shall have the right to |
inspect books
and records of the savings bank that pertain to |
his accounts. Otherwise,
the right of inspection and |
examination of the books and records shall be
limited as |
provided in this Act, and no other person shall have access to
|
the books and records nor shall be entitled to a list of the |
members or
shareholders.
|
(b) For the purpose of this Section, the term "financial |
|
records" means
any original, any copy, or any summary of (1) a |
document granting signature
authority over a deposit or |
account; (2) a statement, ledger card, or other
record on any |
deposit or account that shows each transaction in or with
|
respect to that account; (3) a check, draft, or money order |
drawn on a
savings bank or issued and payable by a savings |
bank; or (4) any other item
containing information pertaining |
to any relationship established in the
ordinary course of a |
savings bank's business between a savings bank and
its |
customer, including financial statements or other financial |
information
provided by the member or shareholder.
|
(c) This Section does not prohibit:
|
(1) The preparation examination, handling, or |
maintenance of any
financial records by any officer, |
employee, or agent of a savings bank
having custody of |
records or examination of records by a certified public
|
accountant engaged by the savings bank to perform an |
independent audit.
|
(2) The examination of any financial records by, or the |
furnishing of
financial records by a savings bank to, any |
officer, employee, or agent of
the Commissioner of Banks |
and Real Estate or the federal depository
institution |
regulator for use
solely in
the exercise of his duties as |
an officer, employee, or agent.
|
(3) The publication of data furnished from financial |
records relating
to members or holders of capital where the |
|
data cannot be identified to any
particular member, |
shareholder, or account.
|
(4) The making of reports or returns required under |
Chapter 61 of the
Internal Revenue Code of 1986.
|
(5) Furnishing information concerning the dishonor of |
any negotiable
instrument permitted to be disclosed under |
the Uniform Commercial Code.
|
(6) The exchange in the regular course of business of |
(i) credit
information between a savings bank and other |
savings banks or financial
institutions or commercial |
enterprises, directly or through a consumer
reporting |
agency
or (ii) financial records or information derived |
from financial records
between a savings bank and other |
savings banks or financial institutions or
commercial |
enterprises for the purpose of conducting due diligence |
pursuant to
a purchase or sale involving the savings bank |
or assets or liabilities of the
savings bank.
|
(7) The furnishing of information to the appropriate |
law enforcement
authorities where the savings bank |
reasonably believes it has been the
victim of a crime.
|
(8) The furnishing of information pursuant to the |
Uniform Disposition
of Unclaimed Property Act.
|
(9) The furnishing of information pursuant to the |
Illinois Income Tax
Act
and the Illinois Estate and |
Generation-Skipping Transfer Tax Act.
|
(10) The furnishing of information pursuant to the |
|
federal "Currency
and Foreign Transactions Reporting Act", |
(Title 31, United States Code,
Section 1051 et seq.).
|
(11) The furnishing of information pursuant to any |
other statute which
by its terms or by regulations |
promulgated thereunder requires the
disclosure of |
financial records other than by subpoena, summons, |
warrant, or
court order.
|
(12) The furnishing of information in accordance with |
the federal
Personal Responsibility and Work Opportunity |
Reconciliation Act of 1996.
Any savings bank governed by |
this Act shall enter into an agreement for data
exchanges |
with a State agency provided the State agency
pays to the |
savings bank a reasonable fee not to exceed its
actual cost |
incurred. A savings bank
providing
information in |
accordance with this item shall not be liable to any |
account
holder or other person for any disclosure of |
information to a State agency, for
encumbering or |
surrendering any assets held by the savings bank in |
response to
a lien
or order to withhold and deliver issued |
by a State agency, or for any other
action taken pursuant |
to this item, including individual or mechanical errors,
|
provided the action does not constitute gross negligence or |
willful misconduct.
A savings bank shall have no obligation |
to hold, encumber, or surrender
assets until
it has been |
served with a subpoena, summons, warrant, court or |
administrative
order,
lien, or levy.
|
|
(13) The furnishing of information to law enforcement |
authorities, the
Illinois Department on
Aging and its |
regional administrative and provider agencies, the |
Department of
Human Services Office
of Inspector General, |
or public guardians: (i) upon subpoena by the investigatory |
entity or the guardian, or (ii) if there is suspicion by |
the savings bank that a
customer who is an elderly
or |
disabled person has been or may become the victim of |
financial exploitation.
For the purposes of this
item (13), |
the term: (i) "elderly person" means a person who is 60 or |
more
years of age, (ii) "disabled
person" means a person |
who has or reasonably appears to the savings bank to
have a |
physical or mental
disability that impairs his or her |
ability to seek or obtain protection from or
prevent |
financial
exploitation, and (iii) "financial exploitation" |
means tortious or illegal use
of the assets or resources of
|
an elderly or disabled person, and includes, without |
limitation,
misappropriation of the elderly or
disabled |
person's assets or resources by undue influence, breach of |
fiduciary
relationship, intimidation,
fraud, deception, |
extortion, or the use of assets or resources in any manner
|
contrary to law. A savings
bank or person furnishing |
information pursuant to this item (13) shall be
entitled to |
the same rights and
protections as a person furnishing |
information under the Adult Protective Services Act and |
Elder Abuse and
Neglect Act, the Illinois
Domestic Violence |
|
Act of 1986 , and the Abuse of Adults with Disabilities |
Intervention Act .
|
(14) The disclosure of financial records or |
information as necessary to
effect, administer, or enforce |
a transaction requested or authorized by the
member or |
holder of capital, or in connection with:
|
(A) servicing or processing a financial product or |
service requested or
authorized by the member or holder |
of capital;
|
(B) maintaining or servicing an account of a member |
or holder of capital
with the savings bank; or
|
(C) a proposed or actual securitization or |
secondary market sale
(including sales of servicing |
rights) related to a
transaction of a member or holder |
of capital.
|
Nothing in this item (14), however, authorizes the sale |
of the financial
records or information of a member or |
holder of capital without the consent of
the member or |
holder of capital.
|
(15) The exchange in the regular course of business of |
information between
a
savings bank and any commonly owned |
affiliate of the savings bank, subject to
the provisions of |
the Financial Institutions Insurance Sales Law.
|
(16) The disclosure of financial records or |
information as necessary to
protect against or prevent |
actual or potential fraud, unauthorized
transactions, |
|
claims, or other liability.
|
(17)(a) The disclosure of financial records or |
information
related to a private label credit program |
between a financial
institution and a private label party |
in connection
with that private label credit program. Such |
information
is limited to outstanding balance, available |
credit, payment and
performance and account history, |
product references, purchase
information,
and information |
related to the identity of the
customer.
|
(b)(l) For purposes of this paragraph (17) of |
subsection
(c) of Section 4013, a "private label credit |
program" means a
credit program involving a financial |
institution and a private label
party that is used by a |
customer of the financial institution and the
private label |
party primarily for payment for goods or services
sold, |
manufactured, or distributed by a private label party.
|
(2) For purposes of this paragraph (17) of subsection |
(c)
of Section 4013, a "private label party" means, with |
respect to a
private label credit program, any of the |
following: a
retailer, a merchant, a manufacturer, a trade |
group,
or any such person's affiliate, subsidiary, member,
|
agent, or service provider.
|
(d) A savings bank may not disclose to any person, except |
to the member
or holder of capital or his duly authorized |
agent, any financial records
relating to that member or |
shareholder of the savings bank unless:
|
|
(1) the member or shareholder has authorized |
disclosure to the person; or
|
(2) the financial records are disclosed in response to |
a lawful
subpoena, summons, warrant, citation to discover |
assets, or court order that meets the requirements of
|
subsection (e) of this Section.
|
(e) A savings bank shall disclose financial records under |
subsection (d)
of this Section pursuant to a lawful subpoena, |
summons, warrant, citation to discover assets, or court
order |
only after the savings bank mails a copy of the subpoena, |
summons,
warrant, citation to discover assets, or court order |
to the person establishing the relationship with
the savings |
bank, if living, and otherwise, his personal representative, if
|
known, at his last known address by first class mail, postage |
prepaid,
unless the savings bank is specifically prohibited |
from notifying the
person by order of court.
|
(f) Any officer or employee of a savings bank who knowingly |
and
willfully furnishes financial records in violation of this |
Section is
guilty of a business offense and, upon conviction, |
shall be fined not
more than $1,000.
|
(g) Any person who knowingly and willfully induces or |
attempts to
induce any officer or employee of a savings bank to |
disclose financial
records in violation of this Section is |
guilty of a business offense and,
upon conviction, shall be |
fined not more than $1,000.
|
(h) If any member or shareholder desires to communicate |
|
with the other
members or shareholders of the savings bank with |
reference to any question
pending or to be presented at an |
annual or special meeting, the savings
bank shall give that |
person, upon request, a statement of the approximate
number of |
members or shareholders entitled to vote at the meeting and an
|
estimate of the cost of preparing and mailing the |
communication. The
requesting member shall submit the |
communication to the Commissioner
who, upon finding it to be |
appropriate and truthful, shall direct that it
be prepared and |
mailed to the members upon the requesting member's or
|
shareholder's payment or adequate provision for payment of the |
expenses of
preparation and mailing.
|
(i) A savings bank shall be reimbursed for costs that are |
necessary and
that have been directly incurred in searching |
for, reproducing, or
transporting books, papers, records, or |
other data of a customer required
to be reproduced pursuant to |
a lawful subpoena, warrant, citation to discover assets, or |
court order.
|
(j) Notwithstanding the provisions of this Section, a |
savings bank may
sell or otherwise make use of lists of |
customers' names and addresses. All
other information |
regarding a customer's account are subject to the
disclosure |
provisions of this Section. At the request of any customer,
|
that customer's name and address shall be deleted from any list |
that is to
be sold or used in any other manner beyond |
identification of the customer's
accounts.
|
|
(Source: P.A. 94-495, eff. 8-8-05; 94-851, eff. 6-13-06; |
95-661, eff. 1-1-08.)
|
Section 75. The Illinois Credit Union Act is amended by |
changing Section 10 as follows:
|
(205 ILCS 305/10) (from Ch. 17, par. 4411)
|
Sec. 10. Credit union records; member financial records.
|
(1) A credit union shall establish and maintain books, |
records, accounting
systems and procedures which accurately |
reflect its operations and which
enable the Department to |
readily ascertain the true financial condition
of the credit |
union and whether it is complying with this Act.
|
(2) A photostatic or photographic reproduction of any |
credit union records
shall be admissible as evidence of |
transactions with the credit union.
|
(3)(a) For the purpose of this Section, the term "financial |
records"
means any original, any copy, or any summary of (1) a |
document granting
signature authority over an account, (2) a |
statement, ledger card or other
record on any account which |
shows each transaction in or with respect to
that account, (3) |
a check, draft or money order drawn on a financial
institution |
or other entity or issued and payable by or through a financial
|
institution or other entity, or (4) any other item containing |
information
pertaining to any relationship established in the |
ordinary course of
business between a credit union and its |
|
member, including financial
statements or other financial |
information provided by the member.
|
(b) This Section does not prohibit:
|
(1) The preparation, examination, handling or |
maintenance of any
financial records by any officer, |
employee or agent of a credit union
having custody of such |
records, or the examination of such records by a
certified |
public accountant engaged by the credit union to perform an
|
independent audit.
|
(2) The examination of any financial records by or the |
furnishing of
financial records by a credit union to any |
officer, employee or agent of
the Department, the National |
Credit Union Administration, Federal Reserve
board or any |
insurer of share accounts for use solely in the exercise of
|
his duties as an officer, employee or agent.
|
(3) The publication of data furnished from financial |
records relating
to members where the data cannot be |
identified to any particular customer
of account.
|
(4) The making of reports or returns required under |
Chapter 61 of the
Internal Revenue Code of 1954.
|
(5) Furnishing information concerning the dishonor of |
any negotiable
instrument permitted to be disclosed under |
the Uniform Commercial
Code.
|
(6) The exchange in the regular course of business
of |
(i) credit information
between a credit union and other |
credit unions or financial institutions
or commercial |
|
enterprises, directly or through a consumer reporting |
agency
or (ii) financial records or information derived |
from financial records
between a credit union and other |
credit unions or financial institutions or
commercial |
enterprises for
the purpose of conducting due diligence |
pursuant to a merger or a purchase or
sale of assets or |
liabilities of the credit union.
|
(7) The furnishing of information to the appropriate |
law enforcement
authorities where the credit union |
reasonably believes it has been the victim
of a crime.
|
(8) The furnishing of information pursuant to the |
Uniform Disposition
of Unclaimed Property Act.
|
(9) The furnishing of information pursuant to the |
Illinois Income Tax
Act and the Illinois Estate and |
Generation-Skipping Transfer Tax Act.
|
(10) The furnishing of information pursuant to the |
federal "Currency
and Foreign Transactions Reporting Act", |
Title 31, United States Code,
Section 1051 et sequentia.
|
(11) The furnishing of information pursuant to any |
other statute which
by its terms or by regulations |
promulgated thereunder requires the disclosure
of |
financial records other than by subpoena, summons, warrant |
or court order.
|
(12) The furnishing of information in accordance with |
the federal
Personal Responsibility and Work Opportunity |
Reconciliation Act of 1996.
Any credit union governed by |
|
this Act shall enter into an agreement for data
exchanges |
with a State agency provided the State agency
pays to the |
credit union a reasonable fee not to exceed its
actual cost |
incurred. A credit union
providing
information in |
accordance with this item shall not be liable to any |
account
holder or other person for any disclosure of |
information to a State agency, for
encumbering or |
surrendering any assets held by the credit union in |
response to
a lien
or order to withhold and deliver issued |
by a State agency, or for any other
action taken pursuant |
to this item, including individual or mechanical errors,
|
provided the action does not constitute gross negligence or |
willful misconduct.
A credit union shall have no obligation |
to hold, encumber, or surrender
assets until
it has been |
served with a subpoena, summons, warrant, court or |
administrative
order, lien, or levy.
|
(13) The furnishing of information to law enforcement |
authorities, the
Illinois Department on
Aging and its |
regional administrative and provider agencies, the |
Department of
Human Services Office
of Inspector General, |
or public guardians: (i) upon subpoena by the investigatory |
entity or the guardian, or (ii) if there is suspicion by |
the credit union that a
member who is an elderly or
|
disabled person has been or may become the victim of |
financial exploitation.
