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  | Public Act 100-0286 
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| | SB1688 Enrolled | LRB100 08713 SMS 18849 b | 
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| 
 
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|     AN ACT concerning State government.
  
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|     Be it enacted by the People of the State of Illinois,
  | 
| represented in the General Assembly:
  
 
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|     Section 5. The Department of Professional Regulation Law of  | 
| the
Civil Administrative Code of Illinois is amended  by  | 
| changing Sections 2105-130, 2105-135, 2105-205, and 2105-207  | 
| and by adding Section 2105-131 as follows:
 | 
|     (20 ILCS 2105/2105-130) | 
|     Sec. 2105-130. Determination of disciplinary sanctions. | 
|     (a) Following disciplinary proceedings as authorized in  | 
| any licensing Act administered by the Department, upon a  | 
| finding by the Department that a person has committed a  | 
| violation of the licensing Act with regard to licenses,  | 
| certificates, or authorities of persons exercising the  | 
| respective professions, trades, or occupations, the Department  | 
| may revoke, suspend, refuse to renew, place on probationary  | 
| status, fine, or take any other disciplinary action as  | 
| authorized in the licensing Act with regard to those licenses,  | 
| certificates, or authorities. When making a determination of  | 
| the appropriate disciplinary sanction to be imposed, the  | 
| Department shall consider only evidence contained in the  | 
| record. The Department shall consider any aggravating or  | 
| mitigating factors contained in the record when determining the  | 
|  | 
| appropriate disciplinary sanction to be imposed. | 
|     (b) When making a determination of the appropriate  | 
| disciplinary sanction to be imposed on a licensee, the  | 
| Department shall consider, but is not limited to, the following  | 
| aggravating factors contained in the record: | 
|         (1) the seriousness of the offenses; | 
|         (2) the presence of multiple offenses; | 
|         (3) prior disciplinary history, including actions  | 
| taken by other agencies in this State, by other states or  | 
| jurisdictions, hospitals, health care facilities,  | 
| residency programs, employers, or professional liability  | 
| insurance companies or by any of the armed forces of the  | 
| United States or any state; | 
|         (4) the impact of the offenses on any injured party; | 
|         (5) the vulnerability of any injured party, including,  | 
| but not limited to, consideration of the injured party's  | 
| age, disability, or mental illness; | 
|         (6) the motive for the offenses; | 
|         (7) the lack of contrition for the offenses; | 
|         (8) financial gain as a result of committing the  | 
| offenses; and | 
|         (9) the lack of cooperation with the Department or  | 
| other investigative authorities. | 
|     (c) When making a determination of the appropriate  | 
| disciplinary sanction to be imposed on a licensee, the  | 
| Department shall consider, but is not limited to, the following  | 
|  | 
| mitigating factors contained in the record: | 
|         (1) the lack of prior disciplinary action by the  | 
| Department or by other agencies in this State, by other  | 
| states or jurisdictions, hospitals, health care  | 
| facilities, residency programs, employers, insurance  | 
| providers, or by any of the armed forces of the United  | 
| States or any state; | 
|         (2) contrition for the offenses; | 
|         (3) cooperation with the Department or other  | 
| investigative authorities; | 
|         (4) restitution to injured parties; | 
|         (5) whether the misconduct was self-reported; and | 
|         (6) any voluntary remedial actions taken.
 | 
| (Source: P.A. 98-1047, eff. 1-1-15.)
 | 
|     (20 ILCS 2105/2105-131 new) | 
|     Sec. 2105-131. Applicants with criminal convictions;  | 
| notice of denial. | 
|     (a) Except as provided in Section 2105-165 of this Act  | 
| regarding licensing restrictions based on enumerated offenses  | 
| for health care workers as defined in the Health Care Worker  | 
| Self-Referral Act and except as provided in any licensing Act  | 
| administered by the Department in which convictions of certain  | 
| enumerated offenses are a bar to licensure, the Department,  | 
| upon a finding that an applicant for a license, certificate, or  | 
| registration was previously convicted of a felony or  | 
|  | 
| misdemeanor that may be grounds for refusing to issue a license  | 
| or certificate or granting registration, shall consider any  | 
| mitigating factors and evidence of rehabilitation contained in  | 
| the applicant's record, including any of   the following, to  | 
| determine whether a prior conviction will impair the ability of  | 
| the applicant to engage in the practice for which a license,  | 
| certificate, or registration is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) unless otherwise specified, whether 5 years since a  | 
| felony conviction or 3 years since release from confinement  | 
| for the conviction, whichever is later, have passed without  | 
| a subsequent conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| the lack of prior misconduct arising from or related to the  | 
| licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (4.5) if, due to the applicant's criminal conviction  | 
| history, the applicant would be explicitly prohibited by  | 
| federal rules or regulations from working in the position  | 
| for which a license is sought;  | 
|         (5) successful completion of sentence and, for  | 
|  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the job  | 
| duties. | 
|     (b) If the Department refuses to issue a license or  | 
| certificate or grant registration to an applicant based upon a  | 
| conviction or convictions, in whole or in part, the Department  | 
| shall notify the applicant of the denial in writing with the  | 
| following included in the notice of denial: | 
|         (1) a statement about the decision to refuse to grant a  | 
| license, certificate, or registration; | 
|         (2) a list of convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license, registration, or  | 
|  | 
| certificate is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license or  | 
| certificate or grant registration; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, certificate, or  | 
| registration, whichever is applicable. 
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|     (20 ILCS 2105/2105-135) | 
|     Sec. 2105-135. Qualification for licensure or  | 
| registration; good moral character; applicant conviction  | 
| records.    | 
|     (a) The practice of professions licensed or registered by  | 
| the Department is hereby declared to affect the public health,  | 
| safety, and welfare and to be subject to regulation and control  | 
| in the public interest.  It is further declared to be a matter  | 
| of public interest and concern that persons who are licensed or  | 
| registered to engage in any of the professions licensed or  | 
| registered by the Department are of good moral character, which  | 
| shall be a continuing requirement of licensure or registration  | 
| so as to merit and receive the confidence and trust of the  | 
| public.  Upon a finding by the Department that a person has  | 
| committed a violation of the disciplinary grounds of any  | 
| licensing Act administered by the Department with regard to  | 
| licenses, certificates, or authorities of persons exercising  | 
| the respective professions, trades, or occupations, the  | 
|  | 
| Department is authorized to revoke, suspend, refuse to renew,  | 
| place on probationary status, fine, or take any other  | 
| disciplinary action it deems warranted against any licensee or  | 
| registrant whose conduct violates the continuing requirement  | 
| of good moral character.  | 
|     (b) No application for licensure or registration shall be  | 
| denied by reason of a finding of lack of good moral character  | 
| when the finding is based solely upon the fact that the  | 
| applicant has previously been convicted of one or more criminal  | 
| offenses. When reviewing a prior conviction of an initial  | 
| applicant for the purpose of determining good moral character,  | 
| the Department shall consider evidence of rehabilitation and  | 
| mitigating factors in the applicant's record, including those  | 
| set forth in subsection (a) of Section 2105-131 of this Act. | 
|     (c) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| licensure or registration: 
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|         (1) juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile  Court Act of 1987  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| that Act; | 
|         (2) law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
|  | 
| tried as an adult; | 
|         (3) records of arrest not followed by a charge or  | 
| conviction; | 
|         (4) records of arrest where the charges were dismissed  | 
| unless related to the practice of the profession; however,  | 
| applicants shall not be asked to report any arrests, and an  | 
| arrest not followed by a conviction shall not be the basis  | 
| of a denial and may be used only to assess an applicant's  | 
| rehabilitation;  | 
|         (5) convictions overturned by a higher court; or | 
|         (6) convictions or arrests that have been sealed or  | 
| expunged.  | 
| (Source: P.A. 98-1047, eff. 1-1-15.)
 
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|     (20 ILCS 2105/2105-205)  (was 20 ILCS 2105/60.3)
 | 
|     Sec. 2105-205. Publication of disciplinary actions; annual  | 
| report.  | 
|     (a) The
Department shall publish on its website, at least  | 
| monthly, final disciplinary actions taken by
the Department  | 
| against a licensee or applicant pursuant to any licensing Act  | 
| administered by the Department.  The specific disciplinary  | 
| action and the name of the applicant or
licensee shall be  | 
| listed.
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|     (b) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new license,  | 
|  | 
| certification, or registration applications during the  | 
| preceding calendar year.  Each report shall show at minimum: | 
|         (1) the number of applicants for each new license,  | 
| certificate, or registration administered by the  | 
| Department in the previous calendar year; | 
|         (2) the number of applicants for a new license,  | 
| certificate, or registration within the previous calendar  | 
| year who had any criminal conviction; | 
|         (3) the number of applicants for a new license,  | 
| certificate, or registration in the previous calendar year  | 
| who were granted a license, registration, or certificate; | 
|         (4) the number of applicants for a new license,  | 
| certificate, or registration within the previous calendar  | 
| year with a criminal conviction who were granted a license,  | 
| certificate, or registration in the previous calendar  | 
| year; | 
|         (5) the number of applicants for a new license,  | 
| certificate, or registration in the previous calendar year  | 
| who were denied a license, registration, or certificate; | 
|         (6) the number of applicants for new license,  | 
| certificate, or registration in the previous calendar year  | 
| with a criminal conviction who were denied a license,  | 
| certificate, or registration in part or in whole because of  | 
| such conviction; | 
|         (7) the number of licenses issued on probation within  | 
| the previous calendar year to applicants with a criminal  | 
|  | 
| conviction; and | 
|         (8) the number of licensees or certificate holders who  | 
| were granted expungement for a record of discipline based  | 
| on a conviction predating licensure, certification, or  | 
| registration or a criminal charge, arrest, or conviction  | 
| that was dismissed, sealed, or expunged or did not arise  | 
| from the  regulated activity, as  a share of the total such  | 
| expungement requests. | 
| (Source: P.A. 99-227, eff. 8-3-15.)
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|     (20 ILCS 2105/2105-207) | 
|     Sec. 2105-207. Records of Department actions. | 
|     (a)  Any licensee subject to a licensing Act administered by  | 
| the Division of Professional Regulation and who has been  | 
| subject to disciplinary action by the Department may file an  | 
| application with the Department on forms provided by the  | 
| Department, along with the required fee of $175 $200, to have  | 
| the records classified as confidential, not for public release,  | 
| and considered expunged for reporting purposes if: | 
|         (1)  the application is submitted more than 3 7 years  | 
| after the disciplinary offense or offenses occurred or  | 
| after restoration of the license, whichever is later; | 
|         (2)  the licensee has had no incidents of discipline  | 
| under the licensing Act since the disciplinary offense or  | 
| offenses identified in the application occurred; | 
|         (3)  the Department has no pending investigations  | 
|  | 
| against the licensee; and | 
|         (4)  the licensee is not currently in a disciplinary  | 
| status. | 
|     (b) An application to make disciplinary records  | 
| confidential shall only be considered by the Department for an  | 
| offense or action relating to: | 
|         (1)  failure to pay taxes or student loans; | 
|         (2)  continuing education; | 
|         (3)  failure to renew a license on time; | 
|         (4)  failure to obtain or renew a certificate of  | 
| registration or ancillary license; | 
|         (5)  advertising; or | 
|         (5.1) discipline based on criminal charges or  | 
| convictions:  | 
|             (A) that did not arise from the licensed activity  | 
| and was unrelated to the licensed activity; or  | 
|             (B) that were dismissed or for which records have  | 
| been sealed or expunged.  | 
|         (5.2) past probationary status of a license issued to  | 
| new applicants on the sole or partial basis of prior  | 
| convictions; or  | 
|         (6)  any grounds for discipline removed from the  | 
| licensing Act. | 
|     (c)  An application shall be submitted to and considered by  | 
| the Director of the Division of Professional Regulation upon  | 
| submission of an application and the required non-refundable  | 
|  | 
| fee.  The Department may establish additional requirements by  | 
| rule.  The Department is not required to report the removal of  | 
| any disciplinary record to any national database.  Nothing in  | 
| this Section shall prohibit the Department from using a  | 
| previous discipline for any regulatory purpose or from  | 
| releasing records of a previous discipline upon request from  | 
| law enforcement, or other governmental body as permitted by  | 
| law.  Classification of records as confidential shall result in  | 
| removal of records of discipline from records kept pursuant to  | 
| Sections 2105-200 and 2105-205 of this Act. 
 | 
| (Source: P.A. 98-816, eff. 8-1-14.)
 | 
|     Section 10. The Criminal Identification Act is amended  by  | 
| changing Section 12 as follows:
 
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|     (20 ILCS 2630/12)
 | 
|     Sec. 12. Entry of order; effect of expungement or sealing  | 
| records. 
 | 
|     (a) Except with respect to law enforcement agencies, the  | 
| Department of
Corrections, State's Attorneys, or other  | 
| prosecutors, and as provided in Section 13 of this Act, an  | 
| expunged or sealed
record may not be considered by any private  | 
| or
public entity in employment matters, certification,  | 
| licensing, revocation
of certification or licensure, or  | 
| registration. Applications for
employment must contain  | 
| specific language which states that the
applicant is not  | 
|  | 
| obligated to disclose sealed or expunged records of
conviction  | 
| or arrest. The entity authorized to grant a license,  | 
| certification, or registration shall include in an application  | 
| for licensure, certification, or registration specific  | 
| language stating that the applicant is not obligated to  | 
| disclose sealed or expunged records of a conviction or arrest;  | 
| however, if the inclusion of that language in an application  | 
| for licensure, certification, or registration is not  | 
| practical, the entity shall publish on its website instructions  | 
| specifying that applicants are not obligated to disclose sealed  | 
| or expunged records of a conviction or arrest. Employers may  | 
| not ask if an applicant has had
records expunged or sealed.
 | 
|     (b) A person whose records have been sealed or expunged is  | 
| not entitled to
remission of any fines, costs, or other money  | 
| paid as a consequence of
the sealing or expungement. This  | 
| amendatory Act of the 93rd General
Assembly does not affect the  | 
| right of the victim of a crime to prosecute
or defend a civil  | 
| action for damages. Persons engaged in civil litigation
 | 
| involving criminal records that have been sealed may
petition  | 
| the court to open the records for the limited purpose of using
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| them in the course of litigation.
 | 
| (Source: P.A. 93-211, eff. 1-1-04; 93-1084, eff. 6-1-05.)
  