For the purposes of this
item (13), |
the term: (i) "elderly person" means a person who is 60 or |
|
more
years of age, (ii) "disabled
person" means a person |
who has or reasonably appears to the credit union to
have a |
physical or mental
disability that impairs his or her |
ability to seek or obtain protection from or
prevent |
financial
exploitation, and (iii) "financial exploitation" |
means tortious or illegal use
of the assets or resources of
|
an elderly or disabled person, and includes, without |
limitation,
misappropriation of the elderly or
disabled |
person's assets or resources by undue influence, breach of |
fiduciary
relationship, intimidation,
fraud, deception, |
extortion, or the use of assets or resources in any manner
|
contrary to law. A credit
union or person furnishing |
information pursuant to this item (13) shall be
entitled to |
the same rights and
protections as a person furnishing |
information under the Adult Protective Services Act and |
Elder Abuse and
Neglect Act, the Illinois
Domestic Violence |
Act of 1986 , and the Abuse of Adults with Disabilities |
Intervention Act .
|
(14) The disclosure of financial records or |
information as necessary
to
effect, administer, or enforce |
a transaction requested or authorized by the
member, or in |
connection with:
|
(A) servicing or processing a financial product or |
service requested
or
authorized by the member;
|
(B) maintaining or servicing a member's account |
with the credit union;
or
|
|
(C) a proposed or actual securitization or |
secondary market sale
(including sales of servicing |
rights) related to a
transaction of a member.
|
Nothing in this item (14), however, authorizes the sale |
of the financial
records or information of a member without |
the consent of the member.
|
(15) The disclosure of financial records or |
information as necessary to
protect against or prevent |
actual or potential fraud, unauthorized
transactions, |
claims, or other liability.
|
(16)(a) The disclosure of financial records or |
information
related to a private label credit program |
between a financial
institution and a private label party |
in connection
with that private label credit program. Such |
information
is limited to outstanding balance, available |
credit, payment and
performance and account history, |
product references, purchase
information,
and information |
related to the identity of the
customer.
|
(b)(l) For purposes of this paragraph (16) of |
subsection
(b) of Section 10, a "private label credit |
program" means a credit
program involving a financial |
institution and a private label party
that is used by a |
customer of the financial institution and the
private label |
party primarily for payment for goods or services
sold, |
manufactured, or distributed by a private label party.
|
(2) For purposes of this paragraph (16) of subsection |
|
(b)
of Section 10, a "private label party" means, with |
respect to a
private label credit program, any of the |
following: a
retailer, a merchant, a manufacturer, a trade |
group,
or any such person's affiliate, subsidiary, member,
|
agent, or service provider.
|
(c) Except as otherwise provided by this Act, a credit |
union may not
disclose to any person, except to the member
or |
his duly authorized agent, any financial records relating to |
that member
of the credit union unless:
|
(1) the member has authorized disclosure to the person;
|
(2) the financial records are disclosed in response to |
a lawful
subpoena,
summons, warrant, citation to discover |
assets, or court order that meets the requirements of |
subparagraph
(d) of this Section; or
|
(3) the credit union is attempting to collect an |
obligation owed to
the credit union and the credit union |
complies with the provisions of
Section 2I of the Consumer |
Fraud and Deceptive Business Practices Act.
|
(d) A credit union shall disclose financial records under |
subparagraph
(c)(2) of this Section pursuant to a lawful |
subpoena, summons, warrant, citation to discover assets, or
|
court order only after the credit union mails a copy of the |
subpoena, summons,
warrant, citation to discover assets, or |
court order to the person establishing the relationship with
|
the credit union, if living, and otherwise his personal |
representative,
if known, at his last known address by first |
|
class mail, postage prepaid
unless the credit union is |
specifically prohibited from notifying the person
by order of |
court or by applicable State or federal law. In the case
of a |
grand jury subpoena, a credit union shall not mail a copy of a |
subpoena
to any person pursuant to this subsection if the |
subpoena was issued by a grand
jury under the Statewide Grand |
Jury Act or notifying the
person would constitute a violation |
of the federal Right to Financial
Privacy Act of 1978.
|
(e)(1) Any officer or employee of a credit union who |
knowingly and
wilfully furnishes financial records in |
violation of this Section is guilty of
a business offense and |
upon conviction thereof shall be fined not more than
$1,000.
|
(2) Any person who knowingly and wilfully induces or |
attempts to induce
any officer or employee of a credit union to |
disclose financial records
in violation of this Section is |
guilty of a business offense and upon
conviction thereof shall |
be fined not more than $1,000.
|
(f) A credit union shall be reimbursed for costs which are |
reasonably
necessary and which have been directly incurred in |
searching for,
reproducing or transporting books, papers, |
records or other data of a
member required or requested to be |
produced pursuant to a lawful subpoena,
summons, warrant, |
citation to discover assets, or court order. The Secretary and |
the Director may determine, by rule, the
rates and
conditions |
under which payment shall be made. Delivery of requested |
documents
may be delayed until final reimbursement of all costs |
|
is received.
|
(Source: P.A. 97-133, eff. 1-1-12.)
|
Section 80. The Home Health, Home Services, and Home |
Nursing Agency Licensing Act is amended by changing Sections |
6.3 and 6.7 as follows: |
(210 ILCS 55/6.3) |
Sec. 6.3. Home services agencies; standards; fees. |
(a) Before January 1, 2008, the Department shall adopt |
standards for the licensure and operation of home services |
agencies operated in this State. The structure of the standards |
shall be based on the concept of home services and its focus on |
assistance with activities of daily living, housekeeping, |
personal laundry, and companionship being provided to an |
individual intended to enable that individual to remain safely |
and comfortably in his or her own personal residence. As home |
services do not include services that would be required to be |
performed by an individual licensed under the Nurse Practice |
Act, the standards shall be developed from a similar concept. |
After consideration and recommendations by the Home Health and |
Home Services Advisory Committee, the Department shall adopt |
such rules and regulations as are necessary for the proper |
regulation of home services agencies. Requirements for |
licensure as a home services agency shall include the |
following: |
|
(1) Compliance with the requirements of the Health Care |
Worker Background Check Act. |
(2) Notification, in a form and manner established by |
the Department by rule, to home services workers and |
consumers as to the party or parties responsible under |
State and federal laws for payment of employment taxes, |
social security taxes, and workers' compensation, |
liability, the day-to-day supervision of workers, and the |
hiring, firing, and discipline of workers with the |
placement arrangement for home services. |
(3) Compliance with rules, as adopted by the |
Department, in regard to (i) reporting by the licensee of |
any known or suspected incidences of abuse, neglect, or |
financial exploitation of an eligible adult, as defined in |
the Adult Protective Services Act Elder Abuse and Neglect |
Act , by a home services worker employed by or placed by the |
licensee or (ii) reports to a law enforcement agency in |
connection with any other individual protected under the |
laws of the State of Illinois. |
(4) Compliance with rules, as adopted by the |
Department, addressing the health, safety, and well-being |
of clients receiving home services. |
(b) The Department may establish fees for home services |
agency licensure in rules in a manner that will make the |
program self-supporting. The amount of the licensure fees shall |
be based on the funding required for operation of the licensure |
|
program. Notwithstanding any other provision of this Section, |
the Department may not charge any fee to a certified local |
health department in connection with the licensure of a home |
services agency.
|
(Source: P.A. 95-639, eff. 10-5-07; 96-577, eff. 8-18-09.) |
(210 ILCS 55/6.7) |
Sec. 6.7. Home nursing agencies; standards; fees. |
(a) Before January 1, 2008, the Department shall adopt |
standards for the licensure and operation of home nursing |
agencies operated in this State. After consideration and |
recommendations by the Home Health and Home Services Advisory |
Committee, the Department shall adopt such rules as are |
necessary for the proper regulation of home nursing agencies. |
Requirements for licensure as a home nursing agency shall |
include the following: |
(1) Compliance with the requirements of the Health Care |
Worker Background Check Act. |
(2) Notification, in a form and manner established by |
the Department by rule, to home nursing agency workers and |
consumers as to the party or parties responsible under |
State and federal laws for payment of employment taxes, |
social security taxes, and workers' compensation, |
liability, the day-to-day supervision of workers, and the |
hiring, firing, and discipline of workers with the |
placement arrangement for home nursing services. |
|
(3) Compliance with rules, as adopted by the |
Department, in regard to (i) reporting by the licensee of |
any known or suspected incidences of abuse, neglect, or |
financial exploitation of an eligible adult, as defined in |
the Adult Protective Services Act Elder Abuse and Neglect |
Act , by a home nursing care worker employed by or placed by |
the licensee or (ii) reports to a law enforcement agency in |
connection with any other individual protected under the |
laws of the State of Illinois. |
(4) Compliance with rules, as adopted by the |
Department, addressing the health, safety, and well-being |
of clients receiving home nursing services. |
(b) The Department may establish fees for home nursing |
agency licensure in rules in a manner that will make the |
program self-supporting. The amount of the licensure fees shall |
be based on the funding required for the operation of the |
licensure program. Notwithstanding any other provision of this |
Section, the Department may not charge any fee to a certified |
local health department in connection with the licensure of a |
home nursing agency.
|
(Source: P.A. 96-577, eff. 8-18-09.) |
Section 85. The Clinical Social Work and Social Work |
Practice Act is amended by changing Section 16 as follows:
|
(225 ILCS 20/16) (from Ch. 111, par. 6366)
|
|
(Section scheduled to be repealed on January 1, 2018)
|
Sec. 16. Privileged Communications and Exceptions.
|
1. No licensed clinical social worker or licensed social |
worker shall
disclose any information acquired from persons |
consulting the social worker
in a professional capacity, except |
that which may be voluntarily disclosed
under the following |
circumstances:
|
(a) In the course of formally reporting, conferring or |
consulting with
administrative superiors, colleagues or |
consultants who share professional
responsibility, |
including a professional responsibility to maintain |
confidentiality, in which instance all recipients of such |
information are
similarly bound to regard the |
communication as privileged;
|
(b) With the written consent of the person who provided |
the information;
|
(c) In case of death or disability, with the written |
consent of a
personal representative, other person |
authorized to sue, or the beneficiary
of an insurance |
policy on the person's life, health or physical condition;
|
(d) When a communication reveals the intended |
commission of a crime or
harmful act and such disclosure is |
judged necessary by the licensed
clinical social worker or |
licensed social worker to protect any person from
a clear, |
imminent risk of serious mental or physical harm or injury, |
or to
forestall a serious threat to the public safety;
|
|
(e) When the person waives the privilege by bringing |
any public charges
against the licensee; or
|
(f) When the information is acquired during the course |
of investigating a
report or working on a case of elder |
abuse, neglect, or financial exploitation , or self-neglect |
of an eligible adult
by a designated adult protective |
services agency Elder Abuse Provider Agency and disclosure |
of the information
is
in accordance with the provisions of |
Section 8 of the Adult Protective Services Act Elder Abuse |
and Neglect
Act .
|
2. When the person is a minor under the laws of the State |
of Illinois
and the information acquired by the licensed |
clinical social worker or
licensed social worker indicates the |
minor was
the victim or subject of a crime, the licensed |
clinical social worker or
licensed social worker may be |
required to testify
in any judicial proceedings in which the |
commission of that crime is the
subject of inquiry and when, |
after in camera review of the information that
the licensed |
clinical social worker or licensed social worker acquired,
the |
court determines that the interests of the
minor in having the |
information held privileged are outweighed by the
requirements |
of justice, the need to protect the public safety or the need
|
to protect the minor, except as provided under the Abused and |
Neglected
Child Reporting Act.
|
3. Any person having access to records or any one who |
participates in
providing social work services or who, in |
|
providing any human services,
is supervised by a licensed |
clinical social worker or licensed social
worker, is similarly |
bound to regard all information
and communications as |
privileged in accord with this Section.
|
4. Nothing shall be construed to prohibit a licensed
|
clinical social worker or licensed social worker from
|
voluntarily testifying in court hearings concerning matters of |
adoption, child
abuse, child neglect or other matters |
pertaining to children,
except as provided under the Abused and |
Neglected Child Reporting Act.
|
5. The Mental Health and Developmental Disabilities |
Confidentiality
Act, as now or hereafter amended, is |
incorporated herein as if all of its
provisions were included |
in this Act.
|
(Source: P.A. 96-71, eff. 7-23-09.)
|
Section 90. The Respiratory Care Practice Act is amended by |
changing Section 95 as follows:
|
(225 ILCS 106/95)
|
(Section scheduled to be repealed on January 1, 2016)
|
Sec. 95. Grounds for discipline.
|
(a) The Department may refuse to issue, renew, or may |
revoke, suspend, place
on probation, reprimand, or take other |
disciplinary action as the Department
considers appropriate, |
including the issuance of fines not to exceed $5,000 for
each |
|
violation, with regard to any license for any one or more of |
the
following:
|
(1) Material misstatement in furnishing information to |
the Department or
to any other State or federal agency.
|
(2) Violations of this Act, or any
of its rules.
|
(3) Conviction of any crime under the laws of the |
United States or any
state or territory thereof that is a |
felony or a misdemeanor, an essential
element of which is |
dishonesty, or of any crime that is directly related to the
|
practice of the profession.
|
(4) Making any misrepresentation for the purpose of |
obtaining a license.
|
(5) Professional incompetence or negligence in the |
rendering of
respiratory care services.
|
(6) Malpractice.
|
(7) Aiding or assisting another person in violating any |
rules or
provisions of this Act.
|
(8) Failing to provide information within 60 days in |
response to a written
request made by the Department.
|
(9) Engaging in dishonorable, unethical, or |
unprofessional conduct of a
character likely to deceive, |
defraud, or harm the public.
|
(10) Violating the rules of professional conduct |
adopted by the
Department.
|
(11) Discipline by another jurisdiction, if at least |
one of the grounds
for the discipline is the same or |
|
substantially equivalent to those set forth
in this Act.
|
(12) Directly or indirectly giving to or receiving from |
any person, firm,
corporation, partnership, or association |
any fee, commission, rebate, or other
form of compensation |
for any professional services not actually rendered. |
Nothing in this paragraph (12) affects any bona fide |
independent contractor or employment arrangements among |
health care professionals, health facilities, health care |
providers, or other entities, except as otherwise |
prohibited by law. Any employment arrangements may include |
provisions for compensation, health insurance, pension, or |
other employment benefits for the provision of services |
within the scope of the licensee's practice under this Act. |
Nothing in this paragraph (12) shall be construed to |
require an employment arrangement to receive professional |
fees for services rendered.
|
(13) A finding by the Department that the licensee, |
after having the
license placed on probationary status, has |
violated the terms of the probation.
|
(14) Abandonment of a patient.
|
(15) Willfully filing false reports relating to a |
licensee's practice
including, but not limited to, false |
records filed with a federal or State
agency or department.
|
(16) Willfully failing to report an instance of |
suspected child abuse or
neglect as required by the Abused |
and Neglected Child Reporting Act.