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|     Section 15. The Cigarette Tax Act is amended  by changing  | 
| Sections 4, 4b, and 4c and  by adding Section 4i as follows:
 
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|  | 
|     (35 ILCS 130/4)  (from Ch. 120, par. 453.4)
 | 
|     Sec. 4. Distributor's license. No person may engage in  | 
| business as a distributor of cigarettes in this
State within  | 
| the meaning of the first 2 definitions of distributor in
 | 
| Section 1 of this Act without first having obtained a license  | 
| therefor from
the Department. Application for license shall be  | 
| made to the Department in
form as furnished and prescribed by  | 
| the Department. Each applicant for a
license under this Section  | 
| shall furnish to the Department on the form
signed and verified  | 
| by the applicant under penalty of perjury the following  | 
| information:
 | 
|         (a) The name and address of the applicant;
 | 
|         (b) The address of the location at which the applicant  | 
| proposes to
engage in business as a distributor of  | 
| cigarettes in this State;
 | 
|         (c) Such other additional information as the  | 
| Department may lawfully
require by its rules and  | 
| regulations.
 | 
|     The annual license fee payable to the Department for each  | 
| distributor's
license shall be $250. The purpose of such annual  | 
| license fee is to defray
the cost, to the Department, of
 | 
| serializing cigarette tax stamps. Each applicant for license  | 
| shall pay such
fee to the Department at the time of submitting  | 
| his application for license
to the Department.
 | 
|     Every applicant who is required to procure a distributor's  | 
| license shall
file with his application a joint and several  | 
|  | 
| bond. Such bond shall be
executed to the Department of Revenue,  | 
| with good and sufficient surety or
sureties residing or  | 
| licensed to do business within the State of Illinois,
in the  | 
| amount of $2,500, conditioned upon the true and faithful  | 
| compliance
by the licensee with all of the provisions of this  | 
| Act. Such bond, or a
reissue thereof, or a substitute therefor,  | 
| shall be kept in effect during
the entire period covered by the  | 
| license. A separate application for
license shall be made, a  | 
| separate annual license fee paid, and a separate
bond filed,  | 
| for each place of business at which a person who is required to
 | 
| procure a distributor's license under this Section proposes to  | 
| engage in
business as a distributor in Illinois under this Act.
 | 
|     The following are ineligible to receive a distributor's  | 
| license under
this Act:
 | 
|             (1) a person who is not of good character and  | 
| reputation in the
community in which he resides; the  | 
| Department may consider past conviction of a felony but  | 
| the conviction shall not operate as an absolute bar to  | 
| licensure;
 | 
|             (2) a person who has been convicted of a felony  | 
| under any Federal or
State law, if the Department,  | 
| after investigation and a hearing and consideration of  | 
| mitigating factors and evidence of rehabilitation  | 
| contained in the applicant's record, including those  | 
| in Section 4i, if
requested by the applicant,  | 
| determines that such person has not been
sufficiently  | 
|  | 
| rehabilitated to warrant the public trust and the  | 
| conviction will impair the ability of the person to  | 
| engage in the position for which a license is sought;
 | 
|             (3) a corporation, if any officer, manager or  | 
| director thereof, or any
stockholder or stockholders  | 
| owning in the aggregate more than 5% of the
stock of  | 
| such corporation, would not be eligible to receive a  | 
| license under
this Act for any reason; | 
|             (4) a person, or any person who owns more than 15  | 
| percent of the ownership interests in a person or a  | 
| related party who: | 
|                 (a) owes, at the time of application, any  | 
| delinquent cigarette taxes that have been  | 
| determined by law to be due and unpaid, unless the  | 
| license applicant has entered into an agreement  | 
| approved by the Department to pay the amount due; | 
|                 (b) had a license under this Act revoked within  | 
| the past two years by the Department for misconduct  | 
| relating to stolen or contraband cigarettes or has  | 
| been convicted of a State or federal crime,  | 
| punishable by imprisonment of one year or more,  | 
| relating to stolen or contraband cigarettes; | 
|                 (c) manufactures cigarettes, whether in this  | 
| State or out of this State, and who is neither (i)  | 
| a participating manufacturer as defined in  | 
| subsection II(jj) of the "Master Settlement  | 
|  | 
| Agreement" as defined in Sections 10 of the Tobacco  | 
| Products Manufacturers' Escrow Act and the Tobacco  | 
| Products Manufacturers' Escrow Enforcement Act of  | 
| 2003 (30 ILCS 168/10 and 30 ILCS 167/10); nor (ii)  | 
| in full compliance with Tobacco Products  | 
| Manufacturers' Escrow Act and the Tobacco Products  | 
| Manufacturers' Escrow Enforcement Act of 2003 (30  | 
| ILCS 168/ and 30 ILCS 167/); | 
|                 (d) has been found by the Department, after  | 
| notice and a hearing, to have imported or caused to  | 
| be imported into the United States for sale or  | 
| distribution any cigarette in violation of 19  | 
| U.S.C. 1681a; | 
|                 (e) has been found by the Department, after  | 
| notice and a hearing, to have imported or caused to  | 
| be imported into the United States for sale or  | 
| distribution or manufactured for sale or  | 
| distribution in the United States any cigarette  | 
| that does not fully comply with the Federal  | 
| Cigarette Labeling and Advertising Act (15 U.S.C.  | 
| 1331, et seq.); or | 
|                 (f) has been found by the Department, after  | 
| notice and a hearing, to have made a material false  | 
| statement in the application or has failed to  | 
| produce records required to be maintained by this  | 
| Act. 
 | 
|  | 
|     The Department, upon receipt of an application, license fee  | 
| and bond in
proper form, from a person who is eligible to  | 
| receive a distributor's
license under this Act, shall issue to  | 
| such applicant a license in form as
prescribed by the  | 
| Department, which license shall permit the applicant to
which  | 
| it is issued to engage in business as a distributor at the  | 
| place
shown in his application. All licenses issued by the  | 
| Department under this
Act shall be valid for not to exceed one  | 
| year after issuance unless sooner
revoked, canceled or  | 
| suspended as provided in this Act. No license issued
under this  | 
| Act is transferable or assignable. Such license shall be
 | 
| conspicuously displayed in the place of business conducted by  | 
| the licensee
in Illinois under such license. No distributor  | 
| licensee acquires any vested interest or compensable property  | 
| right in a license issued under this Act. | 
|     A licensed distributor shall notify the Department of any  | 
| change in the information contained on the application form,  | 
| including any change in ownership and shall do so within 30  | 
| days after any such change. 
 | 
|     Any person aggrieved by any decision of the Department  | 
| under this Section
may, within 20 days after notice of the  | 
| decision, protest and request a
hearing.  Upon receiving a  | 
| request for a hearing, the Department shall give
notice to the  | 
| person requesting the hearing of the time and place fixed for  | 
| the
hearing and shall hold a hearing in conformity with the  | 
| provisions of this Act
and then issue its final administrative  | 
|  | 
| decision in the matter to that person.
In the absence of a  | 
| protest and request for a hearing within 20 days, the
 | 
| Department's decision shall become final without any further  | 
| determination
being made or notice given.
 | 
| (Source: P.A. 95-1053, eff. 1-1-10; 96-782, eff. 1-1-10.)
 
 | 
|     (35 ILCS 130/4b)  (from Ch. 120, par. 453.4b)
 | 
|     Sec. 4b. 
(a) The Department may, in its discretion, upon  | 
| application, issue
permits authorizing the payment of the tax  | 
| herein imposed by out-of-State
cigarette manufacturers who are  | 
| not required to be licensed as distributors
of cigarettes in  | 
| this State, but who elect to qualify under this Act as
 | 
| distributors of cigarettes in this State, and who, to the  | 
| satisfaction of
the Department, furnish adequate security to  | 
| insure payment of the tax,
provided that any such permit shall  | 
| extend only to cigarettes which such
permittee manufacturer  | 
| places in original packages that are contained
inside a sealed  | 
| transparent wrapper.  Such permits shall be issued without
 | 
| charge in such form as the Department may prescribe and shall  | 
| not be
transferable or assignable.
 | 
|     The following are ineligible to receive a distributor's  | 
| permit under
this subsection:
 | 
|         (1) a person who is not of good character and  | 
| reputation in the
community in which he resides; the  | 
| Department may consider past conviction of a felony but the  | 
| conviction shall not operate as an absolute bar to  | 
|  | 
| receiving a permit; 
 | 
|         (2) a person who has been convicted of a felony under  | 
| any Federal or
State law, if the Department, after  | 
| investigation and a hearing and consideration of  | 
| mitigating factors and evidence of rehabilitation  | 
| contained in the applicant's record, including those in  | 
| Section 4i of this Act, if
requested by the applicant,  | 
| determines that such person has not been
sufficiently  | 
| rehabilitated to warrant the public trust and the  | 
| conviction will impair the ability of the person to engage  | 
| in the position for which a permit is sought;
 | 
|         (3) a corporation, if any officer, manager or director  | 
| thereof, or any
stockholder or stockholders owning in the  | 
| aggregate more than 5% of the
stock of such corporation,  | 
| would not be eligible to receive a permit under
this Act  | 
| for any reason.
 | 
|     With respect to cigarettes which come within the scope of  | 
| such a permit
and which any such permittee delivers or causes  | 
| to be delivered in Illinois
to licensed distributors, such  | 
| permittee shall remit the tax imposed by this Act at
the times  | 
| provided for in Section 3 of this Act. Each such remittance
 | 
| shall be accompanied by a return filed with the Department on a  | 
| form to be
prescribed and furnished by the Department and shall  | 
| disclose such
information as the Department may lawfully  | 
| require.  The Department may promulgate rules to require that  | 
| the permittee's return be accompanied by appropriate  | 
|  | 
| computer-generated magnetic media supporting schedule data in  | 
| the format prescribed by the Department, unless, as provided by  | 
| rule, the Department grants an exception upon petition of the  | 
| permittee. Each such return shall
be accompanied by a copy of  | 
| each invoice rendered by the permittee to any
licensed  | 
| distributor to whom the permittee delivered cigarettes of the  | 
| type covered by
the permit (or caused cigarettes of the type  | 
| covered by the permit to be
delivered) in Illinois during the  | 
| period covered by such return.
 | 
|     Such permit may be suspended, canceled or revoked when, at  | 
| any time, the
Department considers that the security given is  | 
| inadequate, or that such
tax can more effectively be collected  | 
| from distributors located in this
State, or whenever the  | 
| permittee violates any provision of this Act or any
lawful rule  | 
| or regulation issued by the Department pursuant to this Act or
 | 
| is determined to be ineligible for a distributor's permit under  | 
| this Act as
provided in this Section, whenever the permittee  | 
| shall notify the
Department in writing of his desire to have  | 
| the permit canceled.  The
Department shall have the power, in  | 
| its discretion, to issue a new permit
after such suspension,  | 
| cancellation or revocation, except when the person
who would  | 
| receive the permit is ineligible to receive a distributor's
 | 
| permit under this Act.
 | 
|     All permits issued by the Department under this Act shall  | 
| be valid for
not to exceed one year after issuance unless  | 
| sooner revoked, canceled or
suspended as in this Act provided.  
 | 
|  | 
|     (b) Out-of-state cigarette manufacturers who are not  | 
| required to be licensed as distributors of cigarettes in this  | 
| State and who do not elect to obtain approval under subsection  | 
| 4b(a) to pay the tax imposed by this Act, but who elect to  | 
| qualify under this Act as distributors of cigarettes in this  | 
| State for purposes of shipping and delivering unstamped  | 
| original packages of cigarettes into this State to licensed  | 
| distributors, shall obtain a permit from the Department. These  | 
| permits shall be issued without charge in such form as the  | 
| Department may prescribe and shall not be transferable or  | 
| assignable.  | 
|     The following are ineligible to receive a distributor's  | 
| permit under this subsection:  | 
|         (1) a person who is not of good character and  | 
| reputation in the community in which he or she resides; the  | 
| Department may consider past conviction of a felony but the  | 
| conviction shall not operate as an absolute bar to  | 
| receiving a permit;  | 
|         (2) a person who has been convicted of a felony under  | 
| any federal or State law, if the Department, after  | 
| investigation and a hearing and consideration of  | 
| mitigating factors and evidence of rehabilitation  | 
| contained in the applicant's record, including those set  | 
| forth in Section 4i of this Act, if requested by the  | 
| applicant, determines that the person has not been  | 
| sufficiently rehabilitated to warrant the public trust and  | 
|  | 
| the conviction will impair the ability of the person to  | 
| engage in the position for which a permit is sought; and  | 
|         (3) a corporation, if any officer, manager, or director  | 
| thereof, or any stockholder or stockholders owning in the  | 
| aggregate more than 5% of the stock of the corporation,  | 
| would not be eligible to receive a permit under this Act  | 
| for any reason.  | 
|     With respect to original packages of cigarettes that such  | 
| permittee delivers or causes to be delivered in Illinois and  | 
| distributes to the public for promotional purposes without  | 
| consideration, the permittee shall pay the tax imposed by this  | 
| Act by remitting the amount thereof to the Department by the  | 
| 5th day of each month covering cigarettes shipped or otherwise  | 
| delivered in Illinois for those purposes during the preceding  | 
| calendar month. The permittee, before delivering those  | 
| cigarettes or causing those cigarettes to be delivered in this  | 
| State, shall evidence his or her obligation to remit the taxes  | 
| due with respect to those cigarettes by imprinting language to  | 
| be prescribed by the Department on each original package of  | 
| cigarettes, in such place thereon and in such manner also to be  | 
| prescribed by the Department. The imprinted language shall  | 
| acknowledge the permittee's payment of or liability for the tax  | 
| imposed by this Act with respect to the distribution of those  | 
| cigarettes.  | 
|     With respect to cigarettes that the permittee delivers or  | 
| causes to be delivered in Illinois to Illinois licensed  | 
|  | 
| distributors or distributed to the public for promotional  | 
| purposes, the permittee shall, by the 5th day of each month,  | 
| file with the Department, a report covering cigarettes shipped  | 
| or otherwise delivered in Illinois to licensed distributors or  | 
| distributed to the public for promotional purposes during the  | 
| preceding calendar month on a form to be prescribed and  | 
| furnished by the Department and shall disclose such other  | 
| information as the Department may lawfully require. The  | 
| Department may promulgate rules to require that the permittee's  | 
| report be accompanied by appropriate computer-generated  | 
| magnetic media supporting schedule data in the format  | 
| prescribed by the Department, unless, as provided by rule, the  | 
| Department grants an exception upon petition of the permittee.  | 
| Each such report shall be accompanied by a copy of each invoice  | 
| rendered by the permittee to any purchaser to whom the  | 
| permittee delivered cigarettes of the type covered by the  | 
| permit (or caused cigarettes of the type covered by the permit  | 
| to be delivered) in Illinois during the period covered by such  | 
| report.  | 
|     Such permit may be suspended, canceled, or revoked whenever  | 
| the permittee violates any provision of this Act or any lawful  | 
| rule or regulation issued by the Department pursuant to this  | 
| Act, is determined to be ineligible for a distributor's permit  | 
| under this Act as provided in this Section, or notifies the  | 
| Department in writing of his or her desire to have the permit  | 
| canceled. The Department shall have the power, in its  | 
|  | 
| discretion, to issue a new permit after such suspension,  | 
| cancellation, or revocation, except when the person who would  | 
| receive the permit is ineligible to receive a distributor's  | 
| permit under this Act.  | 
|     All permits issued by the Department under this Act shall  | 
| be valid for a period not to exceed one year after issuance  | 
| unless sooner revoked, canceled, or suspended as provided in  | 
| this Act.  | 
| (Source: P.A. 96-782, eff. 1-1-10.)
 | 
|     (35 ILCS 130/4c) | 
|     Sec. 4c. Secondary distributor's license. No person may  | 
| engage in business as a secondary distributor of cigarettes in  | 
| this State without first having obtained a license therefor  | 
| from the Department. Application for license shall be made to  | 
| the Department on a form as furnished and prescribed by the  | 
| Department. Each applicant for a license under this Section  | 
| shall furnish the following information to the Department on a  | 
| form signed and verified by the applicant under penalty of  | 
| perjury: | 
|         (1) the name and address of the applicant; | 
|         (2) the address of the location at which the applicant  | 
| proposes to engage in business as a secondary distributor  | 
| of cigarettes in this State; and | 
|         (3) such other additional information as the  | 
| Department may reasonably require. | 
|  | 
|     The annual license fee payable to the Department for each  | 
| secondary distributor's license shall be $250. Each applicant  | 
| for a license shall pay such fee to the Department at the time  | 
| of submitting an application for  license to the Department. | 
|     A separate application for license shall be made and  | 
| separate annual license fee paid for each place of business at  | 
| which a person who is required to procure a secondary  | 
| distributor's license under this Section proposes to engage in  | 
| business as a secondary distributor in Illinois under this Act. | 
|     The following are ineligible to receive a secondary  | 
| distributor's license under this Act: | 
|         (1) a person who is not of good character and  | 
| reputation in the community in which he resides; the  | 
| Department may consider past conviction of a felony but the  | 
| conviction shall not operate as an absolute bar to  | 
| receiving a license; | 
|         (2) a person who has been convicted of a felony under  | 
| any federal or State law, if the Department, after  | 
| investigation and a hearing and consideration of the  | 
| mitigating factors provided in subsection (b) of Section 4i  | 
| of this Act, if requested by the applicant, determines that  | 
| such person has not been sufficiently rehabilitated to  | 
| warrant the public trust and the conviction will impair the  | 
| ability of the person to engage in the position for which a  | 
| license is sought; | 
|         (3) a corporation, if any officer, manager, or director  | 
|  | 
| thereof, or any stockholder or stockholders owning in the  | 
| aggregate more than 5% of the stock of such corporation,  | 
| would not be eligible to receive a license under this Act  | 
| for any reason; | 
|         (4) a person who manufactures cigarettes, whether in  | 
| this State or out of this State; | 
|         (5) a person, or any person who owns more than 15% of  | 
| the ownership interests in a person or a related party who: | 
|             (A) owes, at the time of application, any  | 
| delinquent cigarette taxes that have been determined  | 
| by law to be due and unpaid, unless the license  | 
| applicant has entered into an agreement approved by the  | 
| Department to pay the amount due; | 
|             (B) had a license under this Act revoked within the  | 
| past two years by the Department or has been convicted  | 
| of a State or federal crime, punishable by imprisonment  | 
| of one year or more, relating to stolen or contraband  | 
| cigarettes; | 
|             (C) has been found by the Department, after notice  | 
| and a hearing, to have imported or caused to be  | 
| imported into the United States for sale or  | 
| distribution any cigarette in violation of 19 U.S.C.  | 
| 1681a; | 
|             (D) has been found by the Department, after notice  | 
| and a hearing, to have imported or caused to be  | 
| imported into the United States for sale or  | 
|  | 
| distribution or manufactured for sale or distribution  | 
| in the United States any cigarette that does not fully  | 
| comply with the Federal Cigarette Labeling and  | 
| Advertising Act (15 U.S.C. 1331, et seq.); or | 
|             (E) has been found by the Department, after notice  | 
| and a hearing, to have made a material false statement  | 
| in the application or has failed to produce records  | 
| required to be maintained by this Act. | 
|     The Department, upon receipt of an application and license  | 
| fee from a person who is eligible to receive a secondary  | 
| distributor's license under this Act, shall issue to such  | 
| applicant a license in such form as prescribed by the  | 
| Department.  The license shall permit the applicant to which it  | 
| is issued to engage in business as a secondary distributor at  | 
| the place shown in his application. All licenses issued by the  | 
| Department under this Act shall be valid for a period not to  | 
| exceed one year after issuance unless sooner revoked, canceled,  | 
| or suspended as provided in this Act. No license issued under  | 
| this Act is transferable or assignable. Such license shall be  | 
| conspicuously displayed in the place of business conducted by  | 
| the licensee in Illinois under such license. No secondary  | 
| distributor licensee acquires any vested interest or  | 
| compensable property right in a license issued under this Act. | 
|     A licensed secondary distributor shall notify the  | 
| Department of any change in the information contained on the  | 
| application form, including any change in ownership, and shall  | 
|  | 
| do so within 30 days after any such change. | 
|     Any person aggrieved by any decision of the Department  | 
| under this Section may, within 20 days after notice of the  | 
| decision, protest and request a hearing. Upon receiving a  | 
| request for a hearing, the Department shall give notice to the  | 
| person requesting the hearing of the time and place fixed for  | 
| the hearing and shall hold a hearing in conformity with the  | 
| provisions of this Act and then issue its final administrative  | 
| decision in the matter to that person. In the absence of a  | 
| protest and request for a hearing within 20 days, the  | 
| Department's decision shall become final without any further  | 
| determination being made or notice given.
 | 
| (Source: P.A. 96-1027, eff. 7-12-10.)
 | 
|     (35 ILCS 130/4i new) | 
|     Sec. 4i. Applicant convictions. | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license or permit under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
|  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license or permit  was previously convicted of a felony under  | 
| any federal or State law, shall consider any mitigating factors  | 
| and evidence of rehabilitation contained in the applicant's  | 
| record, including any of the following factors and evidence, to  | 
| determine if the applicant has been sufficiently rehabilitated  | 
| and whether a prior conviction will impair the ability of the  | 
| applicant to engage in the position for which a license or  | 
| permit is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license or permit is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
|  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license, permit or employment is sought. | 
|     (c) If the Department refuses to issue a license or permit  | 
| to an applicant, then the Department shall notify the applicant  | 
| of the denial in writing with the following included in the  | 
| notice of denial: | 
|  | 
|         (1) a statement about the decision to refuse to issue a  | 
| license or permit; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license or permit is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license or permit;  | 
| and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license or  | 
| permit applications during the preceding calendar year. Each  | 
| report shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license or permit under this Act within the previous  | 
| calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license or permit under this Act within the previous  | 
| calendar year who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license or permit under this Act in the previous calendar  | 
| year who were granted a license or permit; | 
|         (4) the number of applicants for a new or renewal  | 
|  | 
| license or permit with a criminal conviction who were  | 
| granted a license or permit under this Act within the  | 
| previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license or permit under this Act within the previous  | 
| calendar year who were denied a license or permit; and | 
|         (6) the number of applicants for a new or renewal  | 
| license or permit with a criminal conviction who were  | 
| denied a license or permit under this Act in the previous  | 
| calendar year in whole or in part because of a prior  | 
| conviction.
 | 
|     Section 20. The Counties Code is amended  by changing  | 
| Section 5-10004 and  by adding Section 5-10004a as follows:
 
 | 
|     (55 ILCS 5/5-10004)  (from Ch. 34, par. 5-10004)
 | 
|     Sec. 5-10004. Qualifications for license. A license to  | 
| operate
or maintain a dance hall may be issued by the county  | 
| board to any citizen,
firm or corporation of the State, who
 | 
|     (1) Submits a written application for a license, which  | 
| application shall
state, and the applicant shall state under  | 
| oath:
 | 
|         (a) The name, address, and residence of the applicant,  | 
| and the length of
time he has lived at that residence;:
 | 
|         (b) The place of birth of the applicant, and if the  | 
| applicant is a
naturalized citizen, the time and place of  | 
|  | 
| such naturalization;
 | 
|         (c) Whether the applicant has a prior felony  | 
| conviction; and That the applicant has never been convicted  | 
| of a felony, or of a
misdemeanor punishable under the laws  | 
| of this State by a minimum
imprisonment of six months or  | 
| longer.
 | 
|         (d) The location of the place or building where the  | 
| applicant intends to
operate or maintain the dance hall.
 | 
|     (2) And who establishes:
 | 
|         (a) That he is a person of good moral character; and
 | 
|         (b) that the place or building where the dance hall or  | 
| road house is to
be operated or maintained, reasonably  | 
| conforms to all laws, and health and
fire regulations  | 
| applicable thereto, and is properly ventilated and
 | 
| supplied with separate and sufficient toilet arrangements  | 
| for each sex, and
is a safe and proper place or building  | 
| for a public dance hall or road
house.
 | 
| (Source: P.A. 86-962.)
 | 
|     (55 ILCS 5/5-10004a new) | 
|     Sec. 5-10004a. Applicant convictions. | 
|     (a) Applicants shall not be required to report the  | 
| following information and the following information shall not  | 
| be considered in connection with an application for a license  | 
| under this Act: | 
|         (1) Juvenile adjudications of delinquent minors, as  | 
|  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in  Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) No application for a license under this Division shall  | 
| be denied by reason of a finding of lack of good moral  | 
| character when the finding is based upon the fact that the  | 
| applicant has previously been convicted of one or more criminal  | 
| offenses. | 
|     (c) The county board, upon finding that an applicant for a  | 
| license under this Act has a prior conviction for a felony,  | 
| shall consider any evidence of rehabilitation and mitigating  | 
| factors contained in the applicant's record, including any of  | 
| the following factors and evidence, to determine if a license  | 
| may be denied because the conviction will impair the ability of  | 
| the applicant to engage in the position for which a license is  | 
| sought: | 
|         (1) the lack of direct relation of the offense for  | 
|  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
|  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (d) If the county board refuses to issue a license to an  | 
| applicant, then the county board shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
| of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the county board  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (e) No later than May 1 of each year, the board must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|  | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 | 
|     Section 25. The Illinois Insurance Code is amended  by  | 
| changing Sections 500-30, 500-70, 1525, and 1555 and  by adding  | 
| Sections 500-76 and 1550 as follows:
 
 | 
|     (215 ILCS 5/500-30)
 | 
|     (Section scheduled to be repealed on January 1, 2027)
 | 
|     Sec. 500-30. Application for license. 
 | 
|     (a) An individual applying for a resident insurance  | 
| producer license must
make
application on a form specified by  | 
|  | 
| the Director and declare under penalty of
refusal, suspension,
 | 
| or revocation of the license that the statements made in the  | 
| application are
true, correct, and
complete to the best of the  | 
| individual's knowledge and belief.  Before
approving the  | 
| application,
the Director must find that the individual:
 | 
|         (1) is at least 18 years of age;
 | 
|         (2) is sufficiently rehabilitated in cases in which the  | 
| applicant has not committed any act that is a ground for  | 
| denial, suspension, or
revocation set forth in Section  | 
| 500-70, other than convictions set forth in paragraph (6)  | 
| of subsection (a) of Section 500-70; with respect to  | 
| applicants with convictions set forth in paragraph (6) of  | 
| subsection (a) of Section 500-70, the Director shall  | 
| determine in accordance with Section 500-76 that the  | 
| conviction will not impair the ability of the applicant to  | 
| engage in the position for which a license is sought; 
 | 
|         (3) has completed, if required by the Director, a  | 
| pre-licensing course
of
study before the insurance exam for  | 
| the lines of authority for which the individual has applied  | 
| (an
individual who
successfully completes the Fire and  | 
| Casualty pre-licensing courses also meets
the
requirements  | 
| for Personal Lines-Property and Casualty);
 | 
|         (4) has paid the fees set forth in Section 500-135; and
 | 
|         (5) has successfully passed the examinations for the  | 
| lines of authority
for
which the person has applied.
 | 
|     (b) A pre-licensing course of study for each class of  | 
|  | 
| insurance for which
an insurance
producer license is requested  | 
| must be established in accordance with rules
prescribed by the
 | 
| Director and must consist of the following minimum hours:
 | 
| 
|
 | Class of Insurance | 
Number of | 
 
|
 |  | 
Hours | 
 
|
 | Life (Class 1 (a)) | 
20 | 
 
|
 | Accident and Health (Class 1(b) or 2(a)) | 
20 | 
 
|
 | Fire (Class 3) | 
20 | 
 
|
 | Casualty (Class 2) | 
20 | 
 
|
 | Personal Lines-Property Casualty | 
20 | 
 
|
 | Motor Vehicle (Class 2(b) or 3(e)) | 
12.5 | 
 
 | 
|     7.5 hours of each pre-licensing course must be completed in  | 
| a classroom setting, except Motor Vehicle, which would require  | 
| 5 hours in a classroom setting.  | 
|     (c) A business entity acting as an insurance producer must  | 
| obtain an
insurance
producer license. Application must be made  | 
| using the Uniform Business Entity
Application.
Before  | 
| approving the application, the Director must find that:
 | 
|         (1) the business entity has paid the fees set forth in  | 
| Section 500-135;
and
 | 
|         (2) the business entity has designated a licensed  | 
| producer responsible for
the
business entity's compliance  | 
| with the insurance laws and rules of this State.
 | 
|     (d) The Director may require any documents reasonably  | 
| necessary to verify
the
information contained in an  | 
| application.
 | 
|  | 
| (Source: P.A. 96-839, eff. 1-1-10.)
 