|
|
(17) Providing respiratory care, other than pursuant |
to an order.
|
(18) Physical or mental disability
including, but not |
limited to, deterioration through
the aging process or loss |
of motor skills that results in the inability to
practice |
the profession with reasonable judgment, skill, or safety.
|
(19) Solicitation of professional services by using |
false or misleading
advertising.
|
(20) Failure to file a tax return, or to pay the tax, |
penalty, or interest
shown in a filed return, or to pay any |
final assessment of tax penalty, or
interest, as required |
by any tax Act administered by the Illinois Department of
|
Revenue or any successor agency or the Internal Revenue |
Service or
any
successor agency.
|
(21) Irregularities in billing a third party for |
services rendered or in
reporting charges for services not |
rendered.
|
(22) Being named as a perpetrator in an indicated |
report by the Department
of Children and Family Services |
under the Abused and Neglected Child Reporting
Act, and |
upon proof by clear and convincing evidence that the |
licensee has
caused a child to be an abused child or |
neglected child as defined in the
Abused and Neglected |
Child Reporting Act.
|
(23) Habitual or excessive use or addiction to alcohol, |
narcotics,
stimulants, or any other chemical agent or drug |
|
that results in an inability to
practice with reasonable |
skill, judgment, or safety.
|
(24) Being named as a perpetrator in an indicated |
report by the
Department on Aging under the Adult |
Protective Services Act Elder Abuse and Neglect Act , and |
upon proof by
clear and convincing evidence that the |
licensee has caused an adult with disabilities or an older |
adult elderly person to
be abused or neglected as defined |
in the Adult Protective Services Act Elder Abuse and |
Neglect Act .
|
(25) Willfully failing to report an instance of |
suspected elder abuse , or
neglect , financial exploitation, |
or self-neglect of an adult with disabilities or an older |
adult as required by the Adult Protective Services Act |
Elder Abuse and Neglect Act .
|
(b) The determination by a court that a licensee is subject |
to involuntary
admission or judicial admission as provided in |
the Mental Health and
Developmental Disabilities Code will |
result in an automatic suspension of his
or
her license. The |
suspension will end upon a finding by a court that the
licensee |
is no
longer subject to involuntary admission or judicial |
admission, the issuance
of an order so finding and discharging |
the patient, and the recommendation of
the Board to the |
Director that the licensee be allowed to resume his or her
|
practice.
|
(Source: P.A. 96-1482, eff. 11-29-10.)
|
|
Section 95. The Professional Counselor and Clinical |
Professional Counselor Licensing and Practice Act is amended by |
changing Sections 75 and 80 as follows:
|
(225 ILCS 107/75)
|
(Section scheduled to be repealed on January 1, 2023)
|
Sec. 75. Privileged communications and exceptions.
|
(a) No licensed professional counselor or licensed |
clinical professional
counselor shall disclose any information |
acquired from persons consulting
the counselor in a |
professional capacity, except that which may be
voluntarily |
disclosed under the following circumstances:
|
(1) In the course of formally reporting, conferring, or |
consulting with
administrative superiors, colleagues, or |
consultants who share professional
responsibility, in |
which instance all recipients of the information are
|
similarly bound to regard the communication as privileged;
|
(2) With the written consent of the person who provided |
the information;
|
(3) In the case of death or disability, with the |
written consent of a
personal representative, other person |
authorized to sue, or the beneficiary
of an insurance |
policy on the person's life, health or physical condition;
|
(4) When a communication reveals the intended |
commission of a crime or
harmful act and such disclosure is |
|
judged necessary by the licensed
professional counselor or |
licensed clinical professional counselor to
protect any |
person from a clear, imminent risk of serious mental or
|
physical harm or injury, or to forestall a serious threat |
to the public safety; or
|
(5) When the person waives the privilege by bringing |
any public charges
against the licensee.
|
(b) When the person is a minor under the laws of the State |
of Illinois
and the information acquired by the licensed |
professional counselor or
licensed clinical professional |
counselor indicates the minor was the victim
or subject of a |
crime, the licensed professional counselor or licensed
|
clinical professional counselor may be required to testify in |
any judicial
proceedings in which the commission of that crime |
is the subject of inquiry
when, after in camera review of the |
information that the licensed
professional counselor or |
licensed clinical professional counselor
acquired, the court |
determines that the interests of the minor in having
the |
information held privileged are outweighed by the requirements |
of
justice, the need to protect the public safety or the need |
to protect the
minor, except as provided under the Abused and |
Neglected Child Reporting Act.
|
(c) Any person having access to records or anyone who |
participates in
providing professional counseling or clinical |
professional counseling
services, or, in providing any human |
services, is supervised by a
licensed professional counselor or |
|
licensed clinical professional
counselor, is similarly bound |
to regard all information and communications
as privileged in |
accord with this Section.
|
(d) Nothing in this Act shall be construed to prohibit a |
licensed
professional counselor or licensed clinical |
professional counselor from voluntarily
testifying in court |
hearings concerning matters of adoption, child abuse,
child |
neglect or other matters pertaining to children, except as |
provided
under the Abused and Neglected Child Reporting Act and |
matters pertaining to adults with disabilities and older adults |
elders as set forth in the Adult Protective Services Act Elder |
Abuse and Neglect Act .
|
(e) The Mental Health and Developmental Disabilities |
Confidentiality Act is
incorporated herein as if all of its |
provisions were included in this Act.
In the event of a |
conflict between the application of this Section and the
Mental |
Health and Developmental Disabilities Confidentiality Act to a |
specific
situation, the provisions of the Mental Health and |
Developmental Disabilities
Confidentiality Act shall control.
|
(f) Licensed professional counselors and licensed clinical |
professional counselors when performing professional |
counseling services or clinical professional counseling |
services shall comply with counselor licensure rules and laws |
contained in this Section and Section 80 of this Act regardless |
of their employment or work setting. |
(Source: P.A. 97-706, eff. 6-25-12.)
|
|
(225 ILCS 107/80)
|
(Section scheduled to be repealed on January 1, 2023)
|
Sec. 80. Grounds for discipline. |
(a) The Department may refuse to issue, renew, or may |
revoke, suspend, place
on probation, reprimand, or take other |
disciplinary or non-disciplinary action as the Department
|
deems appropriate, including the issuance of fines not to |
exceed $10,000 for each
violation, with regard to any license |
for any one or more of the following:
|
(1) Material misstatement in furnishing information to |
the
Department or to any other State agency.
|
(2) Violations or negligent or intentional disregard |
of this Act or rules adopted under this Act.
|
(3) Conviction by plea of guilty or nolo contendere, |
finding of guilt, jury verdict, or entry of judgment or by |
sentencing of any crime, including, but not limited to, |
convictions, preceding sentences of supervision, |
conditional discharge, or first offender probation, under |
the laws of any jurisdiction of the United States: (i) that |
is a felony or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related |
to the practice of the profession.
|
(4) Fraud or any misrepresentation in applying for or |
procuring a license under this Act or in connection with |
applying for renewal of a license under this Act.
|
|
(5) Professional incompetence or gross negligence in |
the rendering of
professional counseling or clinical |
professional counseling services.
|
(6) Malpractice.
|
(7) Aiding or assisting another person in violating any |
provision of
this Act or any rules.
|
(8) Failing to provide information within 60 days in |
response to a
written request made by the Department.
|
(9) Engaging in dishonorable, unethical, or |
unprofessional conduct of a
character likely to deceive, |
defraud, or harm the public and violating the
rules of |
professional conduct adopted by the Department.
|
(10) Habitual or excessive use or abuse of drugs as |
defined in law as controlled substances, alcohol, or any |
other substance which results in inability
to practice with |
reasonable skill, judgment, or safety.
|
(11) Discipline by another jurisdiction, the District |
of Columbia, territory, county, or governmental agency, if |
at least one of the grounds
for the discipline is the same |
or substantially equivalent to those set
forth in this |
Section.
|
(12) Directly or indirectly giving to or receiving from |
any person, firm,
corporation, partnership, or association |
any fee, commission, rebate or
other form of compensation |
for any professional service not actually rendered. |
Nothing in this paragraph (12) affects any bona fide |
|
independent contractor or employment arrangements among |
health care professionals, health facilities, health care |
providers, or other entities, except as otherwise |
prohibited by law. Any employment arrangements may include |
provisions for compensation, health insurance, pension, or |
other employment benefits for the provision of services |
within the scope of the licensee's practice under this Act. |
Nothing in this paragraph (12) shall be construed to |
require an employment arrangement to receive professional |
fees for services rendered.
|
(13) A finding by the Board that the licensee, after |
having the license
placed on probationary status, has |
violated the terms of probation.
|
(14) Abandonment of a client.
|
(15) Willfully filing false reports relating to a |
licensee's practice,
including but not limited to false |
records filed with federal or State
agencies or |
departments.
|
(16) Willfully failing to report an instance of |
suspected child abuse or
neglect as required by the Abused |
and Neglected Child Reporting Act and in matters pertaining |
to elders or suspected elder abuse , neglect, financial |
exploitation, or self-neglect of adults with disabilities |
and older adults as set forth in the Adult Protective |
Services Act Elder Abuse and Neglect Act .
|
(17) Being named as a perpetrator in an indicated |
|
report by the
Department of Children and Family Services |
pursuant to the Abused and
Neglected Child Reporting Act, |
and upon proof by clear and convincing
evidence that the |
licensee has caused a child to be an abused child or
|
neglected child as defined in the Abused and Neglected |
Child Reporting Act.
|
(18) Physical or mental illness or disability, |
including, but not limited to, deterioration through the
|
aging process or loss of abilities and skills which results |
in the inability to
practice the profession with reasonable |
judgment, skill, or safety.
|
(19) Solicitation of professional services by using |
false or misleading
advertising.
|
(20) Allowing one's license under this Act to be used |
by an unlicensed person in violation of this Act.
|
(21) A finding that licensure has been applied for or |
obtained
by fraudulent means.
|
(22) Practicing under a false or, except as provided by |
law, an assumed name.
|
(23) Gross and willful overcharging for professional |
services including filing
statements for collection of |
fees or monies for which services are not
rendered.
|
(24) Rendering professional counseling or clinical |
professional
counseling
services without a license or |
practicing outside the scope of a license.
|
(25) Clinical supervisors failing to adequately and |
|
responsibly monitor
supervisees.
|
All fines imposed under this Section shall be paid within |
60 days after the effective date of the order imposing the |
fine. |
(b) The Department shall deny, without hearing, any |
application or
renewal for a license under this Act to any |
person who has defaulted on an
educational loan guaranteed by |
the Illinois State Assistance Commission or any governmental |
agency of this State in accordance with item (5) of subsection |
(a) of Section 2105-15 of the Department of Professional |
Regulation Law of the Civil Administrative Code of Illinois.
|
(b-5) The Department may refuse to issue or may suspend |
without hearing, as provided for in the Code of Civil |
Procedure, the license of any person who fails to file a |
return, pay the tax, penalty, or interest shown in a filed |
return, or pay any final assessment of the tax, penalty, or |
interest as required by any tax Act administered by the |
Illinois Department of Revenue, until such time as the |
requirements of any such tax Act are satisfied in accordance |
with subsection (g) of Section 2105-15 of the Department of |
Professional Regulation Law of the Civil Administrative Code of |
Illinois. |
(b-10) In cases where the Department of Healthcare and |
Family Services has previously determined a licensee or a |
potential licensee is more than 30 days delinquent in the |
payment of child support and has subsequently certified the |
|
delinquency to the Department, the Department may refuse to |
issue or renew or may revoke or suspend that person's license |
or may take other disciplinary action against that person based |
solely upon the certification of delinquency made by the |
Department of Healthcare and Family Services in accordance with |
item (5) of subsection (a) of Section 2105-15 of the Department |
of Professional Regulation Law of the Civil Administrative Code |
of Illinois. |
(c) The determination by a court that a licensee is subject |
to
involuntary admission or judicial admission as provided in |
the Mental
Health and Developmental Disabilities Code will |
result in an automatic
suspension of his or her license. The |
suspension will end upon a finding by a
court that the licensee |
is no longer subject to involuntary admission or
judicial |
admission, the issuance of an order so finding and discharging |
the
patient, and the recommendation of the Board to the |
Secretary that the licensee
be allowed to resume professional |
practice.
|
(c-5) In enforcing this Act, the Department, upon a showing |
of a possible violation, may compel an individual licensed to |
practice under this Act, or who has applied for licensure under |
this Act, to submit to a mental or physical examination, or |
both, as required by and at the expense of the Department. The |
Department may order the examining physician to present |
testimony concerning the mental or physical examination of the |
licensee or applicant. No information shall be excluded by |
|
reason of any common law or statutory privilege relating to |
communications between the licensee or applicant and the |
examining physician. The examining physicians shall be |
specifically designated by the Department. The individual to be |
examined may have, at his or her own expense, another physician |
of his or her choice present during all aspects of this |
examination. The examination shall be performed by a physician |
licensed to practice medicine in all its branches. Failure of |
an individual to submit to a mental or physical examination, |
when directed, shall result in an automatic suspension without |
hearing. |
A person holding a license under this Act or who has |
applied for a license under this Act who, because of a physical |
or mental illness or disability, including, but not limited to, |
deterioration through the aging process or loss of motor skill, |
is unable to practice the profession with reasonable judgment, |
skill, or safety, may be required by the Department to submit |
to care, counseling, or treatment by physicians approved or |
designated by the Department as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice. Submission to care, counseling, or treatment as |
required by the Department shall not be considered discipline |
of a license. If the licensee refuses to enter into a care, |
counseling, or treatment agreement or fails to abide by the |
terms of the agreement, the Department may file a complaint to |
revoke, suspend, or otherwise discipline the license of the |
|
individual. The Secretary may order the license suspended |
immediately, pending a hearing by the Department. Fines shall |
not be assessed in disciplinary actions involving physical or |
mental illness or impairment. |
In instances in which the Secretary immediately suspends a |
person's license under this Section, a hearing on that person's |
license must be convened by the Department within 15 days after |
the suspension and completed without appreciable delay. The |
Department shall have the authority to review the subject |
individual's record of treatment and counseling regarding the |
impairment to the extent permitted by applicable federal |
statutes and regulations safeguarding the confidentiality of |
medical records. |
An individual licensed under this Act and affected under |
this Section shall be afforded an opportunity to demonstrate to |
the Department that he or she can resume practice in compliance |
with acceptable and prevailing standards under the provisions |
of his or her license. |
(d) (Blank).
|
(Source: P.A. 96-1482, eff. 11-29-10; 97-706, eff. 6-25-12.)