 | 
|     (215 ILCS 5/500-70)
 | 
|     (Section scheduled to be repealed on January 1, 2027)
 | 
|     Sec. 500-70. License denial, nonrenewal, or revocation. 
 | 
|     (a) The Director may place on probation, suspend, revoke,  | 
| or refuse to issue
or renew
an insurance producer's license or  | 
| may levy a civil penalty in accordance with
this Section or
 | 
| take any combination of actions, for any one or more of the  | 
| following causes:
 | 
|         (1) providing incorrect, misleading, incomplete, or  | 
| materially untrue
information in the license application;
 | 
|         (2) violating any insurance laws, or violating any  | 
| rule, subpoena, or
order of
the Director or of another  | 
| state's insurance commissioner;
 | 
|         (3) obtaining or attempting to obtain a license through  | 
| misrepresentation
or
fraud;
 | 
|         (4) improperly withholding, misappropriating or  | 
| converting any moneys or
properties received in the course  | 
| of doing insurance business;
 | 
|         (5) intentionally misrepresenting the terms of an  | 
| actual or proposed
insurance
contract or application for  | 
| insurance;
 | 
|         (6)  having been convicted of a felony, unless the  | 
| individual demonstrates to the Director sufficient  | 
| rehabilitation to warrant the public trust; consideration  | 
|  | 
| of such conviction of an applicant shall be in accordance  | 
| with Section 500-76; 
 | 
|         (7) having admitted or been found to have committed any  | 
| insurance unfair
trade practice or fraud;
 | 
|         (8) using fraudulent, coercive, or dishonest  | 
| practices, or demonstrating
incompetence,  | 
| untrustworthiness or financial irresponsibility in the  | 
| conduct of
business in
this State or elsewhere;
 | 
|         (9) having an insurance producer license,
or its  | 
| equivalent, denied, suspended,
or revoked in any other  | 
| state, province, district or territory;
 | 
|         (10) forging a name to an application for insurance or  | 
| to a document
related
to
an insurance transaction;
 | 
|         (11) improperly using notes or any other reference  | 
| material to complete an
examination for an insurance  | 
| license;
 | 
|         (12) knowingly accepting insurance business from an  | 
| individual who is not
licensed;
 | 
|         (13) failing to comply with an administrative or court  | 
| order imposing a
child
support obligation;
 | 
|         (14) failing to pay state income tax or penalty or  | 
| interest or comply with
any
administrative or court order  | 
| directing payment of state income tax or failed
to file a
 | 
| return or to pay any final assessment of any tax due to the  | 
| Department of
Revenue;
 | 
|         (15) failing to make satisfactory repayment to the  | 
|  | 
| Illinois Student
Assistance
Commission for a delinquent or  | 
| defaulted student loan; or
 | 
|         (16) failing to comply with any provision of the  | 
| Viatical Settlements Act of 2009.  | 
|     (b) If the action by the Director is to nonrenew, suspend,  | 
| or revoke a
license or to
deny an application for a license,  | 
| the Director shall notify the applicant or
licensee and advise,  | 
| in
writing, the applicant or licensee of the reason for the  | 
| suspension,
revocation, denial or
nonrenewal of the  | 
| applicant's or licensee's license. The applicant or licensee
 | 
| may make written
demand upon the Director within 30 days after  | 
| the date of mailing for a hearing
before the
Director to  | 
| determine the reasonableness of the Director's action.  The  | 
| hearing
must be held
within not fewer than 20 days nor more  | 
| than 30 days after the mailing of the
notice of hearing
and  | 
| shall be held pursuant to 50 Ill. Adm. Code 2402.
 | 
|     (c) The license of a business entity may be suspended,  | 
| revoked, or refused
if the
Director finds, after hearing, that  | 
| an individual licensee's violation was
known or should have
 | 
| been known by one or more of the partners, officers, or  | 
| managers acting on
behalf of the
partnership, corporation,  | 
| limited liability company, or limited liability
partnership  | 
| and the
violation was neither reported to the Director nor  | 
| corrective action taken.
 | 
|     (d) In addition to or instead of any applicable denial,  | 
| suspension, or
revocation of a
license, a person may, after  | 
|  | 
| hearing, be subject to a civil penalty of up to
$10,000 for  | 
| each cause for
denial, suspension, or revocation, however, the  | 
| civil penalty may total no more
than $100,000.
 | 
|     (e) The Director has the authority to enforce the  | 
| provisions of and impose
any penalty
or remedy authorized by  | 
| this Article against any person who is under
investigation for  | 
| or charged
with a violation of this Code or rules even if the  | 
| person's license or
registration has been
surrendered or has  | 
| lapsed by operation of law.
 | 
|     (f) Upon the suspension, denial, or revocation of a  | 
| license, the licensee or
other
person having possession or  | 
| custody of the license shall promptly deliver it to
the  | 
| Director in
person or by mail. The Director shall publish all  | 
| suspensions, denials, or
revocations after the
suspensions,  | 
| denials, or revocations become final in a manner designed to
 | 
| notify interested
insurance companies and other persons.
 | 
|     (g) A person whose license is revoked or whose application  | 
| is denied
pursuant to this
Section is ineligible to apply for  | 
| any license for 3 years after the revocation
or denial.  A  | 
| person
whose license as an insurance producer has been revoked,  | 
| suspended, or denied
may not be
employed, contracted, or  | 
| engaged in any insurance related capacity during the
time the
 | 
| revocation, suspension, or denial is in effect.
 | 
| (Source: P.A. 96-736, eff. 7-1-10.)
 | 
|     (215 ILCS 5/500-76 new) | 
|  | 
|     Sec. 500-76. Applicant convictions. | 
|     (a) The Director and the Department shall not require  | 
| applicants to report the following information and shall not  | 
| collect and consider the following  criminal history records in  | 
| connection with an insurance producer license application: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| that Act. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a charge or  | 
| conviction. | 
|         (4) Records of arrest where charges were dismissed  | 
| unless related to the duties and responsibilities of an  | 
| insurance producer.  However, applicants shall not be asked  | 
| to report any arrests, and any arrest not followed by a  | 
| conviction shall not be the basis of a denial and may be  | 
| used only to assess an applicant's rehabilitation.  | 
|         (5) Convictions overturned by a higher court. | 
|         (6) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Director, upon a finding that an applicant for a  | 
|  | 
| license under this Act was previously convicted of a felony,  | 
| shall consider any mitigating factors and evidence of  | 
| rehabilitation contained in the applicant's record, including  | 
| any of the following factors and evidence, to determine if  a  | 
| license may be denied because the prior conviction will impair  | 
| the ability of the applicant to engage in the position for  | 
| which a license is sought: | 
|         (1) the  bearing, if any, of the offense    for
which the  | 
| applicant was previously convicted  on the duties and  | 
| functions of the position for which a license is sought; | 
|         (2) whether the conviction suggests a future  | 
| propensity to endanger the safety and property of others  | 
| while performing the duties and responsibilities for which  | 
| a license is sought;  | 
|         (3) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (4) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (5) the age of the person at the time of the criminal  | 
| offense; | 
|         (6) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
|  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (7) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (8) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (9) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of an insurance producer. | 
|     (c) If a nonresident licensee meets the standards set forth  | 
| in items (1) through (4) of subsection (a) of Section 500-40  | 
| and has received consent pursuant to 18 U.S.C. 1033(e)(2) from  | 
| his or her home state, the Director shall grant the nonresident  | 
| licensee a license.  | 
|     (d) If the Director refuses to issue a license to an  | 
| applicant based upon a conviction or convictions in whole or in  | 
| part, then the Director shall notify the applicant of the  | 
| denial in writing with the following included in the notice of  | 
| denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
|  | 
| license; | 
|         (2) a list of convictions that the Director determined  | 
| will impair the applicant's ability to engage in the  | 
| position for which a license is sought;  | 
|         (3) a list of the convictions that were the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable.
 | 
|     (215 ILCS 5/1525)
 | 
|     Sec. 1525. Resident license. | 
|     (a) Before issuing a public adjuster license to an  | 
| applicant under this Section, the Director shall find that the  | 
| applicant: | 
|         (1) is eligible to designate this State as his or her  | 
| home state or is a nonresident who is not eligible for a  | 
| license under Section 1540; | 
|         (2) is sufficiently rehabilitated in cases in which the  | 
| applicant has not committed any act that is a ground for  | 
| denial, suspension, or revocation of a license as set forth  | 
| in Section 1555, other than convictions set forth in  | 
| paragraph (6) of subsection (a) of Section 1555; with  | 
| respect to applicants with convictions set forth in  | 
| paragraph (6) of subsection (a) of Section 1555, the  | 
| Director shall determine in accordance with Section 1550  | 
|  | 
| that the conviction will not impair the ability of the  | 
| applicant to engage in the position for which a license is  | 
| sought;  | 
|         (3) is trustworthy, reliable, competent, and of good  | 
| reputation, evidence of which may be determined by the  | 
| Director; | 
|         (4) is financially responsible to exercise the license  | 
| and has provided proof of financial responsibility as  | 
| required in Section 1560 of this Article; and | 
|         (5) maintains an office in the home state of residence  | 
| with public access by reasonable appointment or regular  | 
| business hours. This includes a designated office within a  | 
| home state of residence. | 
|     (b) In addition to satisfying the requirements of  | 
| subsection (a) of this Section, an individual shall: | 
|         (1) be at least 18 years of age; | 
|         (2) have successfully passed the public adjuster  | 
| examination; | 
|         (3) designate a licensed individual public adjuster  | 
| responsible for the business entity's compliance with the  | 
| insurance laws, rules, and regulations of this State; and | 
|         (4) designate only licensed individual public  | 
| adjusters to exercise the business entity's license. | 
|     (c) The Director may require any documents reasonably  | 
| necessary to verify the information contained in the  | 
| application.
 | 
|  | 
| (Source: P.A. 96-1332, eff. 1-1-11.)
 | 
|     (215 ILCS 5/1550 new) | 
|     Sec. 1550. Applicant convictions. | 
|     (a) The Director and the Department shall not require  | 
| applicants to report the following information and shall not  | 
| collect or consider the following criminal history records in  | 
| connection with a public adjuster license application: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| that Act. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a formal charge  | 
| or conviction. | 
|         (4) Records of arrest where charges were dismissed  | 
| unless related to the duties and responsibilities of a  | 
| public adjuster.  However, applicants shall not be asked to  | 
| report any arrests, and any arrest not followed by a  | 
| conviction shall not be the basis of a denial and may be  | 
| used only to assess an applicant's rehabilitation.  | 
|         (5) Convictions overturned by a higher court. | 
|  | 
|         (6) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Director, upon a finding that an applicant for a  | 
| license under this Act was previously convicted of a felony or  | 
| misdemeanor involving dishonesty or fraud, shall consider any  | 
| mitigating factors and evidence of rehabilitation contained in  | 
| the applicant's record, including any of the following factors  | 
| and evidence, to determine if  a license may be denied because  | 
| the prior conviction will impair the ability of the applicant  | 
| to engage in the position for which a license is sought: | 
|         (1) the bearing, if any, of the offense    for which the  | 
| applicant was previously convicted on the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether the conviction suggests a future  | 
| propensity to endanger the safety and property of others  | 
| while performing the duties and responsibilities for which  | 
| a license is sought; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|  | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the   | 
| duties and responsibilities of a public adjuster. | 
|     (c) If a nonresident licensee meets the standards set forth  | 
| in items (1) through (4) of subsection (a) of Section 1540 and  | 
| has received consent pursuant to 18 U.S.C. 1033(e)(2) from his  | 
| or her home state, the Director shall grant the nonresident  | 
| licensee a license.  | 
|     (d) If the Director refuses to issue a license to an  | 
| applicant based on a conviction or convictions, in whole or in  | 
| part, then the Director shall notify the applicant of the  | 
| denial in writing with the following included in the notice of  | 
|  | 
| denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of convictions that the Director determined  | 
| will impair the applicant's ability to engage in the  | 
| position for which a license is sought;  | 
|         (3) a list of the convictions that were the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable.
 | 
|     (215 ILCS 5/1555)
 | 
|     Sec. 1555. License denial, nonrenewal, or revocation. | 
|     (a) The Director may place on probation, suspend, revoke,  | 
| deny, or refuse to issue or renew a public adjuster's license  | 
| or may levy a civil penalty or any combination of actions, for  | 
| any one or more of the following causes: | 
|         (1) providing incorrect, misleading, incomplete, or  | 
| materially untrue information in the license application; | 
|         (2) violating any insurance laws, or violating any  | 
| regulation, subpoena, or order of the Director or of  | 
| another state's Director; | 
|         (3) obtaining or attempting to obtain a license through  | 
| misrepresentation or fraud; | 
|         (4) improperly withholding, misappropriating, or  | 
|  | 
| converting any monies or properties received in the course  | 
| of doing insurance business; | 
|         (5) intentionally misrepresenting the terms of an  | 
| actual or proposed insurance contract or application for  | 
| insurance; | 
|         (6) having been convicted of a felony or misdemeanor  | 
| involving dishonesty or fraud, unless the individual  | 
| demonstrates to the Director sufficient rehabilitation to  | 
| warrant the public trust; consideration of such  conviction  | 
| of an applicant shall be in accordance with Section 1550;  | 
|         (7) having admitted or been found to have committed any  | 
| insurance unfair trade practice or insurance fraud; | 
|         (8) using fraudulent, coercive, or dishonest  | 
| practices; or demonstrating incompetence,  | 
| untrustworthiness, or financial irresponsibility in the  | 
| conduct of business in this State or elsewhere; | 
|         (9) having an insurance license or public adjuster  | 
| license or its equivalent, denied, suspended, or revoked in  | 
| any other state, province, district, or territory; | 
|         (10) forging another's name to an application for  | 
| insurance or to any document related to an insurance  | 
| transaction; | 
|         (11) cheating, including improperly using notes or any  | 
| other reference material, to complete an examination for an  | 
| insurance license or public adjuster license; | 
|         (12) knowingly accepting insurance business from  or  | 
|  | 
| transacting business with an individual who is not licensed  | 
| but who is required to be licensed by the Director; | 
|         (13) failing to comply with an administrative or court  | 
| order imposing a child support obligation; | 
|         (14) failing to pay State income tax or comply with any  | 
| administrative or court order directing payment of State  | 
| income tax; | 
|         (15) failing to comply with or having violated any of  | 
| the standards set forth in Section 1590 of this Law; or | 
|         (16) failing to maintain the records required by  | 
| Section 1585 of this Law.  | 
|     (b) If the action by the Director is to nonrenew, suspend,  | 
| or revoke a license or to deny an application for a license,  | 
| the Director shall notify the applicant or licensee and advise,  | 
| in writing, the applicant or licensee of the reason for the  | 
| suspension, revocation, denial, or nonrenewal of the  | 
| applicant's or licensee's license. The applicant or licensee  | 
| may make written demand upon the Director within 30 days after  | 
| the date of mailing for a hearing before the Director to  | 
| determine the reasonableness of the Director's action. The  | 
| hearing must be held within not fewer than 20 days nor more  | 
| than 30 days after the mailing of the notice of hearing and  | 
| shall be held pursuant to 50 Ill. Adm. Code 2402. | 
|     (c) The license of a business entity may be suspended,  | 
| revoked, or refused if the Director finds, after hearing, that  | 
| an individual licensee's violation was known or should have  | 
|  | 
| been known by one or more of the partners, officers, or  | 
| managers acting on behalf of the business entity and the  | 
| violation was neither reported to the Director, nor corrective  | 
| action taken. | 
|     (d) In addition to or in lieu of any applicable denial,  | 
| suspension or revocation of a license, a person may, after  | 
| hearing, be subject to a civil penalty. In addition to or  | 
| instead of any applicable denial, suspension, or revocation of  | 
| a license, a person may, after hearing, be subject to a civil  | 
| penalty of up to $10,000 for each cause for denial, suspension,  | 
| or revocation, however, the civil penalty may total no more  | 
| than $100,000. | 
|     (e) The Director shall retain the authority to enforce the  | 
| provisions of and impose any penalty or remedy authorized by  | 
| this Article against any person who is under investigation for  | 
| or charged with a violation of this Article even if the  | 
| person's license or registration has been surrendered or has  | 
| lapsed by operation of law. | 
|     (f) Any individual whose public adjuster's license is  | 
| revoked or whose application is denied pursuant to this Section  | 
| shall be ineligible to apply for a public adjuster's license  | 
| for 5 years. A suspension pursuant to this Section may be for  | 
| any period of time up to 5 years. 
 | 
| (Source: P.A. 96-1332, eff. 1-1-11.)
 | 
|     Section 30. The Pyrotechnic
Distributor and
Operator  | 
|  | 
| Licensing Act is amended by changing Section 35 and by adding  | 
| Section 36 as follows:
 