|
Section 100. The Elder Abuse and Neglect Act is amended by |
changing the title of the Act and by changing Sections 1, 2, 3, |
3.5, 4, 4.1, 5, 8, 9, and 15 and by adding Sections 7.1, 7.5, |
and 15.5 as follows:
|
|
(320 ILCS 20/Act title)
|
An Act in relation to adult protective services the abuse |
and neglect of elderly persons .
|
(320 ILCS 20/1) (from Ch. 23, par. 6601)
|
Sec. 1. Short title. This Act shall be known and may be |
cited as the
Adult Protective Services Act "Elder Abuse and |
Neglect Act" .
|
(Source: P.A. 85-1184.)
|
(320 ILCS 20/2) (from Ch. 23, par. 6602)
|
Sec. 2. Definitions. As used in this Act, unless the |
context
requires otherwise:
|
(a) "Abuse" means causing any physical, mental or sexual |
injury to an
eligible adult, including exploitation of such |
adult's financial resources.
|
Nothing in this Act shall be construed to mean that an |
eligible adult is a
victim of abuse, neglect, or self-neglect |
for the sole reason that he or she is being
furnished with or |
relies upon treatment by spiritual means through prayer
alone, |
in accordance with the tenets and practices of a recognized |
church
or religious denomination.
|
Nothing in this Act shall be construed to mean that an |
eligible adult is a
victim of abuse because of health care |
services provided or not provided by
licensed health care |
professionals.
|
|
(a-5) "Abuser" means a person who abuses, neglects, or |
financially
exploits an eligible adult.
|
(a-6) "Adult with disabilities" means a person aged 18 |
through 59 who resides in a domestic living situation and whose |
disability impairs his or her ability to seek or obtain |
protection from abuse, neglect, or exploitation. |
(a-7) "Caregiver" means a person who either as a result of |
a family
relationship, voluntarily, or in exchange for |
compensation has assumed
responsibility for all or a portion of |
the care of an eligible adult who needs
assistance with |
activities of daily
living.
|
(b) "Department" means the Department on Aging of the State |
of Illinois.
|
(c) "Director" means the Director of the Department.
|
(c-5) "Disability" means a physical or mental disability, |
including, but not limited to, a developmental disability, an |
intellectual disability, a mental illness as defined under the |
Mental Health and Developmental Disabilities Code, or dementia |
as defined under the Alzheimer's Disease Assistance Act. |
(d) "Domestic living situation" means a residence where the |
eligible
adult at the time of the report lives alone or with |
his or her family or a caregiver, or others,
or a board and |
care home or other community-based unlicensed facility, but
is |
not:
|
(1) A licensed facility as defined in Section 1-113 of |
the Nursing Home
Care Act;
|
|
(1.5) A facility licensed under the ID/DD Community |
Care Act; |
(1.7) A facility licensed under the Specialized Mental |
Health Rehabilitation Act;
|
(2) A "life care facility" as defined in the Life Care |
Facilities Act;
|
(3) A home, institution, or other place operated by the |
federal
government or agency thereof or by the State of |
Illinois;
|
(4) A hospital, sanitarium, or other institution, the |
principal activity
or business of which is the diagnosis, |
care, and treatment of human illness
through the |
maintenance and operation of organized facilities |
therefor,
which is required to be licensed under the |
Hospital Licensing Act;
|
(5) A "community living facility" as defined in the |
Community Living
Facilities Licensing Act;
|
(6) (Blank);
|
(7) A "community-integrated living arrangement" as |
defined in
the Community-Integrated Living Arrangements |
Licensure and Certification Act or a "community |
residential alternative" as licensed under that Act ;
|
(8) An assisted living or shared housing establishment |
as defined in the Assisted Living and Shared Housing Act; |
or
|
(9) A supportive living facility as described in |
|
Section 5-5.01a of the Illinois Public Aid Code.
|
(e) "Eligible adult" means either an adult with |
disabilities aged 18 through 59 or a person aged 60 years of |
age or older who
resides in a domestic living situation and is, |
or is alleged
to be, abused, neglected, or financially |
exploited by another individual or who neglects himself or |
herself.
|
(f) "Emergency" means a situation in which an eligible |
adult is living
in conditions presenting a risk of death or |
physical, mental or sexual
injury and the provider agency has |
reason to believe the eligible adult is
unable to
consent to |
services which would alleviate that risk.
|
(f-1) "Financial exploitation" means the use of an eligible |
adult's resources by another to the disadvantage of that adult |
or the profit or advantage of a person other than that adult. |
(f-5) "Mandated reporter" means any of the following |
persons
while engaged in carrying out their professional |
duties:
|
(1) a professional or professional's delegate while |
engaged in: (i) social
services, (ii) law enforcement, |
(iii) education, (iv) the care of an eligible
adult or |
eligible adults, or (v) any of the occupations required to |
be licensed
under
the Clinical Psychologist Licensing Act, |
the Clinical Social Work and Social
Work Practice Act, the |
Illinois Dental Practice Act, the Dietitian Nutritionist |
Practice Act, the Marriage and Family Therapy Licensing |
|
Act, the
Medical Practice Act of 1987, the Naprapathic |
Practice Act, the
Nurse Practice Act, the Nursing Home
|
Administrators Licensing and
Disciplinary Act, the |
Illinois Occupational Therapy Practice Act, the Illinois
|
Optometric Practice Act of 1987, the Pharmacy Practice Act, |
the
Illinois Physical Therapy Act, the Physician Assistant |
Practice Act of 1987,
the Podiatric Medical Practice Act of |
1987, the Respiratory Care Practice
Act,
the Professional |
Counselor and
Clinical Professional Counselor Licensing |
and Practice Act, the Illinois Speech-Language
Pathology |
and Audiology Practice Act, the Veterinary Medicine and |
Surgery
Practice Act of 2004, and the Illinois Public |
Accounting Act;
|
(1.5) an employee of an entity providing developmental |
disabilities services or service coordination funded by |
the Department of Human Services;
|
(2) an employee of a vocational rehabilitation |
facility prescribed or
supervised by the Department of |
Human Services;
|
(3) an administrator, employee, or person providing |
services in or through
an unlicensed community based |
facility;
|
(4) any religious practitioner who provides treatment |
by prayer or spiritual means alone in accordance with the |
tenets and practices of a recognized church or religious |
denomination, except as to information received in any |
|
confession or sacred communication enjoined by the |
discipline of the religious denomination to be held |
confidential;
|
(5) field personnel of the Department of Healthcare and |
Family Services, Department of Public
Health, and |
Department of Human Services, and any county or
municipal |
health department;
|
(6) personnel of the Department of Human Services, the |
Guardianship and
Advocacy Commission, the State Fire |
Marshal, local fire departments, the
Department on Aging |
and its subsidiary Area Agencies on Aging and provider
|
agencies, and the Office of State Long Term Care Ombudsman;
|
(7) any employee of the State of Illinois not otherwise |
specified herein
who is involved in providing services to |
eligible adults, including
professionals providing medical |
or rehabilitation services and all
other persons having |
direct contact with eligible adults;
|
(8) a person who performs the duties of a coroner
or |
medical examiner; or
|
(9) a person who performs the duties of a paramedic or |
an emergency
medical
technician.
|
(g) "Neglect" means
another individual's failure to |
provide an eligible
adult with or willful withholding from an |
eligible adult the necessities of
life including, but not |
limited to, food, clothing, shelter or health care.
This |
subsection does not create any new affirmative duty to provide |
|
support to
eligible adults. Nothing in this Act shall be |
construed to mean that an
eligible adult is a victim of neglect |
because of health care services provided
or not provided by |
licensed health care professionals.
|
(h) "Provider agency" means any public or nonprofit agency |
in a planning
and service area appointed by the regional |
administrative agency with prior
approval by the Department on |
Aging to receive and assess reports of
alleged or suspected |
abuse, neglect, or financial exploitation. A provider agency is |
also referenced as a "designated agency" in this Act.
|
(i) "Regional administrative agency" means any public or |
nonprofit
agency in a planning and service area so designated |
by the Department,
provided that the designated Area Agency on |
Aging shall be designated the
regional administrative agency if |
it so requests.
The Department shall assume the functions of |
the regional administrative
agency for any planning and service |
area where another agency is not so
designated.
|
(i-5) "Self-neglect" means a condition that is the result |
of an eligible adult's inability, due to physical or mental |
impairments, or both, or a diminished capacity, to perform |
essential self-care tasks that substantially threaten his or |
her own health, including: providing essential food, clothing, |
shelter, and health care; and obtaining goods and services |
necessary to maintain physical health, mental health, |
emotional well-being, and general safety. The term includes |
compulsive hoarding, which is characterized by the acquisition |
|
and retention of large quantities of items and materials that |
produce an extensively cluttered living space, which |
significantly impairs the performance of essential self-care |
tasks or otherwise substantially threatens life or safety.
|
(j) "Substantiated case" means a reported case of alleged |
or suspected
abuse, neglect, financial exploitation, or |
self-neglect in which a provider agency,
after assessment, |
determines that there is reason to believe abuse,
neglect, or |
financial exploitation has occurred.
|
(Source: P.A. 96-339, eff. 7-1-10; 96-526, eff. 1-1-10; 96-572, |
eff. 1-1-10; 96-1000, eff. 7-2-10; 97-38, eff. 6-28-11; 97-227, |
eff. 1-1-12; 97-300, eff. 8-11-11; 97-706, eff. 6-25-12; |
97-813, eff. 7-13-12; 97-1141, eff. 12-28-12.)
|
(320 ILCS 20/3) (from Ch. 23, par. 6603)
|
Sec. 3. Responsibilities.
|
(a) The Department shall establish,
design , and manage a |
protective services program of response and services for |
eligible adults persons 60 years
of age and
older who have |
been, or are alleged to be, victims of abuse, neglect, |
financial exploitation, or self-neglect. The Department
shall |
contract with or fund , or , contract with and fund, regional
|
administrative
agencies, provider
agencies, or both, for the |
provision of those
functions, and, contingent on adequate |
funding, with attorneys or legal
services provider agencies for |
the
provision of legal assistance pursuant to this Act. For |
|
self-neglect, the The program shall include the following |
services for eligible adults who have been removed from their |
residences for the purpose of cleanup or repairs: temporary |
housing; counseling; and caseworker services to try to ensure |
that the conditions necessitating the removal do not reoccur.
|
(a-1) The Department shall by rule develop standards for |
minimum staffing levels and staff qualifications. The |
Department shall by rule establish mandatory standards for the |
investigation of abuse, neglect, financial exploitation, or |
self-neglect of eligible adults and mandatory procedures for |
linking eligible adults to appropriate services and supports. |
(a-5) A provider agency shall, in accordance with rules |
promulgated by the Department, establish a multi-disciplinary |
team to act in an advisory role for the purpose of providing |
professional knowledge and expertise in the handling of complex |
abuse cases involving eligible adults. Each multi-disciplinary |
team shall consist of one volunteer representative from the |
following professions: banking or finance; disability care; |
health care; law; law enforcement; mental health care; and |
clergy. A provider agency may also choose to add |
representatives from the fields of substance abuse, domestic |
violence, sexual assault, or other related fields. To support |
multi-disciplinary teams in this role, law enforcement |
agencies and coroners or medical examiners shall supply records |
as may be requested in particular cases. |
(b) Each regional administrative agency shall designate |
|
provider
agencies within its planning and service area with |
prior approval by the
Department on Aging, monitor the use of |
services, provide technical
assistance to the provider |
agencies and be involved in program development
activities.
|
(c) Provider agencies shall assist, to the extent possible, |
eligible
adults who need agency
services to allow them to |
continue to function independently. Such
assistance shall |
include , but not be limited to , receiving reports of alleged
or |
suspected abuse, neglect, financial exploitation,
or |
self-neglect, conducting face-to-face assessments of
such |
reported cases, determination of substantiated cases, referral |
of
substantiated cases for necessary support services,
|
referral of criminal conduct to law enforcement in accordance |
with Department
guidelines,
and provision of case
work and |
follow-up services on substantiated cases. In the case of a |
report of alleged or suspected abuse or neglect that places an |
eligible adult at risk of injury or death, a provider agency |
shall respond to the report on an emergency basis in accordance |
with guidelines established by the Department by |
administrative rule and shall ensure that it is capable of |
responding to such a report 24 hours per day, 7 days per week. |
A provider agency may use an on-call system to respond to |
reports of alleged or suspected abuse or neglect after hours |
and on weekends.
|
(c-5) Where a provider agency has reason to believe that |
the death of an eligible adult may be the result of abuse or |
|
neglect, including any reports made after death, the agency |
shall immediately report the matter to both the appropriate law |
enforcement agency and the coroner or medical examiner. Between |
30 and 45 days after making such a report, the provider agency |
again shall contact the law enforcement agency and coroner or |
medical examiner to determine whether any further action was |
taken. Upon request by a provider agency, a law enforcement |
agency and coroner or medical examiner shall supply a summary |
of its action in response to a reported death of an eligible |
adult. A copy of the report shall be maintained and all |
subsequent follow-up with the law enforcement agency and |
coroner or medical examiner shall be documented in the case |
record of the eligible adult. |
(d) Upon sufficient appropriations to implement a |
statewide program, the Department shall implement a program, |
based on the recommendations of the Elder Self-Neglect Steering |
Committee, for (i) responding to reports of possible |
self-neglect, (ii) protecting the autonomy, rights, privacy, |
and privileges of adults during investigations of possible |
self-neglect and consequential judicial proceedings regarding |
competency, (iii) collecting and sharing relevant information |
and data among the Department, provider agencies, regional |
administrative agencies, and relevant seniors, (iv) developing |
working agreements between provider agencies and law |
enforcement, where practicable, and (v) developing procedures |
for collecting data regarding incidents of self-neglect.
|
|
(Source: P.A. 95-76, eff. 6-1-08; 96-526, eff. 1-1-10; 96-572, |
eff. 1-1-10; 96-1000, eff. 7-2-10.)