 | 
|     (225 ILCS 227/35)
 | 
|     Sec. 35. Licensure requirements and fees. 
 | 
|     (a) Each application for a license to practice under this  | 
| Act shall be in
writing and signed by the applicant on forms  | 
| provided by the Office.
 | 
|     (b) After January 1, 2006, all pyrotechnic displays and  | 
| pyrotechnic services, both indoor and
outdoor, must comply with  | 
| the requirements set forth in this Act.
 | 
|     (c) After January 1, 2006, no person may engage in  | 
| pyrotechnic distribution without first applying for and  | 
| obtaining a license from the Office.  Applicants for a license  | 
| must submit to the Office the following: | 
|         (1) A current BATFE license for the type of pyrotechnic  | 
| service or pyrotechnic display provided. | 
|         (2) Proof of $1,000,000 in product liability  | 
| insurance. | 
|         (3) Proof of $1,000,000 in general liability insurance  | 
| that covers the pyrotechnic display or pyrotechnic service  | 
| provided. | 
|         (4) Proof of Illinois Workers' Compensation Insurance. | 
|         (5) A license fee set by the Office. | 
|         (6) Proof of a current United States Department of  | 
| Transportation (DOT) Identification Number. | 
|  | 
|         (7) Proof of a current USDOT Hazardous Materials  | 
| Registration Number. | 
|         (8) Proof of having the requisite knowledge, either  | 
| through training, examination, or
     continuing education, as  | 
| established by Office rule. | 
|     (c-3)  After January 1, 2010, no production company may  | 
| provide pyrotechnic displays or pyrotechnic services as part of  | 
| any production without either (i) obtaining a production  | 
| company license from the Office under which all pyrotechnic  | 
| displays and pyrotechnic services are performed by a licensed  | 
| lead pyrotechnic operator or (ii) hiring a pyrotechnic  | 
| distributor licensed in accordance with this Act to perform the  | 
| pyrotechnic displays or pyrotechnic services.  Applicants for a  | 
| production company license must submit to the Office the  | 
| following: | 
|         (1) Proof of $2,000,000 in commercial general  | 
| liability insurance that covers any damage or injury  | 
| resulting from the pyrotechnic displays or pyrotechnic  | 
| services provided. | 
|         (2) Proof of Illinois Worker's Compensation insurance. | 
|         (3) A license fee set by the Office. | 
|         (4) Proof of a current USDOT Identification Number,  | 
| unless: | 
|             (A) proof of such is provided by the lead  | 
| pyrotechnic operator employed by the production  | 
| company or insured as an additional named insured on  | 
|  | 
| the production company's general liability insurance,  | 
| as required under paragraph (1) of this subsection; or | 
|             (B) the production company certifies under penalty  | 
| of perjury that it engages only in flame effects or  | 
| never transports materials in quantities that require  | 
| registration with USDOT, or both.  | 
|         (5) Proof of a current USDOT Hazardous Materials  | 
| Registration Number, unless: | 
|             (A) proof of such is provided by the lead  | 
| pyrotechnic operator employed by the production  | 
| company or insured as an additional named insured on  | 
| the production company's general liability insurance,  | 
| as required under paragraph (1) of this subsection; or | 
|             (B)  the production company certifies under penalty  | 
| of perjury that it engages only in flame effects or  | 
| never transports materials in quantities that require  | 
| registration with USDOT, or both.  | 
|         (6) Identification of the licensed lead pyrotechnic  | 
| operator employed by the production company or insured as  | 
| an additional named insured on the production company's  | 
| general liability insurance, as required under paragraph  | 
| (1) of this subsection.  | 
|     The insurer shall not cancel the insured's coverage or  | 
| remove any additional named insured or additional insured from  | 
| the policy coverage without notifying the Office in writing at  | 
| least 15 days before cancellation.  | 
|  | 
|     (c-5) After January 1, 2006, no individual may act as a  | 
| lead operator in a
pyrotechnic display without first applying  | 
| for and obtaining a lead pyrotechnic
operator's
license from  | 
| the Office. The Office shall establish separate licenses for
 | 
| lead pyrotechnic
operators for indoor and outdoor pyrotechnic  | 
| displays. Applicants for a
license must:
 | 
|         (1) Pay the fees set by the Office.
 | 
|         (2) Have the requisite training or continuing  | 
| education as
established
in the Office's rules.
 | 
|         (3) (Blank).
 | 
|     (d) A person is qualified to receive a license under this  | 
| Act if
the person
meets all of the following minimum  | 
| requirements:
 | 
|         (1) Is at least 21 years of age.
 | 
|         (2) Has not willfully violated any provisions of this  | 
| Act.
 | 
|         (3) Has not made any material misstatement or knowingly  | 
| withheld
information in connection with any original or  | 
| renewal application.
 | 
|         (4) Has not been declared incompetent by any competent  | 
| court by
reasons of mental or physical defect or disease  | 
| unless a court has since
declared
the person competent.
 | 
|         (5) Does not have an addiction to or dependency on  | 
| alcohol or drugs that
is likely to endanger the public at a  | 
| pyrotechnic display.
 | 
|         (6) If convicted Has not been convicted in any  | 
|  | 
| jurisdiction of any felony within the
prior 5 years, will  | 
| not, by the Office's determination, be impaired by such  | 
| conviction in engaging in the position for which a license  | 
| is sought.
 | 
|         (7) Is not a fugitive from justice.  | 
|         (8) Has, or has applied for, a BATFE explosives license  | 
| or a Letter         of Clearance from the BATFE.
 | 
|         (9) If a lead pyrotechnic operator is employed by a  | 
| political subdivision of the State or by a licensed  | 
| production company or is insured as an additional named  | 
| insured on the production company's general liability  | 
| insurance, as required under paragraph (1) of subsection  | 
| (c-3) of this Section, he or she shall have a BATFE license  | 
| for the pyrotechnic services or pyrotechnic display  | 
| provided. 
 | 
|         (10)  If a production company has not provided proof of  | 
| a current USDOT Identification Number and a current USDOT  | 
| Hazardous Materials Registration Number, as required by  | 
| paragraphs (5) and (6) of subsection (c-3) of this Section,  | 
| then the lead pyrotechnic operator employed by the  | 
| production company or insured as an additional named  | 
| insured on the production company's general liability  | 
| insurance, as required under paragraph (1) of subsection  | 
| (c-3) of this Section, shall provide such proof to the  | 
| Office.  | 
|     (e) A person is qualified to assist a lead pyrotechnic  | 
|  | 
| operator if the person meets
all of the
following minimum  | 
| requirements:
 | 
|         (1) Is at least 18 years of age.
 | 
|         (2) Has not willfully violated any provision of this  | 
| Act.
 | 
|         (3) Has not been declared incompetent by any competent  | 
| court by reasons
of mental or physical defect or disease  | 
| unless a court has since declared the
person
competent.
 | 
|         (4) Does not have an addiction to or dependency on  | 
| alcohol or drugs that
is likely to endanger the public at a  | 
| pyrotechnic display.
 | 
|         (5) If convicted Has not been convicted in any  | 
| jurisdiction of any felony within the
prior 5 years, will  | 
| not, by the Office's determination, be impaired by such  | 
| conviction in engaging in the position for which a license  | 
| is sought.
 | 
|         (6) Is not a fugitive from justice.
 | 
|         (7) Is employed as an employee of the licensed  | 
| pyrotechnic distributor or the licensed production  | 
| company, or insured as an additional named insured on the  | 
| pyrotechnic distributor's product liability and general  | 
| liability insurance, as required under paragraphs (2) and  | 
| (3) of subsection (c) of this Section, or insured as an  | 
| additional named insured on the production company's  | 
| general liability insurance, as required under paragraph  | 
| (1) of subsection (c-3) of this Section.  | 
|  | 
|         (8) Has been registered with the Office by the licensed  | 
| distributor or the licensed production company on a form  | 
| provided by the Office prior to the time when the assistant  | 
| begins work on the pyrotechnic display or pyrotechnic  | 
| service.  | 
| (Source: P.A. 96-708, eff. 8-25-09; 97-164, eff. 1-1-12.)
 | 
|     (225 ILCS 227/36 new) | 
|     Sec. 36. Applicant convictions. | 
|     (a) The Office shall not require the applicant to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|  | 
|     (b) When reviewing, for the purpose of licensure, a  | 
| conviction of any felony within the previous 5 years, the  | 
| Office shall consider any evidence of rehabilitation and  | 
| mitigating factors contained in the applicant's record,  | 
| including any of the following factors and evidence, to  | 
| determine if such conviction will impair the ability of the  | 
| applicant to engage in the position for which a license is  | 
| sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) the amount of time that has elapsed since the  | 
| offense occurred; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
|  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the specific licensed  | 
| practice or employment position. | 
|     (c) If the Office refuses to issue a license to an  | 
| applicant, then the applicant shall be notified of the denial  | 
| in writing with the following included in the notice of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Office  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Office must  | 
|  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show,  at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction; | 
|         (7) the number of licenses issued on probation without  | 
| monitoring under this Act in the previous calendar year to  | 
| applicants with a criminal conviction; and | 
|         (8) the number of licenses issued on probation with  | 
|  | 
| monitoring under this Act in the previous calendar year to  | 
| applicants with a criminal conviction. 
 | 
|     Section 35. The Solid Waste Site Operator Certification Law  | 
| is amended by changing Section 1005 and by adding Section  | 
| 1005-1 as follows:
 
 | 
|     (225 ILCS 230/1005)  (from Ch. 111, par. 7855)
 | 
|     Sec. 1005. Agency authority. The Agency is authorized to  | 
| exercise
the following functions, powers and duties with  | 
| respect to solid waste site
operator certification:
 | 
|     (a) To conduct examinations to ascertain the  | 
| qualifications of applicants
for certificates of competency as  | 
| solid waste site operators;
 | 
|     (b) To conduct courses of training on the practical aspects  | 
| of the design,
operation and maintenance of sanitary landfills;
 | 
|     (c) To issue a certificate to any applicant who has  | 
| satisfactorily met all
the requirements pertaining to a  | 
| certificate of competency as a solid waste
site operator;
 | 
|     (d) To suspend, revoke or refuse to issue any certificate  | 
| for any one or
any combination of the following causes:
 | 
|         (1) The practice of any fraud or deceit in obtaining or  | 
| attempting to
obtain a certificate of competency;
 | 
|         (2) Negligence or misconduct in the operation of a  | 
| sanitary landfill;
 | 
|         (3) Repeated failure to comply with any of the  | 
|  | 
| requirements applicable
to the operation of a sanitary  | 
| landfill, except for Board requirements
applicable to the  | 
| collection of litter;
 | 
|         (4) Repeated violations of federal, State or local  | 
| laws, regulations,
standards, or ordinances regarding the  | 
| operation of refuse disposal
facilities or sites;
 | 
|         (5) For a holder of a certificate, conviction  | 
| Conviction in this or another State of any crime which is a  | 
| felony
under the laws of this State or conviction of a  | 
| felony in a federal court; for an applicant, consideration  | 
| of such conviction shall be in accordance with Section  | 
| 1005-1;
 | 
|         (6) Proof of gross carelessness or incompetence in  | 
| handling, storing,
processing, transporting, or disposing  | 
| of any hazardous waste; or
 | 
|         (7) Being declared to be a person under a legal  | 
| disability by a court
of competent jurisdiction and not  | 
| thereafter having been lawfully declared
to be a person not  | 
| under legal disability or to have recovered.
 | 
|     (e) To adopt rules necessary to perform its functions,  | 
| powers, and duties
with respect to solid waste site operator  | 
| certifications.
 | 
| (Source: P.A. 86-1363.)
 | 
|     (225 ILCS 230/1005-1 new) | 
|     Sec. 1005-1. Applicant convictions. | 
|  | 
|     (a) The Agency shall not require applicants to report the  | 
| following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| certification under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) When reviewing a conviction of any felony, the Agency  | 
| shall consider any evidence of rehabilitation and mitigating  | 
| factors contained in the applicant's record, including any of  | 
| the following factors and evidence, to determine if a  | 
| certificate may be denied because such conviction will impair  | 
| the ability of the applicant to engage in the position for  | 
| which a certificate is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
|  | 
| functions, and responsibilities of the position for which  | 
| certification is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|  | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| certificate or employment is sought. | 
|     (c) If the Agency refuses to issue a certificate to an  | 
| applicant, then the Agency shall notify the applicant of the  | 
| denial in writing with the following included in the notice of  | 
| denial: | 
|         (1) a statement about the decision to refuse to grant  | 
| certification; | 
|         (2) a list of the convictions that the Agency  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a certificate  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a certificate; and  | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a certificate, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Agency must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal  | 
| certification applications during the preceding calendar year.  | 
| Each report shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| certification under this Act within the previous calendar  | 
| year; | 
|  | 
|         (2) the number of applicants for a new or renewal  | 
| certification under this Act within the previous calendar  | 
| year who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| certification under this Act in the previous calendar year  | 
| who were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| certification with a criminal conviction who were granted  | 
| certification under this Act within the previous calendar  | 
| year; | 
|         (5) the number of applicants for a new or renewal  | 
| certification under this Act within the previous calendar  | 
| year who were denied certification; and | 
|         (6) the number of applicants for a new or renewal  | 
| certification with a criminal conviction who were denied  | 
| certification under this Act in the previous calendar year  | 
| in whole or in part because of a prior conviction.
 | 
|     Section 40. The Water Well and Pump Installation  | 
| Contractor's License Act is amended by changing Section 15 and  | 
| by adding Section 15.1 as follows:
 
 | 
|     (225 ILCS 345/15)  (from Ch. 111, par. 7116)
 | 
|     (Section scheduled to be repealed on January 1, 2022)
 | 
|     Sec. 15. 
The Department may refuse to issue or renew, may  | 
| suspend or may
revoke a license on any one or more of the  | 
|  | 
| following grounds:
 | 
|     (1) Material misstatement in the application for license;
 | 
|     (2) Failure to have or retain the qualifications required  | 
| by Section 9
of this Act;
 | 
|     (3) Wilful disregard or violation of this Act or of any  | 
| rule or
regulation promulgated by the Department pursuant  | 
| thereto; or disregard or
violation of any law of the state of  | 
| Illinois or of any rule or regulation
promulgated pursuant  | 
| thereto relating to water well drilling or the
installation of  | 
| water pumps and equipment or any rule or regulation adopted
 | 
| pursuant thereto;
 | 
|     (4) Wilfully aiding or abetting another in the violation of  | 
| this Act or
any rule or regulation promulgated by the  | 
| Department pursuant thereto;
 | 
|     (5) Incompetence in the performance of the work of a water  | 
| well
contractor or of a water well pump installation  | 
| contractor;
 | 
|     (6) Allowing the use of a license by someone other than the  | 
| person in
whose name it was issued;
 | 
|     (7) For licensees, conviction Conviction of any crime an  | 
| essential element of which is
misstatement, fraud or  | 
| dishonesty, conviction in this or another State of
any crime  | 
| which is a felony under the laws of this State or the  | 
| conviction
in a federal court of any felony; for applicants,  | 
| the Department may deny a license based on a conviction of any  | 
| felony or a misdemeanor directly related to the practice of the  | 
|  | 
| profession if the Department determines in accordance with  | 
| Section 15.1 that such conviction will impair the ability of  | 
| the applicant to engage in the position for which a license is  | 
| sought;. 
 | 
|     (8) Making substantial misrepresentations or false  | 
| promises of a
character likely to influence, persuade or induce  | 
| in connection with the
occupation of a water well contractor or  | 
| a water well pump installation
contractor.
 | 
| (Source: P.A. 77-1626.)
 | 
|     (225 ILCS 345/15.1 new) | 
|     Sec. 15.1. Applicant convictions. | 
|     (a) The Department shall not require an applicant to  | 
| provide the following information and shall not consider the  | 
| following criminal history records in connection with an  | 
| application for licensure: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the exclusions set forth in Section 5-130 of the  | 
| Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a charge or  | 
|  | 
| conviction. | 
|         (4) Records of arrest where charges were dismissed  | 
| unless related to the practice of the profession. However,  | 
| applicants shall not be asked to report any arrests, and  | 
| any arrest not followed by a conviction shall not be the  | 
| basis of a denial and may be used only to assess an  | 
| applicant's rehabilitation. | 
|         (5) Convictions overturned by a higher court. | 
|         (6) Convictions or arrests that have been sealed or
 | 
| expunged.  | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license was previously convicted of any felony or a misdemeanor  | 
| directly related to the practice of the profession, shall  | 
| consider any evidence of rehabilitation and mitigating factors  | 
| contained in the applicant's record, including any of the  | 
| following factors and evidence, to determine if the prior  | 
| conviction will impair the ability of the applicant to engage  | 
| in the position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|  | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the job  | 
| duties. | 
|     (c) If the Department refuses to issue a license to an  | 
| applicant, then the Department shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
|  | 
| of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
|  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| part or in whole because of a prior conviction.
 | 
|     Section 45. The Collateral Recovery Act is amended by  | 
| changing Sections 40, 45, 80, and 85 as follows:
 | 
|     (225 ILCS 422/40) | 
|     (Section scheduled to be repealed on January 1, 2022) | 
|     Sec. 40. Qualifications for recovery manager;  | 
| identification card.  | 
|     (a)  An applicant is qualified for licensure as a recovery  | 
| manager if that person meets all of the following requirements: | 
|         (1)  Is 21 years of age or older. | 
|         (2)  If convicted of any felony and less than 7 years  | 
| have passed from the time of discharge from the sentence  | 
| imposed, then a finding by the Commission in accordance  | 
| with Section 85 that the conviction will not impair the  | 
| applicant's ability to engage in the position requiring a  | 
| license. Has not been convicted in any jurisdiction of any  | 
| felony or at least 10 years has passed from the time of  | 
|  | 
| discharge from any sentence imposed for a felony. | 
|         (3)  Has completed no less than 2,500 hours of actual  | 
| compensated collateral recovery work as an employee of a  | 
| repossession agency, a financial institution, or a vehicle  | 
| dealer within the 5 years immediately preceding the filing  | 
| of an application, acceptable proof of which must be  | 
| submitted to the Commission. | 
|         (4) Has submitted to the Commission 2 sets of  | 
| fingerprints, which shall be checked against the  | 
| fingerprint records on file with the Illinois State Police  | 
| and the Federal Bureau of Investigation in the manner set  | 
| forth in Section 60 of this Act. | 
|         (5) Has successfully completed a certification program  | 
| approved by the Commission. | 
|         (6) Has paid the required application fees. | 
|     (b) Upon the issuance of a recovery manager license, the  | 
| Commission shall issue the license holder a suitable pocket  | 
| identification card that shall include a photograph of the  | 
| license holder.  The identification card must contain the name  | 
| of the license holder and any other information required by the  | 
| Commission. An applicant who is 21 years of age or older  | 
| seeking a religious exemption to the photograph requirement of  | 
| this subsection shall furnish with his or her application an  | 
| approved copy of United States Department of the Treasury  | 
| Internal Revenue Service Form 4029.  | 
|     (c) A recovery manager license is not transferable.
 | 
|  | 
| (Source: P.A. 97-576, eff. 7-1-12; 98-848, eff. 1-1-15.)
 | 
|     (225 ILCS 422/45) | 
|     (Section scheduled to be repealed on January 1, 2022) | 
|     Sec. 45. Repossession agency employee requirements.  | 
|     (a)  All employees of a licensed repossession agency whose  | 
| duties include the actual repossession of collateral must apply  | 
| for a recovery permit.  The holder of a repossession agency  | 
| license issued under this Act, known in this Section as the  | 
| "employer", may employ in the conduct of the business under the  | 
| following provisions: | 
|         (1)  No person may be issued a recovery permit who meets  | 
| any of the following criteria: | 
|             (A)  Is younger than 21 years of age. | 
|             (B)  Has been determined by the Commission to be  | 
| unfit by reason of conviction of an offense in this or  | 
| another state, other than a minor traffic offense, that  | 
| the Commission determines in accordance with Section  | 
| 85 will impair the ability of the person to engage in  | 
| the position for which a permit is sought.  The  | 
| Commission shall adopt rules for making those  | 
| determinations. | 
|             (C)  Has had a license or recovery permit denied,  | 
| suspended, or revoked under this Act. | 
|             (D)  Has not successfully completed a certification  | 
| program approved by the Commission. | 
|  | 
|         (2)  No person may be employed by a repossession agency  | 
| under this Section until he or she has executed and  | 
| furnished to the Commission, on forms furnished by the  | 
| Commission, a verified statement to be known as an  | 
| "Employee's Statement" setting forth all of the following: | 
|             (A)  The person's full name, age, and residence  | 
| address. | 
|             (B) The business or occupation engaged in for the 5  | 
| years immediately before the date of the execution of  | 
| the statement, the place where the business or  | 
| occupation was engaged in, and the names of the  | 
| employers, if any. | 
|             (C)  That the person has not had a license or  | 
| recovery permit denied, revoked, or suspended under  | 
| this Act. | 
|             (D)  Any conviction of a felony, except as provided  | 
| for in Section 85.  | 
|             (E)  Any other information as may be required by any  | 
| rule of the Commission to show the good character,  | 
| competency, and integrity of the person executing the  | 
| statement. | 
|     (b)  Each applicant for a recovery permit shall have his or  | 
| her fingerprints submitted to the Commission by a Live Scan  | 
| fingerprint vendor certified by the Illinois State Police under  | 
| the Private Detective, Private Alarm, Private Security,  | 
| Fingerprint Vendor, and Locksmith Act of 2004 in an electronic  | 
|  | 
| format that complies with the form and manner for requesting  | 
| and furnishing criminal history record information as  | 
| prescribed by the Illinois State Police. These fingerprints  | 
| shall be checked against the Illinois State Police and Federal  | 
| Bureau of Investigation criminal history record databases now  | 
| and hereafter filed.  The Commission shall charge applicants a  | 
| fee for conducting the criminal history records check, which  | 
| shall not exceed the actual cost of the records check.  The  | 
| Illinois Commerce Commission Police shall furnish, pursuant to  | 
| positive identification, records of Illinois convictions to  | 
| the Commission.  The Commission, in its discretion, may allow an  | 
| applicant who does not have reasonable access to a designated  | 
| vendor to provide his or her fingerprints in an alternative  | 
| manner. The Commission, in its discretion, may also use other  | 
| procedures in performing or obtaining criminal history records  | 
| checks of applicants. Instead of submitting his or her  | 
| fingerprints, an individual may submit proof that is  | 
| satisfactory to the Commission that an equivalent security  | 
| clearance has been conducted. | 
|     (c)  Qualified applicants shall purchase a recovery permit  | 
| from the  Commission and in a form that the Commission  | 
| prescribes. The Commission shall notify the submitting person  | 
| within 10 days after receipt of the application of its intent  | 
| to issue or deny the recovery permit.  The holder of a recovery  | 
| permit shall carry the recovery permit at all times while  | 
| actually engaged in the performance of the duties of his or her  | 
|  | 
| employment. No recovery permit shall be effective unless  | 
| accompanied by a license issued by the Commission.  Expiration  | 
| and requirements for renewal of recovery permits shall be  | 
| established by rule of the Commission.  Possession of a recovery  | 
| permit does not in any way imply that the holder of the  | 
| recovery permit is employed by any agency unless the recovery  | 
| permit is accompanied by the employee identification card  | 
| required by subsection (e) of this Section. | 
|     (d)  Each employer shall maintain a record of each employee  | 
| that is accessible to the duly authorized representatives of  | 
| the Commission.  The record shall contain all of the following  | 
| information: | 
|         (1)  A photograph taken within 10 days after the date  | 
| that the employee begins employment with the employer.  The  | 
| photograph shall be replaced with a current photograph  | 
| every 3 calendar years. | 
|         (2)  The Employee's Statement specified in paragraph  | 
| (2) of subsection (a) of this Section. | 
|         (3)  All correspondence or documents relating to the  | 
| character and integrity of the employee received by the  | 
| employer from any official source or law enforcement  | 
| agency. | 
|         (4)  In the case of former employees, the employee  | 
| identification card of that person issued under subsection  | 
| (e) of this Section. | 
|     (e)  Every employer shall furnish an employee  | 
|  | 
| identification card to each of his or her employees. This  | 
| subsection (e) shall not apply to office or clerical personnel.  | 
| This employee identification card shall contain a recent  | 
| photograph of the employee, the employee's name, the name and  | 
| agency license number of the employer, the employee's personal  | 
| description, the signature of the employer, the signature of  | 
| that employee, the date of issuance, and an employee  | 
| identification card number. | 
|     (f) No employer may issue an employee identification card  | 
| to any person who is not employed by the employer in accordance  | 
| with this Section or falsely state or represent that a person  | 
| is or has been in his or her employ. It is unlawful for an  | 
| applicant for registration to file with the Commission the  | 
| fingerprints of a person other than himself or herself or to  | 
| fail to exercise due diligence in resubmitting replacement  | 
| fingerprints for those employees who have had original  | 
| fingerprint submissions returned as unclassifiable. An agency  | 
| shall inform the Commission within 15 days after contracting or  | 
| employing a licensed repossession agency employee. The  | 
| Commission shall develop a registration process by rule. | 
|     (g) Every employer shall obtain the identification card of  | 
| every employee who terminates employment with the employer. An  | 
| employer shall immediately  report an identification card that  | 
| is lost or stolen to the local police department having  | 
| jurisdiction over the repossession agency location. | 
|     (h) No agency may employ any person to perform any activity  | 
|  | 
| under this Act unless the person possesses a valid license or  | 
| recovery permit under this Act. | 
|     (i) If information is discovered affecting the  | 
| registration of a person whose fingerprints were submitted  | 
| under this Section, then the Commission shall so notify the  | 
| agency that submitted the fingerprints on behalf of that  | 
| person. | 
|     (j) A person employed under this Section shall have 15  | 
| business days within which to notify the Commission of any  | 
| change in employer, but may continue working under any other  | 
| recovery permits granted as an employee or independent  | 
| contractor.  | 
|     (k) This Section applies only to those employees of  | 
| licensed repossession agencies whose duties include actual  | 
| repossession of collateral.
 | 
|     (l) An applicant who is 21 years of age or older seeking a  | 
| religious exemption to the photograph requirement of this  | 
| Section shall furnish with his or her application an approved  | 
| copy of United States Department of the Treasury Internal  | 
| Revenue Service Form 4029. Regardless of age, an applicant  | 
| seeking a religious exemption to this photograph requirement  | 
| shall submit fingerprints in a form and manner prescribed by  | 
| the  Commission with his or her application in lieu of a  | 
| photograph.  | 
| (Source: P.A. 97-576, eff. 7-1-12; 98-848, eff. 1-1-15.)
 | 
|  | 
|     (225 ILCS 422/80)
 | 
|     (Section scheduled to be repealed on January 1, 2022) | 
|     Sec. 80. Refusal, revocation, or suspension.  | 
|     (a) The Commission may refuse to issue or renew or may  | 
| revoke any license or recovery permit  or may suspend, place on  | 
| probation, fine, or take any disciplinary action that the  | 
| Commission may deem proper, including fines not to exceed  | 
| $2,500 for each violation, with regard to any license holder or  | 
| recovery permit  holder for one or any combination of the  | 
| following causes: | 
|         (1) Knowingly making any misrepresentation for the  | 
| purpose of obtaining a license or recovery permit. | 
|         (2) Violations of this Act or its rules. | 
|         (3) For licensees or permit holders, conviction  | 
| Conviction of any crime under the laws of the United States  | 
| or any state or territory thereof that is (i) a felony,  | 
| (ii) a misdemeanor, an essential element of which is  | 
| dishonesty, or (iii) a crime that is related to the  | 
| practice of the profession. For license or permit  | 
| applicants, the Commission may refuse to issue a license or  | 
| permit based on restrictions set forth in paragraph (2) of  | 
| subsection (a) of Section 40 and subparagraph (B) of  | 
| paragraph (1) of subsection (a) of Section 45,  | 
| respectively, if the Commission determines in accordance  | 
| with Section 85 that such conviction will impair the  | 
| ability of the applicant to engage in the position for  | 
|  | 
| which a license or permit is sought.  | 
|         (4) Aiding or abetting another in violating any  | 
| provision of this Act or its rules. | 
|         (5) Engaging in dishonorable, unethical, or  | 
| unprofessional conduct of a character likely to deceive,  | 
| defraud, or harm the public as defined by rule. | 
|         (6) Violation of any court order from any State or  | 
| public agency engaged in the enforcement of payment of  | 
| child support arrearages or for noncompliance with certain  | 
| processes relating to paternity or support proceeding. | 
|         (7) Solicitation of professional services by using  | 
| false or misleading advertising. | 
|         (8) A finding that the license or recovery permit  was  | 
| obtained by fraudulent means. | 
|         (9) Practicing or attempting to practice under a name  | 
| other than the full name shown on the license or recovery  | 
| permit  or any other legally authorized name. | 
|     (b) The Commission may refuse to issue or may suspend the  | 
| license or recovery permit  of any person or entity who fails to  | 
| file a return, pay the tax, penalty, or interest shown in a  | 
| filed return, or pay any final assessment of tax, penalty, or  | 
| interest, as required by any tax Act administered by the  | 
| Department of Revenue, until the time the requirements of the  | 
| tax Act are satisfied. The Commission may take into  | 
| consideration any pending tax disputes properly filed with the  | 
| Department of Revenue.
 | 
|  | 
| (Source: P.A. 97-576, eff. 7-1-12.)
 | 
|     (225 ILCS 422/85)
 | 
|     (Section scheduled to be repealed on January 1, 2022) | 
|     Sec. 85. Consideration of past crimes.  | 
|     (a) The Commission shall not require the applicant to  | 
| report the following information and shall not consider the  | 
| following criminal history records in connection with an  | 
| application for a license or permit under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged.  | 
|     (b) When (a) Notwithstanding the prohibitions set forth in  | 
| Sections 40 and 45 of this Act, when considering the denial of  | 
| a license or recovery permit  on the grounds of conviction of a  | 
| crime, including those set forth in paragraph (2) of subsection  | 
|  | 
| (a) of Section 40 and subparagraph (B) of paragraph (1) of  | 
| subsection (a) of Section 45, respectively, the Commission, in  | 
| evaluating whether the conviction will impair the applicant's  | 
| ability to engage in the position for which a license or permit  | 
| is sought the rehabilitation of the applicant and the  | 
| applicant's present eligibility for a license or recovery  | 
| permit, shall consider each of the following criteria: | 
|         (1) The lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought. The nature and severity of the act or  | 
| crime under consideration as grounds for denial. | 
|         (2) Circumstances relative to the offense, including  | 
| the applicant's age at the time that the offense was  | 
| committed.  | 
|         (3) (2) Evidence of any act committed subsequent to the  | 
| act or crime under consideration as grounds for denial,  | 
| which also could be considered as grounds for disciplinary  | 
| action under this Act. | 
|         (4) Whether 5 years since a conviction or 3 years since  | 
| release from confinement for the conviction, whichever is  | 
| later, have passed without a subsequent conviction. (3) The  | 
| amount of time that has lapsed since the commission of the  | 
| act or crime referred to in item (1) or (2) of this  | 
| subsection (a). | 
|         (5) Successful completion of sentence or for  | 
|  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision. (4) The extent to which the  | 
| applicant has complied with any terms of parole, probation,  | 
| restitution, or any other sanctions lawfully imposed  | 
| against the applicant.  | 
|         (6) If the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment. (5)  | 
| Evidence, if any, of rehabilitation submitted by the  | 
| applicant. | 
|         (7) Evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections.  | 
|         (8) Any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of practices licensed or  | 
| registered under this Act.  | 
|     (c) (b) When considering the suspension or revocation of a  | 
| license or recovery permit  on the grounds of conviction of a  | 
|  | 
| crime, the Commission, in evaluating the rehabilitation of the  | 
| applicant, whether the conviction will impair the applicant's  | 
| ability to engage in the position for which a license or permit  | 
| is sought, and the applicant's present eligibility for a  | 
| license or recovery permit, shall consider each of the  | 
| following criteria: | 
|         (1) The nature and severity of the act or offense. | 
|         (2) The license holder's or recovery permit  holder's  | 
| criminal record in its entirety. | 
|         (3) The amount of time that has lapsed since the  | 
| commission of the act or offense. | 
|         (4) Whether the license holder or recovery permit   | 
| holder has complied with any terms of parole, probation,  | 
| restitution, or any other sanctions lawfully imposed  | 
| against him or her. | 
|         (5) If applicable, evidence of expungement  | 
| proceedings. | 
|         (6) Evidence, if any, of rehabilitation submitted by  | 
| the license holder or recovery permit  holder.
 | 
|     (d) If the Commission refuses to grant a license or permit  | 
| to an applicant, then the Commission shall notify the applicant  | 
| of the denial in writing with the following included in the  | 
| notice of denial: | 
|         (1) a statement about the decision to refuse to grant a  | 
| license or permit; | 
|         (2) a list of the convictions that the Commission  | 
|  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license or permit is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to grant a license or permit;  | 
| and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license or permit, whichever is  | 
| applicable.  | 
|     (e) No later than May 1 of each year, the Commission must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license or  | 
| permit applications during the preceding calendar year. Each  | 
| report shall show, at a minimum:  | 
|         (1) the number of applicants for a new or renewal  | 
| license or permit under this Act within the previous  | 
| calendar year;  | 
|         (2) the number of applicants for a new or renewal  | 
| license or permit under this Act within the previous  | 
| calendar year who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license or permit under this Act in the previous calendar  | 
| year who were granted a license or permit; | 
|         (4) the number of applicants for a new or renewal  | 
| license or permit with a criminal conviction who were  | 
| granted a license or permit under this Act within the  | 
| previous calendar year; | 
|  | 
|         (5) the number of applicants for a new or renewal  | 
| license or permit under this Act within the previous  | 
| calendar year who were denied a license or permit; | 
|         (6) the number of applicants for a new or renewal  | 
| license or permit with a criminal conviction who were  | 
| denied a license or permit under this Act in the previous  | 
| calendar year in whole or in part  because of a prior  | 
| conviction; | 
|         (7) the number  of licenses or permits issued on  | 
| probation without monitoring under this Act in the previous  | 
| calendar year to applicants with a criminal conviction; and | 
|         (8) the number of licenses or permits issued on  | 
| probation with monitoring under this Act in the previous  | 
| calendar year to applicants with  a criminal conviction.  | 
| (Source: P.A. 97-576, eff. 7-1-12.)
 | 
|     Section 50. The Interpreter for the Deaf Licensure Act of  | 
| 2007 is amended  by changing Sections 45 and 115 and  by adding  | 
| Section 47 as follows:
 | 
|     (225 ILCS 443/45) | 
|     (Section scheduled to be repealed on January 1, 2018)
 | 
|     Sec. 45. Qualifications for licensure. A person shall be  | 
| qualified to be licensed as an interpreter for the deaf and the  | 
| Commission shall issue a license to an applicant who: | 
|         (1)       has applied in writing on the prescribed forms and  | 
|  | 
| paid the required fees; | 
|         (2)       is of good moral character; in determining good  | 
| moral character, the Commission shall take into  | 
| consideration whether the applicant has engaged in conduct  | 
| or activities that would constitute grounds for discipline  | 
| under Section 115 of this Act, except consideration of  | 
| prior convictions shall be in accordance with Section 47 of  | 
| this Act; | 
|         (3) is an accepted certificate holder; | 
|         (4) has a high school diploma or equivalent; and | 
|         (5) has met any other requirements established by the  | 
| Commission by rule.
 | 
| (Source: P.A. 95-617, eff. 9-12-07.)
 | 
|     (225 ILCS 443/47 new) | 
|     Sec. 47. Applicant convictions. | 
|     (a) The Commission shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
|  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) No application for any license under this Act shall be  | 
| denied by reason of a finding of lack of "good moral character"  | 
| when the finding is based upon the fact that the applicant has  | 
| previously been convicted of one or more criminal offenses. The  | 
| Commission, upon a finding that an applicant for a license was  | 
| previously convicted of a felony or a misdemeanor an essential  | 
| element of which is dishonesty or that is directly related to  | 
| the practice of interpreting, shall consider any evidence of  | 
| rehabilitation and mitigating factors contained in the  | 
| applicant's record, including any of the following factors and  | 
| evidence, to determine if a license may be denied because the  | 
| conviction will impair the ability of the applicant to engage  | 
| in the position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
|  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the   | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|  | 
|     (c) If the Commission refuses to issue a license to an  | 
| applicant, then the Commission shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
| of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Commission  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Commission must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a  new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal   | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
|  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction; | 
|         (7) the number of licenses issued on probation without  | 
| monitoring under this Act in the previous calendar year to  | 
| applicants with a criminal conviction; and | 
|         (8) the number of licenses issued on probation with  | 
| monitoring under this Act in the previous calendar year to  | 
| applicants with a criminal conviction. 
 | 
|     (225 ILCS 443/115) | 
|     (Section scheduled to be repealed on January 1, 2018)
 | 
|     Sec. 115. Grounds for disciplinary action.  | 
|     (a) The Commission may refuse to issue or renew any license  | 
| and the Department may  suspend or revoke any license or may  | 
| place on probation, censure, reprimand, or take other  | 
| disciplinary action deemed appropriate by the Department,  | 
| including the imposition of fines not to exceed $2,500 for each  | 
|  | 
| violation, with regard to any license issued under this Act for  | 
| any one or more of the following reasons: | 
|         (1) Material deception in furnishing information to  | 
| the Commission or the Department. | 
|         (2) Violations or  negligent or intentional disregard  | 
| of any provision of this Act or its rules. | 
|         (3) For licensees, conviction Conviction of any crime  | 
| under the laws of any jurisdiction of the United States  | 
| that is a felony or a misdemeanor, an essential element of  | 
| which is dishonesty, or that  is directly related to the  | 
| practice of interpreting. For applicants, consideration of  | 
| such convictions shall be in accordance with Section 47.  | 
|         (4) A pattern of practice or other behavior that  | 
| demonstrates incapacity or incompetence to practice under  | 
| this Act. | 
|         (5) Knowingly aiding or assisting another person in  | 
| violating any provision of this Act or rules adopted  | 
| thereunder. | 
|         (6) Failing, within 60 days, to provide a response to a  | 
| request for information in response to a written request  | 
| made by the Commission or the Department by certified mail. | 
|         (7) Engaging in dishonorable, unethical, or  | 
| unprofessional conduct of a character likely to deceive,  | 
| defraud, or harm the public. | 
|         (8) Habitual use of or addiction to alcohol, narcotics,  | 
| stimulants, or any other chemical agent or drug that  | 
|  | 
| results in a licensee's inability to practice with  | 
| reasonable judgment, skill, or safety. | 
|         (9) Discipline by another jurisdiction or   foreign  | 
| nation, if at least one of the grounds for the discipline  | 
| is the same or substantially equivalent to those set forth  | 
| in this Section. | 
|         (10) A finding that the licensee, after having his or  | 
| her  license placed on probationary status, has violated the  | 
| terms of probation. | 
|         (11) 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 a neglected  | 
| child, as defined in the Abused and Neglected Child  | 
| Reporting Act. | 
|         (12) Gross negligence in the practice of interpreting. | 
|         (13) Holding oneself out to be a practicing interpreter  | 
| for the deaf under any name other than one's own. | 
|         (14) Knowingly allowing another person or organization  | 
| to use the licensee's license to deceive the public. | 
|         (15) Attempting to subvert or cheat on an  | 
| interpreter-related examination or evaluation.  | 
|         (16) Immoral conduct in the commission of an act, such  | 
| as sexual abuse, sexual misconduct, or sexual  | 
| exploitation, related to the licensee's practice. | 
|  | 
|         (17) Willfully violating State or federal  | 
| confidentiality laws or the confidentiality between an  | 
| interpreter and client, except as required by State or  | 
| federal law. | 
|         (18) Practicing or attempting to practice interpreting  | 
| under a name other than one's own. | 
|         (19) The use of any false, fraudulent, or deceptive  | 
| statement in any document connected with the licensee's  | 
| practice. | 
|         (20) Failure of a licensee to report to the Commission  | 
| any adverse final action taken against him or her by  | 
| another licensing jurisdiction, any peer review body, any  | 
| professional deaf or hard of hearing interpreting  | 
| association,  any governmental Commission, by  law  | 
| enforcement Commission, or any court for a deaf or hard of  | 
| hearing interpreting liability claim related to acts or  | 
| conduct similar to acts or conduct that would constitute  | 
| grounds for action as provided  in this Section. | 
|         (21) Failure of a licensee to report to the Commission  | 
| surrender by the licensee of his or her license or  | 
| authorization to practice interpreting in another state or  | 
| jurisdiction or current surrender by the licensee of  | 
| membership in any deaf or hard of hearing interpreting  | 
| association or society while under disciplinary  | 
| investigation by any of those authorities or bodies for  | 
| acts or conduct similar to acts or conduct that would  | 
|  | 
| constitute grounds for action as provided  by this Section. | 
|         (22) Physical illness or injury including, but not  | 
| limited to, deterioration through the aging process or loss  | 
| of motor skill, mental illness, or disability that results  | 
| in the inability to practice the profession with reasonable  | 
| judgment, skill, or safety. | 
|         (23) Gross and willful overcharging for interpreter  | 
| services, including filing false statements for collection  | 
| of fees for which services have  not been rendered. | 
|     (b) The Commission may refuse to issue or the Department  | 
| may suspend the license of any person who fails to file a  | 
| return,  to pay the tax, penalty, or interest shown in a filed  | 
| return, or to pay any final assessment of 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. | 
|     (c) In enforcing this Section, the Commission, upon a  | 
| showing of a possible violation, may compel an individual  | 
| licensed 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 Commission. The  | 
| Commission 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 Commission shall specifically  | 
| designate the examining physicians. 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.  Failure of an individual to submit to a mental or  | 
| physical examination, when directed, shall be grounds for  | 
| suspension of his or her license until the individual submits  | 
| to the examination if the Commission finds, after notice and  | 
| hearing, that the refusal to submit to the examination was  | 
| without reasonable cause. | 
|     If the Commission finds an individual unable to practice  | 
| because of the reasons set forth in this subsection (c), the  | 
| Commission may require that individual to submit to care,  | 
| counseling, or treatment by physicians approved or designated  | 
| by the Commission as a condition, term, or restriction for  | 
| continued, reinstated, or renewed licensure to practice or, in  | 
| lieu of care, counseling, or treatment, the Commission may file  | 
| a complaint to immediately  suspend,  revoke,  or otherwise   | 
| discipline the license of the individual. An individual whose  | 
| license was granted, continued, reinstated, renewed,  | 
| disciplined, or supervised subject to such terms, conditions,  | 
| or restrictions and who fails to comply with such terms,  | 
| conditions, or restrictions, shall be referred to the Director  | 
| for a determination as to whether the individual shall have his  | 
| or her license suspended immediately, pending a hearing by the  | 
| Department. | 
|  | 
|     In instances in which the Director immediately suspends a  | 
| person's license under this subsection (c), 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 Commission or 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 State and federal statutes and  | 
| regulations safeguarding the confidentiality of medical  | 
| records. | 
|     An individual licensed under this Act and affected under  | 
| this subsection (c) shall be afforded an opportunity to  | 
| demonstrate to the Commission that he or she can resume  | 
| practice in compliance with acceptable and prevailing  | 
| standards under the provisions of his or her license.
 | 
| (Source: P.A. 95-617, eff. 9-12-07.)
 | 
|     Section 55. The Animal Welfare Act is amended  by changing  | 
| Section 10 and by adding Section 4 as follows:
 | 
|     (225 ILCS 605/4 new) | 
|     Sec. 4. Applicant convictions. | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| in connection with an application for a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
|  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license was previously convicted of any felony or a misdemeanor  | 
| directly related to the practice of the profession, shall  | 
| consider any evidence of rehabilitation and mitigating factors  | 
| contained in the applicant's record, including any of the  | 
| following factors and evidence, to determine if the conviction  | 
| will impair the ability of the applicant to engage in the  | 
| position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
|  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|  | 
|     (c) If the Department refuses to grant a license to an  | 
| applicant, then the Department shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
| of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and  | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
|  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction; | 
|         (7) the number of licenses issued on probation without  | 
| monitoring under this Act in the previous calendar year to  | 
| applicants with convictions; and | 
|         (8) the number of licenses issued on probation with  | 
| monitoring under this Act in the previous calendar year to  | 
| applicants with convictions. 
 