|
(320 ILCS 20/3.5) |
Sec. 3.5. Other Responsibilities. The Department shall |
also be
responsible for the following activities, contingent |
upon adequate funding ; implementation shall be expanded to |
adults with disabilities upon the effective date of this |
amendatory Act of the 98th General Assembly, except those |
responsibilities under subsection (a), which shall be |
undertaken as soon as practicable : |
(a) promotion of a wide range of endeavors for the purpose |
of preventing
elder abuse, neglect, financial exploitation, |
and self-neglect in both domestic and
institutional settings , |
including, but not limited to, promotion of public
and |
professional education to increase awareness of elder abuse, |
neglect,
financial exploitation, and self-neglect ; , to |
increase reports ; to establish access to and use of the Health |
Care Worker Registry; , and to improve response by
various |
legal, financial, social, and health systems; |
(b) coordination of efforts with other agencies, councils, |
and like
entities, to include but not be limited to, the |
Administrative Office of the Illinois Courts, the Office of the |
Attorney General,
the State Police, the Illinois Law |
Enforcement Training Standards
Board, the State Triad, the |
Illinois Criminal Justice Information
Authority, the
|
|
Departments of Public Health, Healthcare and Family Services, |
Public Aid, and Human Services, the Illinois Guardianship and |
Advocacy Commission, the Family
Violence Coordinating Council, |
the Illinois Violence Prevention Authority,
and other
entities |
which may impact awareness of, and response to, elder abuse, |
neglect,
financial exploitation, and self-neglect; |
(c) collection and analysis of data; |
(d) monitoring of the performance of regional |
administrative agencies and adult protective services
elder |
abuse provider agencies; |
(e) promotion of prevention activities; |
(f) establishing and coordinating an aggressive training |
program on the unique
nature of adult elder abuse cases with |
other agencies, councils, and like entities,
to include but not |
be limited to the Office of the Attorney General, the
State |
Police, the Illinois Law Enforcement Training Standards Board, |
the
State Triad, the Illinois Criminal Justice Information |
Authority, the State
Departments of Public Health, Healthcare |
and Family Services Public Aid , and Human Services, the Family
|
Violence Coordinating Council, the Illinois Violence |
Prevention Authority,
the agency designated by the Governor |
under Section 1 of the Protection and Advocacy for |
Developmentally Disabled Persons Act, and other entities that |
may impact awareness of and response to elder
abuse, neglect, |
financial exploitation, and self-neglect; |
(g) solicitation of financial institutions for the purpose |
|
of making
information available to the general public warning |
of financial exploitation
of adults the elderly and related |
financial fraud or abuse, including such
information and |
warnings available through signage or other written
materials |
provided by the Department on the premises of such financial
|
institutions, provided that the manner of displaying or |
distributing such
information is subject to the sole discretion |
of each financial institution;
|
(g-1) developing by joint rulemaking with the Department of |
Financial and Professional Regulation minimum training |
standards which shall be used by financial institutions for |
their current and new employees with direct customer contact; |
the Department of Financial and Professional Regulation shall |
retain sole visitation and enforcement authority under this |
subsection (g-1); the Department of Financial and Professional |
Regulation shall provide bi-annual reports to the Department |
setting forth aggregate statistics on the training programs |
required under this subsection (g-1); and |
(h) coordinating efforts with utility and electric |
companies to send
notices in utility bills to
explain to |
persons 60 years of age or older
their rights regarding |
telemarketing and home repair fraud. |
(Source: P.A. 96-1103, eff. 7-19-10.)
|
(320 ILCS 20/4) (from Ch. 23, par. 6604)
|
Sec. 4. Reports of abuse or neglect.
|
|
(a) Any person who suspects the abuse,
neglect,
financial |
exploitation, or self-neglect of an eligible adult may
report
|
this suspicion to an agency designated to receive such
reports |
under this Act or to the Department.
|
(a-5) If any mandated reporter has reason to believe that |
an eligible
adult,
who because of a disability or other |
condition or impairment dysfunction is unable to seek |
assistance for himself or herself,
has, within the previous 12 |
months, been subjected to abuse, neglect, or
financial |
exploitation, the mandated reporter shall, within 24 hours |
after
developing
such belief, report this suspicion to an |
agency designated to receive such
reports under this Act or
to |
the Department. The agency designated to receive such reports |
under this Act or the Department may establish a manner in |
which a mandated reporter can make the required report through |
an Internet reporting tool. Information sent and received |
through the Internet reporting tool is subject to the same |
rules in this Act as other types of confidential reporting |
established by the designated agency or the Department. |
Whenever a mandated reporter
is required to report under this |
Act in his or her capacity as a member of
the staff of a medical |
or other public or private institution, facility,
board and |
care home, or agency, he or she shall make a report
to an |
agency designated to receive such
reports under this Act or
to |
the Department in accordance
with the provisions of this Act |
and may also notify the person in charge of
the institution, |
|
facility, board and care home, or agency or his or her
|
designated agent that the
report has been made. Under no |
circumstances shall any person in charge of
such institution, |
facility, board and care home, or agency, or his or her
|
designated agent to whom
the notification has been made, |
exercise any control, restraint,
modification, or other change |
in the report or the forwarding of the report
to an agency |
designated to receive such
reports under this Act or
to the |
Department. The privileged quality of communication between |
any
professional
person required to report
and his or her |
patient or client shall not apply to situations involving
|
abused, neglected, or financially exploited eligible adults |
and shall not
constitute
grounds for failure to
report
as |
required by this Act.
|
(a-7) A person making a report
under this Act in the belief |
that it is in the alleged victim's best
interest shall be |
immune from criminal or civil liability or professional
|
disciplinary action on account of making the report, |
notwithstanding any
requirements concerning the |
confidentiality of information with respect to
such eligible |
adult which might otherwise be applicable.
|
(a-9) Law enforcement officers
shall continue to report |
incidents of alleged abuse pursuant to the
Illinois Domestic |
Violence Act of 1986, notwithstanding any requirements
under |
this Act.
|
(b) Any person, institution or agency participating in the |
|
making of
a report, providing
information or records related to |
a report, assessment, or services, or
participating in the |
investigation of a report under
this Act in good faith, or |
taking photographs or x-rays as a result of an
authorized |
assessment, shall have immunity from any civil, criminal or
|
other liability in any civil, criminal or other proceeding |
brought in
consequence of making such report or assessment or |
on account of submitting
or otherwise disclosing such |
photographs or x-rays to any agency designated
to receive |
reports of alleged or suspected abuse or neglect. Any person,
|
institution or agency authorized by the Department to provide |
assessment,
intervention, or administrative services under |
this Act shall, in the good
faith performance of those |
services, have immunity from any civil, criminal
or other |
liability in any civil, criminal, or other proceeding brought |
as a
consequence of the performance of those services.
For the |
purposes of any civil, criminal, or other proceeding, the good |
faith
of any person required to report, permitted to report, or |
participating in an
investigation of a report of alleged or |
suspected abuse, neglect,
financial exploitation, or |
self-neglect shall be
presumed.
|
(c) The identity of a person making a report of alleged or |
suspected
abuse, neglect, financial exploitation, or |
self-neglect under this Act may be disclosed by the Department
|
or other agency provided for in this Act only with such |
person's written
consent or by court order , but is otherwise |
|
confidential .
|
(d) The Department shall by rule establish a system for |
filing and
compiling reports made under this Act.
|
(e) Any physician who willfully fails to report as required |
by this Act
shall be referred to the Illinois State Medical |
Disciplinary Board for action
in accordance with subdivision |
(A)(22) of Section 22 of the Medical Practice
Act of 1987. Any |
dentist or dental hygienist who willfully fails to report as
|
required by this Act shall be referred to the Department of |
Professional
Regulation for action in accordance with |
paragraph 19 of Section 23 of the
Illinois Dental Practice Act. |
Any optometrist who willfully fails to report as required by |
this Act shall be referred to the Department of Financial and |
Professional Regulation for action in accordance with |
paragraph (15) of subsection (a) of Section 24 of the Illinois |
Optometric Practice Act of 1987. Any other mandated reporter |
required by
this Act to report suspected abuse, neglect, or |
financial exploitation who
willfully fails to report the same |
is guilty of a Class A misdemeanor.
|
(Source: P.A. 96-378, eff. 1-1-10; 96-526, eff. 1-1-10; |
96-1000, eff. 7-2-10; 97-860, eff. 7-30-12.)
|
(320 ILCS 20/4.1)
|
Sec. 4.1. Employer discrimination. No employer shall |
discharge,
demote or suspend, or threaten to discharge, demote |
or suspend, or in any
manner discriminate against any employee |
|
who makes any good faith oral or
written report of suspected |
elder abuse, neglect, or financial exploitation or
who is or |
will be a
witness or testify in any investigation or proceeding |
concerning a report
of suspected elder abuse, neglect, or |
financial exploitation.
|
(Source: P.A. 90-628, eff. 1-1-99.)
|
(320 ILCS 20/5) (from Ch. 23, par. 6605)
|
Sec. 5. Procedure.
|
(a) A provider agency designated to receive reports
of |
alleged or suspected abuse, neglect, financial
exploitation, |
or self-neglect under
this Act shall, upon
receiving such a |
report, conduct a face-to-face assessment with respect to
such |
report, in accord with established law and Department |
protocols, procedures, and policies. Face-to-face assessments, |
casework, and follow-up of reports of self-neglect by the |
provider agencies designated to receive reports of |
self-neglect shall be subject to sufficient appropriation for |
statewide implementation of assessments, casework, and |
follow-up of reports of self-neglect. In the absence of |
sufficient appropriation for statewide implementation of |
assessments, casework, and follow-up of reports of |
self-neglect, the designated adult protective services elder |
abuse provider agency shall refer all reports of self-neglect |
to the appropriate agency or agencies as designated by the |
Department for any follow-up. The assessment shall include, but |
|
not be limited to, a visit
to the residence of the eligible |
adult who is the subject of the report and
may include |
interviews or consultations with service agencies or
|
individuals who may have knowledge of the eligible adult's |
circumstances.
If, after the assessment, the provider agency |
determines that the case is
substantiated it shall develop a |
service care plan for the eligible adult and may report its |
findings to the appropriate law enforcement agency in accord |
with established law and Department protocols, procedures, and |
policies.
In developing a case the plan, the provider agency |
may consult with any other
appropriate provider of services, |
and such providers shall be immune from
civil or criminal |
liability on account of such acts. The plan shall
include |
alternative suggested or recommended
services which are |
appropriate to the needs of the eligible adult and which
|
involve the least restriction of the eligible adult's |
activities
commensurate with his or her needs. Only those |
services to which consent
is
provided in accordance with |
Section 9 of this Act shall be provided,
contingent upon the |
availability of such services.
|
(b) A provider agency shall refer evidence of crimes |
against an eligible
adult to the appropriate law enforcement |
agency according to Department
policies. A referral to law |
enforcement may be made at intake or any time
during the case. |
Where a provider agency has reason to believe the death of an
|
eligible adult may be the result of abuse or neglect, the |
|
agency shall
immediately report the matter to the coroner or |
medical examiner and shall
cooperate fully with any subsequent |
investigation. |
(c) If any person other than the alleged victim refuses to |
allow the provider agency to begin
an investigation, interferes |
with the provider agency's ability to
conduct an investigation, |
or refuses to give access to an eligible
adult, the appropriate |
law enforcement agency must be consulted regarding the |
investigation.
|
(Source: P.A. 94-1064, eff. 1-1-07.)