 | 
|     (225 ILCS 605/10)  (from Ch. 8, par. 310)
 | 
|     Sec. 10. Grounds for discipline. The Department may refuse  | 
| to issue or
renew or may suspend or
revoke a license on any one  | 
| or more of the following grounds:
 | 
|         a. Material misstatement in the application for  | 
| original license or in
the application for any renewal  | 
| license under this Act;
 | 
|         b. A violation of this Act or of any regulations
or
 | 
|  | 
| rules issued pursuant thereto;
 | 
|         c. Aiding or abetting another in the violation of this  | 
| Act or
of any regulation or rule issued pursuant thereto;
 | 
|         d. Allowing one's license under this Act to be used by  | 
| an unlicensed
person;
 | 
|         e. For licensees, conviction Conviction of any crime an  | 
| essential element of which is
misstatement, fraud or  | 
| dishonesty or conviction of any felony, if the
Department  | 
| determines, after investigation, that such person has not  | 
| been
sufficiently rehabilitated to warrant the public  | 
| trust; for applicants, the Department may refuse to issue a  | 
| license based on a conviction of any felony or a  | 
| misdemeanor directly related to the practice of the  | 
| profession if the Department determines in accordance with  | 
| Section 4 that such conviction will impair the ability of  | 
| the applicant to engage in the position for which a license  | 
| is sought;
  | 
|         f. Conviction of a violation of any law of Illinois  | 
| except minor
violations such as traffic violations and  | 
| violations not related to the
disposition of dogs, cats and  | 
| other animals or any rule or regulation of
the Department  | 
| relating to dogs or cats and sale thereof;
 | 
|         g. Making substantial misrepresentations or false  | 
| promises of a
character likely to influence, persuade or  | 
| induce in connection with the
business of a licensee under  | 
| this Act;
 | 
|  | 
|         h. Pursuing a continued course of misrepresentation of  | 
| or making false
promises through advertising, salesman,  | 
| agents or otherwise in connection
with the business of a  | 
| licensee under this Act;
 | 
|         i. Failure to possess the necessary qualifications or  | 
| to meet the
requirements of the Act for the issuance or  | 
| holding a license; or
 | 
|         j. Proof that the licensee is guilty of gross  | 
| negligence,
incompetency, or cruelty with regard to  | 
| animals.
 | 
|     The Department may refuse to issue or may suspend the  | 
| license
of any person who fails to file a 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,  | 
| until such time as the requirements of any
such tax Act are  | 
| satisfied.
 | 
|     The Department may order any licensee to cease operation  | 
| for a period not
to exceed 72 hours to correct deficiencies in  | 
| order to meet licensing
requirements.
 | 
|     If the Department revokes a license under this Act at an  | 
| administrative hearing, the licensee and any individuals  | 
| associated with that license shall be prohibited from applying  | 
| for or obtaining a license under this Act for a minimum of 3  | 
| years.  | 
| (Source: P.A. 99-310, eff. 1-1-16.)
 | 
|  | 
|     Section 60. The Illinois Feeder Swine Dealer Licensing Act  | 
| is amended  by changing Section 9 and by adding Section 9.3 as  | 
| follows:
 