|
(320 ILCS 20/7.1 new) |
Sec. 7.1. Final investigative report. A provider agency |
shall prepare a final investigative report, upon the completion |
or closure of an investigation, in all cases of reported abuse, |
neglect, financial exploitation, or self-neglect of an |
eligible adult, whether or not there is a substantiated |
finding. |
(320 ILCS 20/7.5 new) |
Sec. 7.5. Health Care Worker Registry. |
(a) Reporting to the registry. The Department on Aging |
shall report to the Department of Public Health's Health Care |
Worker Registry the identity and administrative finding of a |
verified and substantiated decision of abuse, neglect, or |
financial exploitation of an eligible adult under this Act that |
|
is made against any caregiver, including consultants and |
volunteers, employed by a provider licensed, certified, or |
regulated by, or paid with public funds from, the Department of |
Public Health, Healthcare and Family Services, or Human |
Services, or the Department on Aging. For uncompensated or |
privately paid caregivers, the Department on Aging shall report |
only a verified and substantiated decision of significant |
abuse, neglect, or financial exploitation of an eligible adult |
under this Act. An administrative finding placed in the |
registry shall preclude any caregiver from providing direct |
access or other services, including consulting and |
volunteering, in a position with a provider that is licensed, |
certified, or regulated by, or paid with public funds from or |
on behalf of, the State of Illinois or any Department thereof, |
that permits the caregiver direct access to an adult aged 60 or |
older or an adult, over 18, with a disability or to that |
individual's living quarters or personal, financial, or |
medical records. |
(b) Definitions. As used in this Section: |
"Direct care" includes, but is not limited to, direct |
access to an individual, his or her living quarters, or his or |
her personal, financial, or medical records for the purpose of |
providing nursing care or assistance with feeding, dressing, |
movement, bathing, toileting, other personal needs and |
activities of daily living, or assistance with financial |
transactions. |
|
"Privately paid caregiver" means any caregiver who has been |
paid with resources other than public funds, regardless of |
licensure, certification, or regulation by the State of |
Illinois and any Department thereof. A privately paid caregiver |
does not include any caregiver that has been licensed, |
certified, or regulated by a State agency, or paid with public |
funds. |
"Significant" means a finding of abuse, neglect, or |
financial exploitation as determined by the Department that (i) |
represents a meaningful failure to adequately provide for, or a |
material indifference to, the financial, health, safety, or |
medical needs of an eligible adult or (ii) results in an |
eligible adult's death or other serious deterioration of an |
eligible adult's financial resources, physical condition, or |
mental condition. |
"Uncompensated caregiver" means a caregiver who, in an |
informal capacity, assists an eligible adult with activities of |
daily living, financial transactions, or chore housekeeping |
type duties. "Uncompensated caregiver" does not refer to an |
individual serving in a formal capacity as a volunteer with a |
provider licensed, certified, or regulated by a State agency. |
(c) Access to and use of the Registry. Access to the |
registry shall be limited to licensed, certified, or regulated |
providers by the Department of Public Health, Healthcare and |
Family Service, or Human Services, or the Department on Aging. |
The State of Illinois, any Department thereof, or a provider |
|
licensed, certified, or regulated, or paid with public funds |
by, from, or on behalf of the Department of Public Health, |
Healthcare and Family Services, or Human Services, or the |
Department on Aging, shall not hire or compensate any person |
seeking employment, retain any contractors, or accept any |
volunteers to provide direct care without first conducting an |
online check of the person through the Department of Public |
Health's Health Care Worker Registry. The provider shall |
maintain a copy of the results of the online check to |
demonstrate compliance with this requirement. The provider is |
prohibited from hiring, compensating, or accepting a person, |
including as a consultant or volunteer, for whom the online |
check reveals a verified and substantiated claim of abuse, |
neglect, or financial exploitation, to provide direct access to |
any adult aged 60 or older or any adult, over 18, with a |
disability. Additionally, a provider is prohibited from |
retaining a person for whom they gain knowledge of a verified |
and substantiated claim of abuse, neglect, or financial |
exploitation in a position that permits the caregiver direct |
access to provide direct care to any adult aged 60 or older or |
any adult, over 18, with a disability or direct access to that |
individual's living quarters or personal, financial, or |
medical records. Failure to comply with this requirement may |
subject such a provider to corrective action by the appropriate |
regulatory agency or other lawful remedies provided under the |
applicable licensure, certification, or regulatory laws and |
|
rules. |
(d) Notice to caregiver. The Department on Aging shall
|
establish rules concerning notice to the caregiver in cases of |
abuse, neglect, or financial exploitation. |
(e) Notification to eligible adults, guardians, or agents. |
As part of its investigation, the Department on Aging shall |
notify an eligible adult, or an eligible adult's guardian or |
agent, that a caregiver's name may be placed on the registry |
based on a finding as described in subsection (a-1) of this |
Section. |
(f) Notification to employer. A provider licensed, |
certified, or regulated by the Department of Public Health, |
Healthcare and Family Services, or Human Services, or the |
Department on Aging shall be notified of an administrative |
finding against any caregiver who is an employee, consultant, |
or volunteer of a verified and substantiated decision of abuse, |
neglect, or financial exploitation of an eligible adult under |
this Act. If there is an imminent risk of danger to the |
eligible adult or an imminent risk of misuse of personal, |
medical, or financial information, the caregiver shall |
immediately be barred from direct access to the eligible adult, |
his or her living quarters, or his or her personal, financial, |
or medical records, pending the outcome of any challenge, |
criminal prosecution, or other type of collateral action. |
(g) Caregiver challenges. The Department on Aging
shall |
establish, by rule, procedures concerning caregiver |
|
challenges. |
(h) Caregiver's rights to collateral action. The |
Department on Aging shall not make any report to the registry |
if a caregiver notifies the Department in writing, including |
any supporting documentation, that he or she is formally |
challenging an adverse employment action resulting from a |
verified and substantiated finding of abuse, neglect, or |
financial exploitation by complaint filed with the Illinois |
Civil Service Commission, or by another means which seeks to |
enforce the caregiver's rights pursuant to any applicable |
collective bargaining agreement. If an action taken by an |
employer against a caregiver as a result of a finding of abuse, |
neglect, or financial exploitation is overturned through an |
action filed with the Illinois Civil Service Commission or |
under any applicable collective bargaining agreement after |
that caregiver's name has already been sent to the registry, |
the caregiver's name shall be removed from the registry. |
(i) Removal from registry. At any time after a report to |
the registry, but no more than once in each successive 3-year |
period thereafter, for a maximum of 3 such requests, a |
caregiver may write to the Director of the Department on Aging |
to request removal of his or her name from the registry in |
relationship to a single incident. The caregiver shall bear the |
burden of showing cause that establishes, by a preponderance of |
the evidence, that removal of his or her name from the registry |
is in the public interest. Upon receiving such a request, the |
|
Department on Aging shall conduct an investigation and consider |
any evidentiary material provided. The Department shall issue a |
decision either granting or denying removal within 60 calendar |
days, and shall issue such decision to the caregiver and the |
registry. The waiver process at the Department of Public Health |
does not apply to registry reports from the Department on |
Aging. The Department on Aging shall establish standards for |
the removal of a name from the registry by rule. |
(j) Referral of registry reports to health care facilities. |
In the event an eligible adult receiving services from a |
provider agency changes his or her residence from a domestic |
living situation to that of a health care facility, the |
provider agency shall use reasonable efforts to promptly inform |
the health care facility and the appropriate Regional Long Term |
Care Ombudsman about any registry reports relating to the |
eligible adult. For purposes of this Section, a health care |
facility includes, but is not limited to, any residential |
facility licensed, certified, or regulated by the Department of |
Public Health, Healthcare and Family Services, or Human |
Services.
|
(320 ILCS 20/8) (from Ch. 23, par. 6608)
|
Sec. 8. Access to records. All records concerning reports |
of elder abuse,
neglect, financial exploitation, or |
self-neglect and all records generated as a result of
such |
reports shall be confidential and shall not be disclosed except |
|
as
specifically authorized by this Act or other applicable law. |
In accord with established law and Department protocols, |
procedures, and policies, access to such
records, but not |
access to the identity of the person or persons making a
report |
of alleged abuse, neglect,
financial exploitation, or |
self-neglect as contained in
such records, shall be provided, |
upon request, to the following persons and for the following
|
persons:
|
(1) Department staff, provider agency staff, other |
aging network staff, and
regional administrative agency |
staff, including staff of the Chicago Department on Aging |
while that agency is designated as a regional |
administrative agency, in the furtherance of their
|
responsibilities under this Act;
|
(2) A law enforcement agency investigating known or |
suspected
elder abuse, neglect, financial exploitation, or |
self-neglect. Where a provider
agency has reason to believe |
that the
death of an eligible adult may be the result of |
abuse or neglect, including any reports made after death, |
the agency
shall immediately provide the appropriate law |
enforcement agency with all
records pertaining to the |
eligible adult;
|
(2.5) A law enforcement agency, fire department |
agency, or fire protection district having proper |
jurisdiction pursuant to a written agreement between a |
provider agency and the law enforcement agency, fire |
|
department agency, or fire protection district under which |
the provider agency may furnish to the law enforcement |
agency, fire department agency, or fire protection |
district a list of all eligible adults who may be at |
imminent risk of elder abuse, neglect, financial |
exploitation, or self-neglect; |
(3) A physician who has before him or her or who is |
involved
in the treatment of an eligible adult whom he or |
she reasonably suspects
may be abused, neglected, |
financially exploited, or self-neglected or who has been
|
referred to the Adult Protective Services Elder Abuse and |
Neglect Program;
|
(4) An eligible adult reported to be abused,
neglected,
|
financially exploited, or self-neglected, or such adult's |
authorized guardian or agent, unless such
guardian or agent |
is the abuser or the alleged abuser; |
(4.5) An executor or administrator of the estate of an |
eligible adult who is deceased;
|
(5) In cases regarding elder abuse, neglect, or |
financial exploitation, a court or a guardian ad litem, |
upon its or his or
her finding that access to such records |
may be
necessary for the determination of an issue before |
the court.
However,
such access shall be limited to an in |
camera inspection of the records,
unless the court |
determines that disclosure of the information contained
|
therein is necessary for the resolution of an issue then |
|
pending before it;
|
(5.5) In cases regarding self-neglect, a guardian ad |
litem;
|
(6) A grand jury, upon its determination that access to |
such
records is necessary in the conduct of its official |
business;
|
(7) Any person authorized by the Director, in writing, |
for
audit or bona fide research purposes;
|
(8) A coroner or medical examiner who has reason to |
believe
that an eligible adult has died as the result of |
abuse, neglect,
financial exploitation, or self-neglect. |
The provider agency shall immediately provide the
coroner
|
or medical examiner with all records pertaining to the |
eligible adult;
|
(8.5) A coroner or medical examiner having proper |
jurisdiction, pursuant to a written agreement between a |
provider agency and the coroner or medical examiner, under |
which the provider agency may furnish to the office of the |
coroner or medical examiner a list of all eligible adults |
who may be at imminent risk of death as a result of abuse, |
neglect, financial exploitation, or self-neglect; and |
(9) Department of Financial and Professional |
Regulation staff
and members of the Illinois Medical |
Disciplinary Board or the Social Work Examining and |
Disciplinary Board in the course
of investigating alleged |
violations of the Clinical Social Work and Social Work
|
|
Practice Act by provider agency staff or other licensing |
bodies at the discretion of the Director of the Department |
on Aging; . |
(9-a) Department of Healthcare and Family Services |
staff when that Department is funding services to the |
eligible adult, including access to the identity of the |
eligible adult; |
(9-b) Department of Human Services staff when that |
Department is funding services to the eligible adult or is |
providing reimbursement for services provided by the |
abuser or alleged abuser, including access to the identity |
of the eligible adult; |
(10) Hearing officers in the course of conducting an |
administrative hearing to determine whether a verified and |
substantiated finding of significant abuse, neglect, or |
financial exploitation of an eligible adult by a caregiver |
warrants reporting to the Health Care Worker Registry; and
|
(11) The Illinois Guardianship and Advocacy Commission |
and the agency designated by the Governor under Section 1 |
of the Protection and Advocacy for Developmentally |
Disabled Persons Act shall have access, through the |
Department, to records, including the findings, pertaining |
to a completed or closed investigation of a report of |
suspected abuse, neglect, financial exploitation, or |
self-neglect of an eligible adult. |
(Source: P.A. 96-526, eff. 1-1-10; 97-864, eff. 1-1-13.)
|
|
(320 ILCS 20/9) (from Ch. 23, par. 6609)
|
Sec. 9. Authority to consent to services.
|
(a) If an eligible adult
consents to an assessment of a |
reported incident of suspected abuse, neglect, financial |
exploitation, or self-neglect and, following the assessment of |
such report, consents to services being provided according
to |
the case plan, such services shall be arranged to meet the
|
adult's needs, based upon the availability of resources to |
provide such
services. If an adult withdraws his or her consent |
for an assessment of the reported incident or withdraws his or |
her consent for services and or refuses to accept
such |
services, the services shall not be provided.
|
(b) If it reasonably appears to the Department or other |
agency
designated under this Act that a person is an eligible |
adult and lacks the
capacity to consent to an assessment of a |
reported incident of suspected abuse, neglect, financial |
exploitation, or self-neglect or to necessary services, |
including an assessment, the
Department or other agency
shall |
notify the Illinois Guardianship and Advocacy Commission, the |
Office of State Guardian, or any other appropriate agency, of |
the potential need for may seek the appointment of a temporary |
guardian as provided in Article XIa
of the Probate Act of 1975 |
for the purpose of consenting to an assessment of the reported |
incident and such services, together with an order for an |
evaluation of the eligible adult's physical, psychological, |
|
and medical condition and decisional capacity.
|
(c) A guardian of the person of an eligible adult may |
consent to
an assessment of the reported incident and to |
services being provided according to the case plan. If an |
eligible adult lacks capacity to consent to services , an agent |
having authority under a power of attorney may consent to an |
assessment of the reported incident and to services. If the |
guardian or agent is the suspected abuser and he or she
|
withdraws his or her consent for the assessment of the reported |
incident, or refuses to allow services to be provided to
the
|
eligible adult, the Department, an agency designated under this |
Act, or the
office of the Attorney General may
request a court |
order seeking appropriate remedies, and may
in
addition request |
removal of the guardian and appointment of a successor
guardian |
or request removal of the agent and appointment of a guardian.
|
(d) If an emergency exists and the Department or other |
agency designated
under this Act reasonably believes that a |
person is an eligible adult and
lacks the capacity to consent |
to necessary services, the Department or
other agency may |
request an ex parte order from the circuit court of the
county |
in which the petitioner or respondent resides or in which the |
alleged
abuse, neglect, financial exploitation, or |
self-neglect occurred, authorizing
an
assessment of a report of |
alleged or suspected abuse, neglect,
financial exploitation, |
or self-neglect or the provision of necessary services, or
|
both,
including relief available under the Illinois Domestic |
|
Violence Act of 1986 in accord with established law and |
Department protocols, procedures, and policies.
Petitions |
filed under this subsection shall be treated as expedited
|
proceedings. When an eligible adult is at risk of serious |
injury or death and it reasonably appears that the eligible |
adult lacks capacity to consent to necessary services, the |
Department or other agency designated under this Act may take |
action necessary to ameliorate the risk in accordance with |
administrative rules promulgated by the Department.
|
(d-5) For purposes of this Section, an eligible adult |
"lacks the capacity to consent" if qualified staff of an agency |
designated under this Act reasonably determine, in accordance |
with administrative rules promulgated by the Department, that |
he or she appears either (i) unable to receive and evaluate |
information related to the assessment or services or (ii) |
unable to communicate in any manner decisions related to the |
assessment of the reported incident or services. |
(e) Within 15 days after the entry of the ex parte |
emergency order, the
order shall expire, or, if the need for |
assessment of the reported incident or services continues, the
|
provider agency shall petition for the appointment of a |
guardian as provided in
Article XIa of the Probate Act of 1975 |
for the purpose of consenting to such
assessment or services or |
to protect the eligible adult from further harm.
|
(f) If the court enters an ex parte order under subsection |
(d) for an assessment of a reported incident report of alleged |
|
or suspected abuse, neglect, financial exploitation, or |
self-neglect, or for the provision of necessary services in |
connection with alleged or suspected self-neglect, or for both, |
the court, as soon as is practicable thereafter, shall appoint |
a guardian ad litem for the eligible adult who is the subject |
of the order, for the purpose of reviewing the reasonableness |
of the order. The guardian ad litem shall review the order and, |
if the guardian ad litem reasonably believes that the order is |
unreasonable, the guardian ad litem shall file a petition with |
the court stating the guardian ad litem's belief and requesting |
that the order be vacated.
|
(g) In all cases in which there is a substantiated finding |
of abuse, neglect, or financial exploitation by a guardian, the |
Department shall, within 30 days after the finding, notify the |
Probate Court with jurisdiction over the guardianship. |
(Source: P.A. 96-526, eff. 1-1-10.)
|
(320 ILCS 20/15) |
Sec. 15. Abuse Fatality Review Teams Elder abuse fatality |
review teams . |
(a) State policy. In this Section, "review team" means a |
regional interagency elder abuse fatality review team |
established under this Section. |
(1) Both the State and the community maintain a |
commitment to preventing the abuse, neglect, and financial |
exploitation of at-risk adults. This includes a charge to |
|
bring perpetrators of crimes against at-risk adults to |
justice and prevent untimely deaths in the community. |
(2) When an at-risk adult dies, the response to the |
death by the community, law enforcement, and the State must |
include an accurate and complete determination of the cause |
of death, and the development and implementation of |
measures to prevent future deaths from similar causes. |
(3) Multidisciplinary and multi-agency reviews of |
deaths can assist the State and counties in developing a |
greater understanding of the incidence and causes of |
premature deaths and the methods for preventing those |
deaths, improving methods for investigating deaths, and |
identifying gaps in services to at-risk adults. |
(4) Access to information regarding the deceased |
person and his or her family by multidisciplinary and |
multi-agency at-risk adult fatality review teams is |
necessary in order to fulfill their purposes and duties. |
(a-5) Definitions. As used in this Section: |
"Advisory Council" means the Illinois At-Risk Adult |
Fatality Review Team Advisory Council. |
"Review Team" means a regional interagency at-risk |
adult fatality review team. |
(b) The Director, in consultation with the Advisory |
Council, law enforcement, and other professionals who work in |
the fields of investigating, treating, or preventing abuse or |
neglect of at-risk adults, shall appoint members to a minimum |
|
of one review team in each of the Department's planning and |
service areas. Each member of a review team shall be appointed |
for a 2-year term and shall be eligible for reappointment upon |
the expiration of the term. A review team's purpose in |
conducting review of at-risk adult deaths is: The Department, |
or any other State or county agency with Department approval, |
may establish regional interagency elder abuse fatality review |
teams (i) to assist local agencies in identifying and reviewing |
suspicious deaths of adult elderly victims of alleged, |
suspected, or substantiated abuse or neglect in domestic living |
situations ; and (ii) to facilitate communications between |
officials responsible for autopsies and inquests and persons |
involved in reporting or investigating alleged or suspected |
cases of abuse, neglect, or financial exploitation of at-risk |
adults and persons involved in providing services to at-risk |
adults; (iii) to evaluate means by which the death might have |
been prevented; and (iv) to report its findings to the |
appropriate agencies and the Advisory Council and make |
recommendations that may help to reduce the number of at-risk |
adult deaths caused by abuse and neglect and that may help to |
improve the investigations of deaths of at-risk adults and |
increase prosecutions, if appropriate persons 60 years of age |
or older . |
(b-5) Each such team shall be composed of representatives |
of entities and individuals including, but not limited to : |
(1) the Department on Aging; |
|
(2) coroners or medical examiners (or both); |
(3) State's Attorneys; |
(4) local police departments; |
(5) forensic units; |
(6) local health departments; |
(7) a social service or health care agency that |
provides services to persons with mental illness, in a |
program whose accreditation to provide such services is |
recognized by the Division of Mental Health within the |
Department of Human Services; |
(8) a social service or health care agency that |
provides services to persons with developmental |
disabilities, in a program whose accreditation to provide |
such services is recognized by the Division of |
Developmental Disabilities within the Department of Human |
Services; |
(9) a local hospital, trauma center, or provider of |
emergency medicine; |
(10) providers of services for eligible adults in |
domestic living situations; and |
(11) a physician, psychiatrist, or other health care |
provider knowledgeable about abuse and neglect of at-risk |
adults , the Department on Aging, coroners or medical |
examiners (or both), State's Attorneys, local police |
departments, forensic units, and providers of services for |
persons 60 years of age or older in domestic living |
|
situations . |
(c) A review team shall review cases of deaths of at-risk |
adults occurring in its planning and service area persons 60 |
years of age or older in domestic living situations (i) |
involving blunt force trauma or an undetermined manner or |
suspicious cause of death, (ii) if requested by the deceased's |
attending physician or an emergency room physician , (iii) upon |
referral by a health care provider, (iv) upon referral by a |
coroner or medical examiner, (v) or (iv) constituting an open |
or closed case from an adult a senior protective services |
agency, law enforcement agency, or State's Attorney's office , |
or the Department of Human Services' Office of the Inspector |
General that involves alleged or suspected abuse, neglect, or |
financial exploitation ; or
(vi) upon referral by a law |
enforcement agency or State's Attorney's office. If such a |
death occurs in a planning and service area where a review team |
has not yet been established, the Director shall request that |
the Advisory Council or another review team review that death . |
A team may also review other cases of deaths of at-risk adults |
persons 60 years of age or older if the alleged abuse or |
neglect occurred while the person was residing in a domestic |
living situation. |
A review team shall meet not less than 6 times a year to |
discuss cases for its possible review. Each review team, with |
the advice and consent of the Department, shall establish |
criteria to be used by review teams in discussing cases of |
|
alleged, suspected, or substantiated abuse or neglect for |
review and shall conduct its activities in accordance with any |
applicable policies and procedures established by the |
Department . |
(c-5) The Illinois At-Risk Adult Fatality Review Teams |
Advisory Council, consisting of one member from each review |
team in Illinois, shall be the coordinating and oversight body |
for review teams and activities in Illinois. The Director may |
appoint to the Advisory Council any ex-officio members deemed |
necessary. Persons with expertise needed by the Advisory |
Council may be invited to meetings. The Advisory Council must |
select from its members a chairperson and a vice-chairperson, |
each to serve a 2-year term. The chairperson or |
vice-chairperson may be selected to serve additional, |
subsequent terms. The Advisory Council must meet at least 4 |
times during each calendar year. |
The Department may provide or arrange for the staff support |
necessary for the Advisory Council to carry out its duties. The |
Director, in cooperation and consultation with the Advisory |
Council, shall appoint, reappoint, and remove review team |
members. |
The Advisory Council has, but is not limited to, the |
following duties: |
(1) To serve as the voice of review teams in Illinois. |
(2) To oversee the review teams in order to ensure that |
the review teams' work is coordinated and in compliance |
|
with State statutes and the operating protocol. |
(3) To ensure that the data, results, findings, and |
recommendations of the review teams are adequately used in |
a timely manner to make any necessary changes to the |
policies, procedures, and State statutes in order to |
protect at-risk adults. |
(4) To collaborate with the Department in order to |
develop any legislation needed to prevent unnecessary |
deaths of at-risk adults. |
(5) To ensure that the review teams' review processes |
are standardized in order to convey data, findings, and |
recommendations in a usable format. |
(6) To serve as a link with review teams throughout the |
country and to participate in national review team |
activities. |
(7) To provide the review teams with the most current |
information and practices concerning at-risk adult death |
review and related topics. |
(8) To perform any other functions necessary to enhance |
the capability of the review teams to reduce and prevent |
at-risk adult fatalities. |
The Advisory Council may prepare an annual report, in |
consultation with the Department, using aggregate data |
gathered by review teams and using the review teams' |
recommendations to develop education, prevention, prosecution, |
or other strategies designed to improve the coordination of |
|
services for at-risk adults and their families. |
In any instance where a review team does not operate in |
accordance with established protocol, the Director, in |
consultation and cooperation with the Advisory Council, must |
take any necessary actions to bring the review team into |
compliance with the protocol. |
(d) Any document or oral or written communication shared |
within or produced by the a review team relating to a case |
discussed or reviewed by the review team is confidential and is |
not admissible as evidence in any civil or criminal proceeding, |
except for use by a State's Attorney's office in prosecuting a |
criminal case against a caregiver. Those records and |
information are, however, subject to discovery or subpoena, and |
are admissible as evidence, to the extent they are otherwise |
available to the public subject to disclosure to or |
discoverable by another party . |
Any document or oral or written communication provided to a |
review team by an individual or entity, and created by that |
individual or entity solely for the use of the review team, is |
confidential , and is not subject to disclosure to or |
discoverable by another party , and is not admissible as |
evidence in any civil or criminal proceeding, except for use by |
a State's Attorney's office in prosecuting a criminal case |
against a caregiver. Those records and information are, |
however, subject to discovery or subpoena, and are admissible |
as evidence, to the extent they are otherwise available to the |
|
public . |
Each entity or individual represented on the an elder abuse |
fatality review team may share with other members of the team |
information in the entity's or individual's possession |
concerning the decedent who is the subject of the review or |
concerning any person who was in contact with the decedent, as |
well as any other information deemed by the entity or |
individual to be pertinent to the review. Any such information |
shared by an entity or individual with other members of the |
review a team is confidential. The intent of this paragraph is |
to permit the disclosure to members of the review a team of any |
information deemed confidential or privileged or prohibited |
from disclosure by any other provision of law. Release of |
confidential communication between domestic violence advocates |
and a domestic violence victim shall follow subsection (d) of |
Section 227 of the Illinois Domestic Violence Act of 1986 which |
allows for the waiver of privilege afforded to guardians, |
executors, or administrators of the estate of the domestic |
violence victim. This provision relating to the release of |
confidential communication between domestic violence advocates |
and a domestic violence victim shall exclude adult protective |
service providers.
|
A coroner's or medical examiner's office may share with the |
a review team medical records that have been made available to |
the coroner's or medical examiner's office in connection with |
that office's investigation of a death. |
|
Members of a review team and the Advisory Council are not |
subject to examination, in any civil or criminal proceeding, |
concerning information presented to members of the review team |
or the Advisory Council or opinions formed by members of the |
review team or the Advisory Council based on that information. |
A person may, however, be examined concerning information |
provided to a review team or the Advisory Council. |
(d-5) Meetings of the review teams and the Advisory Council |
may be closed to the public under the Open Meetings Act. |
Records and information provided to a review team and the |
Advisory Council, and records maintained by a team or the |
Advisory Council, are exempt from release under the Freedom of |
Information Act. |
(e) A review team's recommendation in relation to a case |
discussed or reviewed by the review team, including, but not |
limited to, a recommendation concerning an investigation or |
prosecution in relation to such a case , may be disclosed by the |
review team upon the completion of its review and at the |
discretion of a majority of its members who reviewed the case. |
(e-5) The State shall indemnify and hold harmless members |
of a review team and the Advisory Council for all their acts, |
omissions, decisions, or other conduct arising out of the scope |
of their service on the review team or Advisory Council, except |
those involving willful or wanton misconduct. The method of |
providing indemnification shall be as provided in the State |
Employee Indemnification Act. |
|
(f) The Department, in consultation with coroners, medical |
examiners, and law enforcement agencies, shall use aggregate |
data gathered by and review teams and review teams' |
recommendations from the Advisory Council and the review teams |
to create an annual report and may use those data and |
recommendations to develop education, prevention, prosecution, |
or other strategies designed to improve the coordination of |
services for at-risk adults persons 60 years of age or older |
and their families. The Department or other State or county |
agency, in consultation with coroners, medical examiners, and |
law enforcement agencies, also may use aggregate data gathered |
by the review teams to create a database of at-risk |
individuals.
|
(g) The Department shall adopt such rules and regulations |
as it deems necessary to implement this Section. |
(Source: P.A. 95-402, eff. 6-1-08 .) |
(320 ILCS 20/15.5 new) |
Sec. 15.5. Independent monitor. Subject to appropriation, |
to ensure the effectiveness and accountability of the adult |
protective services system, the agency designated by the |
Governor under Section 1 of the Protection and Advocacy for |
Developmentally Disabled Persons Act shall monitor the system |
and provide to the Department review and evaluation of the |
system in accordance with administrative rules promulgated by |
the Department. |
|
Section 105. The Code of Criminal Procedure of 1963 is |
amended by changing Sections 114-13.5 and 115-10.3 as follows:
|
(725 ILCS 5/114-13.5)
|
Sec. 114-13.5. Evidence deposition; elder abuse. In a |
prosecution for
abuse, neglect, or financial exploitation of an |
eligible adult as defined
in the Adult Protective Services Act |
Elder Abuse and Neglect Act , the eligible adult may give |
testimony
in the form of an evidence deposition and not be |
required to appear in court
to testify.
|
(Source: P.A. 93-301, eff. 1-1-04.)
|
(725 ILCS 5/115-10.3)
|
Sec. 115-10.3. Hearsay exception regarding elder adults.
|
(a) In a prosecution for a physical act, abuse, neglect, or |
financial
exploitation
perpetrated upon or against an eligible |
adult, as defined in
the Adult Protective Services Act Elder |
Abuse
and Neglect
Act , who has been diagnosed by a physician to |
suffer from (i) any form of
dementia, developmental disability, |
or other form of mental incapacity or (ii)
any physical |
infirmity, including but not limited to
prosecutions for |
violations of Sections 10-1, 10-2, 10-3, 10-3.1, 10-4, 11-1.20, |
11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-11,
12-1, 12-2, 12-3, |
12-3.05, 12-3.2, 12-3.3, 12-4, 12-4.1, 12-4.2, 12-4.5, 12-4.6, |
12-4.7, 12-5, 12-6, 12-7.3, 12-7.4, 12-11, 12-11.1, 12-13, |
|
12-14, 12-15, 12-16, 12-21,
16-1, 16-1.3, 17-1, 17-3, 17-56, |
18-1, 18-2, 18-3, 18-4, 18-5, 18-6, 19-6, 20-1.1,
24-1.2, and |
33A-2, or subsection (b) of Section 12-4.4a of , or subsection |
(a) of Section 17-32, of the
Criminal Code of 1961 or the |
Criminal Code of 2012, the following evidence shall be admitted
|
as an exception to the hearsay rule:
|
(1) testimony by an eligible adult, of an out of court |
statement made by
the eligible adult, that he or she |
complained of such act to another; and
|
(2) testimony of an out of court statement made by the
|
eligible adult,
describing any complaint of such act or |
matter or detail pertaining to any act
which is an element |
of an offense which is the subject of a prosecution for
a |
physical act, abuse, neglect, or financial exploitation |
perpetrated
upon or
against the eligible adult.
|
(b) Such testimony shall only be admitted if:
|
(1) The court finds in a hearing conducted outside the |
presence of the
jury that the time, content, and |
circumstances of the statement provide
sufficient |
safeguards of reliability; and
|
(2) The eligible adult either:
|
(A) testifies at the proceeding; or
|
(B) is unavailable as a witness and there is |
corroborative evidence of
the act which is the subject |
of the statement.
|
(c) If a statement is admitted pursuant to this Section, |
|
the court shall
instruct the jury that it is for the jury to |
determine the weight and
credibility to be given the statement |
and that, in making the determination, it
shall consider the |
condition of the eligible adult, the nature of
the
statement, |
the circumstances under which the statement was made, and any |
other
relevant factor.
|
(d) The proponent of the statement shall give the adverse |
party reasonable
notice of his or her intention to offer the |
statement and the particulars of
the statement.
|
(Source: P.A. 96-1551, Article 1, Section 965, eff. 7-1-11; |
96-1551, Article 2, Section 1040, eff. 7-1-11; 96-1551, Article |
10, Section 10-145, eff. 7-1-11; 97-1108, eff. 1-1-13; 97-1109, |
eff. 1-1-13; 97-1150, eff. 1-25-13.) |
Section 110. The Code of Civil Procedure is amended by |
changing Section 8-2701 as follows:
|
(735 ILCS 5/8-2701)
|
Sec. 8-2701.
Admissibility of evidence; out of court |
statements; elder
abuse.
|
(a) An out of court statement made by an eligible adult, as |
defined in the
Adult Protective Services Act Elder Abuse and |
Neglect Act , who has been diagnosed by a physician to suffer
|
from (i) any form of dementia, developmental disability, or |
other form of
mental incapacity or (ii) any physical infirmity |
which prevents the eligible
adult's appearance in court, |
|
describing any act of elder abuse, neglect, or
financial |
exploitation, or testimony by an eligible adult of an out of |
court
statement
made by the eligible adult that he or she |
complained of such acts to another,
is admissible in any civil |
proceeding, if:
|
(1) the court conducts a hearing outside the presence |
of the jury and
finds that the time, content, and |
circumstances of the statement provide
sufficient |
safeguards of reliability; and
|
(2) the eligible adult either:
|
(A) testifies at the proceeding; or
|
(B) is unavailable as a witness and there is |
corroborative evidence of
the act which is the subject |
of the statement.
|
(b) If a statement is admitted pursuant to this Section, |
the court shall
instruct the jury that it is for the jury to |
determine the weight and
credibility to be given to the |
statement and that, in making its determination,
it shall |
consider the condition of the eligible adult, the nature of the
|
statement, the
circumstances under which the statement was |
made, and any other relevant
factors.
|
(c) The proponent of the statement shall give the adverse |
party reasonable
notice of an intention to offer the statement |
and the particulars of the
statement.
|
(Source: P.A. 90-628, eff. 1-1-99.)
|
|
Section 115. The Probate Act of 1975 is amended by changing |
Section 11a-10 as follows:
|
(755 ILCS 5/11a-10) (from Ch. 110 1/2, par. 11a-10)
|
Sec. 11a-10. Procedures preliminary to hearing.
|
(a) Upon the filing of a petition pursuant to Section |
11a-8, the court shall
set a date and place for hearing to take |
place within 30 days. The court
shall appoint a guardian ad |
litem to report to the court concerning the
respondent's best |
interests consistent with the provisions of this Section,
|
except that
the appointment of a guardian ad litem shall not be |
required when
the court determines that such appointment is not |
necessary for the protection
of the respondent or a reasonably |
informed decision on the petition.
If the guardian ad litem is |
not a licensed attorney, he or she shall be
qualified,
by
|
training or experience, to work with or advocate for the |
developmentally
disabled, mentally ill, physically disabled, |
the elderly, or persons disabled
because of mental |
deterioration, depending on the type of disability that is
|
alleged in the petition.
The court may allow the guardian ad |
litem reasonable compensation. The
guardian ad litem may |
consult with a person who by training or experience is
|
qualified to work with persons with a developmental disability, |
persons with
mental illness, or physically disabled persons, or |
persons disabled because of
mental deterioration, depending on |
the type of disability that is alleged.
The guardian ad litem |
|
shall personally observe the respondent prior to the
hearing |
and shall inform
him orally and in writing of the contents of |
the petition and of his rights
under Section 11a-11.
The |
guardian ad litem shall also attempt to elicit the respondent's |
position
concerning the adjudication of disability, the |
proposed guardian, a proposed
change in residential placement, |
changes in care that might result from the
guardianship, and |
other areas of inquiry deemed appropriate by the court.
|
Notwithstanding any provision in the Mental Health and |
Developmental Disabilities Confidentiality Act or any other |
law, a guardian ad litem shall have the right to inspect and |
copy any medical or mental health record of the respondent |
which the guardian ad litem deems necessary, provided that the |
information so disclosed shall not be utilized for any other |
purpose nor be redisclosed except in connection with the |
proceedings. At or before the hearing, the guardian ad litem |
shall file a written report
detailing his or her observations |
of the respondent, the responses of the
respondent to any of |
the inquires detailed in this Section, the opinion of the
|
guardian
ad litem or other professionals with whom the guardian |
ad litem consulted
concerning the appropriateness of |
guardianship, and any other material issue
discovered by the |
guardian ad litem. The guardian ad litem shall appear at the
|
hearing and testify as to any issues presented in his or her |
report.
|
(b) The court (1) may appoint counsel for the respondent, |
|
if the court finds
that the interests of the respondent will be |
best served by the appointment,
and (2) shall appoint counsel |
upon respondent's request or if the respondent
takes a position |
adverse to that of the guardian ad litem. The respondent
shall |
be permitted to obtain the appointment of counsel either at the |
hearing
or by any written or oral request communicated to the |
court prior to the
hearing. The summons shall inform the |
respondent of this right to obtain
appointed counsel. The court |
may allow counsel for the respondent reasonable
compensation.
|
(c) If the respondent is unable to pay the fee of the |
guardian ad litem or
appointed counsel, or both, the court may |
enter an order for
the petitioner to
pay all
such
fees or such |
amounts as the respondent or the respondent's estate may be |
unable
to pay.
However, in cases where the Office of State |
Guardian is the petitioner,
consistent with Section 30 of the |
Guardianship and Advocacy Act, where the public guardian is the |
petitioner, consistent with Section 13-5 of the Probate Act of |
1975,
where an adult protective services elder abuse provider |
agency is the petitioner, pursuant to
Section 9 of the Adult |
Protective Services Act Elder Abuse and Neglect Act,
or where |
the Department of Human Services Office of Inspector General is |
the petitioner, consistent with Section 45 of the Abuse of |
Adults with Disabilities Intervention Act , no guardian ad litem |
or legal fees shall be assessed against the Office of
State |
Guardian, the public guardian, or the adult protective services |
agency the elder abuse provider agency, or the Department of |
|
Human Services Office of Inspector General .
|
(d) The hearing may be held at such convenient place as the |
court directs,
including at a facility in which the respondent |
resides.
|
(e) Unless he is the petitioner, the respondent shall be |
personally
served with a copy of the petition and a summons not |
less than 14 days
before the hearing.
The summons shall be |
printed in large, bold type and shall include the
following |
notice:
|
NOTICE OF RIGHTS OF RESPONDENT
|
You have been named as a respondent in a guardianship |
petition asking that
you be declared a disabled person. If the |
court grants the petition, a
guardian will be appointed for |
you. A copy of the guardianship petition is
attached for your |
convenience.
|
The date and time of the hearing are:
|
The place where the hearing will occur is:
|
The Judge's name and phone number is:
|
If a guardian is appointed for you, the guardian may be |
given the right to
make all
important personal decisions for |
you, such as where you may live, what medical
treatment you may |
receive, what places you may visit, and who may visit you. A
|
guardian may also be given the right to control and manage your |
money and other
property, including your home, if you own one. |
You may lose the right to make
these decisions for yourself.
|
You have the following legal rights:
|
|
(1) You have the right to be present at the court |
hearing.
|
(2) You have the right to be represented by a lawyer, |
either one that you
retain, or one appointed by the Judge.
|
(3) You have the right to ask for a jury of six persons |
to hear your case.
|
(4) You have the right to present evidence to the court |
and to confront
and
cross-examine witnesses.
|
(5) You have the right to ask the Judge to appoint an |
independent expert
to examine you and give an opinion about |
your need for a guardian.
|
(6) You have the right to ask that the court hearing be |
closed to the
public.
|
(7) You have the right to tell the court whom you |
prefer to have for your
guardian.
|
You do not have to attend the court hearing if you do not |
want to be there.
If you do not attend, the Judge may appoint a |
guardian if the Judge finds that
a guardian would be of benefit |
to you. The hearing will not be postponed or
canceled if you do |
not attend.
|
IT IS VERY IMPORTANT THAT YOU ATTEND THE HEARING IF YOU DO |
NOT WANT A
GUARDIAN OR IF YOU WANT SOMEONE OTHER THAN THE |
PERSON NAMED IN THE GUARDIANSHIP
PETITION TO BE YOUR GUARDIAN. |
IF YOU DO NOT WANT A GUARDIAN OF IF YOU HAVE ANY
OTHER |
PROBLEMS, YOU SHOULD CONTACT AN ATTORNEY OR COME TO COURT AND |
TELL THE
JUDGE.
|
|
Service of summons and the petition may be made by a |
private person 18
years
of
age or over who is not a party to the |
action.
|
(f) Notice of the time and place of the hearing shall be |
given by the
petitioner by mail or in person to those persons, |
including the proposed
guardian, whose names and addresses
|
appear in the petition and who do not waive notice, not less |
than 14 days
before the hearing.
|
(Source: P.A. 96-1052, eff. 7-14-10; 97-375, eff. 8-15-11; |
97-1095, eff. 8-24-12.)
|
Section 120. The Illinois Power of Attorney Act is amended |
by changing Sections 2-7 and 2-10 as follows:
|
(755 ILCS 45/2-7) (from Ch. 110 1/2, par. 802-7)
|
Sec. 2-7. Duty - standard of care - record-keeping - |
exoneration. |
(a) The agent shall be under
no duty to exercise the powers |
granted by the agency or to assume control
of or responsibility |
for any of the principal's property, care or affairs,
|
regardless of the principal's physical or mental condition. |
Whenever a
power is exercised, the agent shall act in good |
faith for the benefit of
the principal using due care, |
competence, and diligence in accordance with the terms of the |
agency and shall be
liable for negligent exercise. An agent who |
acts with due care for the
benefit of the principal shall not |
|
be liable or limited merely because the
agent also benefits |
from the act, has individual or conflicting interests
in |
relation to the property, care or affairs of the principal or |
acts in a
different manner with respect to the agency and the |
agent's individual
interests.
The agent shall not be
affected |
by any amendment or termination
of the agency until the agent |
has actual knowledge thereof. The agent
shall not be liable for |
any loss due to error of judgment nor for the act
or default of |
any other person.
|
(b) An agent that has accepted appointment must act in |
accordance with the principal's expectations to the extent |
actually known to the agent and otherwise in the principal's |
best interests. |
(c) An agent shall keep a record of all receipts, |
disbursements, and significant actions taken under the |
authority of the agency and shall provide a copy of this record |
when requested to do so by: |
(1) the principal, a guardian, another fiduciary |
acting on behalf of the principal, and, after the death of |
the principal, the personal representative or successors |
in interest of the principal's estate; |
(2) a representative of a provider agency, as defined |
in Section 2 of the Adult Protective Services Act Elder |
Abuse and Neglect Act , acting in the course of an |
assessment of a complaint of elder abuse or neglect under |
that Act; |
|
(3) a representative of the Office of the State Long |
Term Care Ombudsman, acting in the course of an |
investigation of a complaint of financial exploitation of a |
nursing home resident under Section 4.04 of the Illinois |
Act on the Aging; |
(4) a representative of the Office of Inspector General |
for the Department of Human Services, acting in the course |
of an assessment of a complaint of financial exploitation |
of an adult with disabilities pursuant to Section 35 of the |
Abuse of Adults with Disabilities Intervention Act; or |
(5) a court under Section 2-10 of this Act. |
(d) If the agent fails to provide his or her record of all |
receipts, disbursements, and significant actions within 21 |
days after a request under subsection (c), the adult elder |
abuse provider agency or the State Long Term Care Ombudsman may |
petition the court for an order requiring the agent to produce |
his or her record of receipts, disbursements, and significant |
actions. If the court finds that the agent's failure to provide |
his or her record in a timely manner to the adult elder abuse |
provider agency or the State Long Term Care Ombudsman was |
without good cause, the court may assess reasonable costs and |
attorney's fees against the agent, and order such other relief |
as is appropriate. |
(e) An agent is not required to disclose receipts, |
disbursements, or other significant actions conducted on |
behalf of the principal except as otherwise provided in the |
|
power of attorney or as required under subsection (c). |
(f) An agent that violates this Act is liable to the |
principal or the principal's successors in interest for the |
amount required (i) to restore the value of the principal's |
property to what it would have been had the violation not |
occurred, and (ii) to reimburse the principal or the |
principal's successors in interest for the attorney's fees and |
costs paid on the agent's behalf. This subsection does not |
limit any other applicable legal or equitable remedies. |
(Source: P.A. 96-1195, eff. 7-1-11 .)
|
(755 ILCS 45/2-10) (from Ch. 110 1/2, par. 802-10)
|
Sec. 2-10. Agency-court relationship. |
(a) Upon petition by any interested
person (including the |
agent), with such notice to interested persons as the
court |
directs and a finding by the court that the principal
lacks |
either the capacity to control or the capacity to revoke the |
agency, the court may construe a power of attorney, review the |
agent's conduct, and grant appropriate relief including |
compensatory damages. |
(b) If the court finds
that the agent is not acting for the |
benefit of the principal in accordance
with the terms of the |
agency or that the agent's action or inaction has
caused or |
threatens substantial harm to the principal's person or |
property
in a manner not authorized or intended by the |
principal, the court may
order a guardian of the principal's |
|
person or estate to exercise any powers
of the principal under |
the agency, including the power to revoke the
agency, or may |
enter such other orders without appointment of a guardian as
|
the court deems necessary to provide for the best interests of |
the
principal. |
(c) If the court finds that the agency requires
|
interpretation, the court may construe the agency and instruct |
the agent,
but the court may not amend the agency. |
(d) If the court finds that the agent has not acted for the |
benefit of the principal in accordance with the terms of the |
agency and the Illinois Power of Attorney Act, or that the |
agent's action caused or threatened substantial harm to the |
principal's person or property in a manner not authorized or |
intended by the principal, then the agent shall not be |
authorized to pay or be reimbursed from the estate of the |
principal the attorneys' fees and costs of the agent in |
defending a proceeding brought pursuant to this Section. |
(e) Upon a finding that the agent's action has caused |
substantial harm to the principal's person or property, the |
court may assess against the agent reasonable costs and |
attorney's fees to a prevailing party who is a provider agency |
as defined in Section 2 of the Adult Protective Services Act |
Elder Abuse and Neglect Act , a representative of the Office of |
the State Long Term Care Ombudsman, or a governmental agency |
having regulatory authority to protect the welfare of the |
principal. |
|
(f) As used in this Section, the term "interested person" |
includes (1) the principal or the agent; (2) a guardian of the |
person, guardian of the estate, or other fiduciary charged with |
management of the principal's property; (3) the principal's |
spouse, parent, or descendant; (4) a person who would be a |
presumptive heir-at-law of the principal; (5) a person named as |
a beneficiary to receive any property, benefit, or contractual |
right upon the principal's death, or as a beneficiary of a |
trust created by or for the principal; (6) a provider agency as |
defined in Section 2 of the Adult Protective Services Act Elder |
Abuse and Neglect Act , a representative of the Office of the |
State Long Term Care Ombudsman, or a governmental agency having |
regulatory authority to protect the welfare of the principal; |
and (7) the principal's caregiver or another person who |
demonstrates sufficient interest in the principal's welfare. |
(g) Absent court order directing a
guardian to exercise |
powers of the principal under the agency, a guardian
will have |
no power, duty or liability with respect to any property |
subject
to the agency or any personal or health care matters |
covered by the agency. |
(h)
Proceedings under this Section shall be commenced in |
the county where the
guardian was appointed or, if no Illinois |
guardian is acting, then in the
county where the agent or |
principal resides or where the principal owns real property.
|
(i) This Section shall not be construed to limit any other |
remedies available. |