 | 
|     (225 ILCS 620/9)  (from Ch. 111, par. 209)
 | 
|     Sec. 9. 
Grounds for refusal to issue or renew license and  | 
| for license
suspension and revocation.  The Department may  | 
| refuse to issue or renew or
may
suspend or
revoke a license on  | 
| any one or more of the following grounds:
 | 
|     a.  Material misstatement in the application for original  | 
| license or in
the application for any renewal license under  | 
| this Act;
 | 
|     b.  Disregard or violation of this Act, any other Act  | 
| relative
to the purchase and sale of livestock or any  | 
| regulation or
rule issued pursuant thereto;
 | 
|     c.  Aiding or abetting another in the violation of this Act  | 
| or
of any regulation or rule issued pursuant thereto;
 | 
|     d.  Allowing one's license under this Act to be used by an  | 
| unlicensed
person;
 | 
|     e. For licensees, conviction Conviction of any crime an  | 
| essential element of which is
misstatement, fraud or dishonesty  | 
| or conviction of any felony, if the
Department determines,  | 
| after investigation, that such person has not been
sufficiently  | 
| rehabilitated to warrant the public trust; for applicants, the  | 
| Department may refuse to issue a license based on a conviction  | 
|  | 
| of any felony or a misdemeanor directly related to the practice  | 
| of the profession if the Department determines in accordance  | 
| with Section 9.3 that such conviction will impair the ability  | 
| of the applicant to engage in the position for which a license  | 
| is sought;
 | 
|     f. Conviction of a violation of any law of Illinois or any  | 
| rule or
regulation of the Department relating to feeder swine;
 | 
|     g. Making substantial misrepresentations or false promises  | 
| of a
character likely to influence, persuade or induce in  | 
| connection with the
livestock industry;
 | 
|     h. Pursuing a continued course of misrepresentation of or  | 
| making false
promises through advertising, salesmen, agents or  | 
| otherwise
in connection
with the livestock industry;
 | 
|     i. Failure to possess the necessary qualifications or to  | 
| meet the
requirements of this Act for the issuance or holding  | 
| of a license;
 | 
|     j. Operating without the bond or trust fund agreement  | 
| required by this
Act; or
 | 
|     k. Failing  to file a 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.
 | 
| (Source: P.A. 89-154, eff. 7-19-95.)
 | 
|     (225 ILCS 620/9.3 new) | 
|     Sec. 9.3. Applicant convictions. | 
|  | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license was previously convicted of any felony or a misdemeanor  | 
| directly related to the practice of the profession, shall  | 
| consider any evidence of rehabilitation and mitigating factors  | 
| contained in the applicant's record, including any of the  | 
| following factors and evidence, to determine if the conviction  | 
| will impair the ability of the applicant to engage in the  | 
| position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
|  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
|  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (c) If the Department refuses to issue a license to an  | 
| applicant, then the applicant shall be notified of the denial  | 
| in writing with the following included in the notice of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and  | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
|  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 | 
|     Section 65. The Illinois Horse Meat Act is amended  by  | 
| changing Section 3.2 and  by adding Section 3.3 as follows:
 
 | 
|     (225 ILCS 635/3.2)  (from Ch. 56 1/2, par. 242.2)
 | 
|     Sec. 3.2. The following persons are ineligible for  | 
| licenses: 
 | 
|     a.  A person who is not a resident of the city, village or  | 
| county in
which the premises covered by the license are  | 
| located; except in case of
railroad or boat licenses.
 | 
|     b.  A person who is not of good character and reputation in  | 
|  | 
| the community
in which he resides.
 | 
|     c.  A person who is not a citizen of the United States.
 | 
|     d.  A person with a prior conviction who has been convicted  | 
| of a felony or a misdemeanor that is directly related to the  | 
| practice of the profession where such conviction will impair  | 
| the person's ability to engage in the licensed position.
 | 
|     e.  (Blank). A person who has been convicted of a crime or  | 
| misdemeanor opposed to
decency and morality.
 | 
|     f. A person whose license issued under this Act has been  | 
| revoked for
cause.
 | 
|     g. A person who at the time of application for renewal of  | 
| any license
issued hereunder would not be eligible for such  | 
| license upon a first
application.
 | 
|     h. A co-partnership, unless all of the members of such  | 
| co-partnership
shall be qualified to obtain a license.
 | 
|     i. A corporation, if any officer, manager or director  | 
| thereof or any
stockholder or stockholders owning in the  | 
| aggregate more than five percent
(5%) of the stock of such  | 
| corporation, would not be eligible to receive a
license  | 
| hereunder for any reason other than citizenship and residence
 | 
| within the political subdivision.
 | 
|     j. A person whose place of business is conducted by a  | 
| manager or agent
unless said manager or agent possesses the  | 
| same qualifications required of
the licensee.
 | 
| (Source: Laws 1955, p. 388.)
 | 
|  | 
|     (225 ILCS 635/3.3 new) | 
|     Sec. 3.3. Applicant convictions. | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) No application for any license under this Act shall be  | 
| denied by reason of a finding of lack of moral character when  | 
| the finding is based upon the fact that the applicant has  | 
| previously been convicted of one or more criminal offenses. | 
|     (c)  The Department, upon a finding that an applicant for a  | 
| license was previously convicted of any felony or a misdemeanor  | 
| directly related to the practice of the profession, shall  | 
|  | 
| consider any evidence of rehabilitation and mitigating factors  | 
| contained in the applicant's record, including any of the  | 
| following factors and evidence, to determine if the conviction  | 
| will impair the ability of the applicant to engage in the  | 
| position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|  | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (d) If the Department refuses to issue a license to an  | 
| applicant, then the applicant shall be notified of the denial  | 
| in writing with the following included in the notice of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (e) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
|  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 | 
|     Section 70. The Illinois Livestock Dealer Licensing Act is  | 
| amended  by changing Section 9 and  by adding Section 9.4 as  | 
| follows:
 
 | 
|  | 
|     (225 ILCS 645/9)  (from Ch. 111, par. 409)
 | 
|     Sec. 9. 
The Department may refuse to issue or renew or may  | 
| suspend or
revoke a license on any of the following grounds:
 | 
|         a.  Material misstatement in the application for  | 
| original license or in
the application for any renewal  | 
| license under this Act;
 | 
|         b.  Wilful disregard or violation of this Act, or of any  | 
| other Act
relative to the purchase and sale of livestock,  | 
| feeder swine or horses, or
of any regulation or rule issued  | 
| pursuant thereto;
 | 
|         c.  Wilfully aiding or abetting another in the violation  | 
| of this Act or
of any regulation or rule issued pursuant  | 
| thereto;
 | 
|         d.  Allowing one's license under this Act to be used by  | 
| an unlicensed
person;
 | 
|         e. For licensees, conviction Conviction of any felony,  | 
| if the Department determines, after
investigation, that  | 
| such person has not been sufficiently rehabilitated to
 | 
| warrant the public trust; for applicants, the Department  | 
| may refuse to issue a license based on a conviction of a  | 
| felony if the Department determines in accordance with  | 
| Section 9.4 that such conviction will impair the ability of  | 
| the applicant to engage in the position for which a license  | 
| is sought; 
 | 
|         f. For licensees, conviction Conviction of any crime an  | 
| essential element of which is
misstatement, fraud or  | 
|  | 
| dishonesty; for applicants, the Department may refuse to  | 
| issue a license based on a conviction of a misdemeanor  | 
| directly related to the practice of the profession if the  | 
| Department determines in accordance with Section 9.4 that  | 
| such conviction will impair the ability of the applicant to  | 
| engage in the position for which a license is sought;
 | 
|         g. Conviction of a violation of any law in Illinois or  | 
| any Departmental
rule or regulation relating to livestock;
 | 
|         h. Making substantial misrepresentations or false  | 
| promises of a
character likely to influence, persuade or  | 
| induce in connection with the
livestock industry;
 | 
|         i. Pursuing a continued course of misrepresentation of  | 
| or making false
promises through advertising, salesmen,  | 
| agents or otherwise in connection
with the livestock  | 
| industry;
 | 
|         j. Failure to possess the necessary qualifications or  | 
| to meet the
requirements of this Act for the issuance or  | 
| holding a license;
 | 
|         k. Failure to pay for livestock after purchase;
 | 
|         l. Issuance of checks for payment of livestock when  | 
| funds are insufficient;
 | 
|         m. Determination by a Department audit that the  | 
| licensee or applicant
is insolvent;
 | 
|         n. Operating without adequate bond coverage or its  | 
| equivalent required
for licensees;
 | 
|         o. Failing to remit the assessment required in Section  | 
|  | 
| 9 of the Beef
Market Development Act upon written complaint  | 
| of the Checkoff Division of the Illinois Beef Association  | 
| Board of Governors.
 | 
|     The Department may refuse to issue or may suspend the  | 
| license
of any person who fails to file a 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,  | 
| until such time as the requirements of any
such tax Act are  | 
| satisfied.
 | 
| (Source: P.A. 99-389, eff. 8-18-15; 99-642, eff. 7-28-16.)
 | 
|     (225 ILCS 645/9.4 new) | 
|     Sec. 9.4. Applicant convictions. | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
|  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license was previously convicted of any felony or a misdemeanor  | 
| directly related to the practice of the profession, shall  | 
| consider any evidence of rehabilitation and mitigating factors  | 
| contained in the applicant's record, including any of the  | 
| following factors and evidence, to determine if the conviction  | 
| will impair the ability of the applicant to engage in the  | 
| position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
|  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (c) If the Department refuses to issue a license to an  | 
| applicant, then the applicant shall be notified of the denial  | 
| in writing with the following included in the notice of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
|  | 
| the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
|  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 | 
|     Section 75. The Slaughter Livestock Buyers Act is amended   | 
| by changing Section 7 and  by adding Section 7.1 as follows:
 
 | 
|     (225 ILCS 655/7)  (from Ch. 111, par. 508)
 | 
|     Sec. 7. 
The Department may refuse to issue or may suspend  | 
| or
revoke a certificate of registration on any of the following  | 
| grounds:
 | 
|     a.  Material misstatement in the application for original
 | 
| registration;
 | 
|     b.  Wilful disregard or violation of this Act or of any  | 
| regulation or
rule issued pursuant thereto;
 | 
|     c.  Wilfully aiding or abetting another in the violation of  | 
| this Act
or of any regulation or rule issued pursuant thereto;
 | 
|     d.  For a holder of a certificate of registration,  | 
| conviction Conviction of any felony, if the Department  | 
| determines, after
investigation, that such person has not been  | 
| sufficiently rehabilitated
to warrant the public trust; for an  | 
| applicant for a certificate of registration, the Department may  | 
| refuse to issue a certificate of registration based on a  | 
| conviction of a felony if the Department determines in  | 
| accordance with Section 7.1 that such conviction will impair  | 
| the ability of the applicant to engage in the position for  | 
|  | 
| which a certificate of registration is sought;
 | 
|     e. For a holder of a certificate of registration,  | 
| conviction Conviction of any crime an essential element of  | 
| which is
misstatement, fraud or dishonesty; for an applicant  | 
| for a certificate of registration, the Department may refuse to  | 
| issue a certificate of registration based on conviction of a  | 
| misdemeanor directly related to the practice of the profession  | 
| if the Department determines in accordance with Section 7.1  | 
| that such conviction will impair the ability of the applicant  | 
| to engage in the position for which a certificate of  | 
| registration is sought;
 | 
|     f. Conviction of a violation of any law of Illinois  | 
| relating to the
purchase of livestock or any Departmental rule  | 
| or regulation pertaining
thereto;
 | 
|     g. Making substantial misrepresentations or false promises  | 
| of a
character likely to influence, persuade or induce in  | 
| connection with the
business conducted under this Act;
 | 
|     h. Pursuing a continued course of misrepresentation of or  | 
| making
false promises through advertising, salesman, agent or  | 
| otherwise in
connection with the business conducted under this  | 
| Act;
 | 
|     i. Failure to possess the necessary qualifications or to  | 
| meet the
requirements of this Act;
 | 
|     j. Failure to pay for livestock within 24 hours after  | 
| purchase,
except as otherwise provided in Section 16;
 | 
|     k. If Department audit determines the registrant to be  | 
|  | 
| insolvent;
or
 | 
|     l. Issuance of checks for payment of livestock when funds  | 
| are
insufficient.
 | 
| (Source: P.A. 80-915.)
 | 
|     (225 ILCS 655/7.1 new) | 
|     Sec. 7.1. Applicant convictions. | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a certificate of registration or license under this Act:  | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987.  | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult.  | 
|         (3) Records of arrest not followed by a conviction.  | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged.  | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license or certificate of registration was previously  | 
|  | 
| convicted of any felony or a misdemeanor directly related to  | 
| the practice of the profession, shall consider any evidence of  | 
| rehabilitation and mitigating factors contained in the  | 
| applicant's record, including any of the following factors and  | 
| evidence, to determine if the conviction will impair the  | 
| ability of the applicant to engage in the position for which a  | 
| license or certificate of registration is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|  | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought.  | 
|     (c) If the Department refuses to issue a certificate of  | 
| registration or license to an applicant, then the applicant  | 
| shall be notified of the denial in writing with the following  | 
| included in the notice of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| certificate of registration or a license; | 
|         (2) a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license or certificate of  | 
| registration is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a certificate of  | 
| registration or a license; and | 
|  | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license or certificate of  | 
| registration, whichever is applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license or  | 
| certificate of registration applications during the preceding  | 
| calendar year. Each report shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license or certificate of registration under this Act  | 
| within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license or certificate of registration under this Act  | 
| within the previous calendar year who had any criminal  | 
| conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license or certificate of registration under this Act in  | 
| the previous calendar year who were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license or certificate of registration with a criminal  | 
| conviction who were granted a license or certificate of  | 
| registration under this Act within the previous calendar  | 
| year; | 
|         (5) the number of applicants for a new or renewal  | 
| license or certificate of registration under this Act  | 
| within the previous calendar year who were denied a license  | 
|  | 
| or a certificate of registration; and | 
|         (6) the number of applicants for a new or renewal  | 
| license or certificate of registration with a criminal  | 
| conviction who were denied a license or certificate of  | 
| registration under this Act in the previous calendar year  | 
| in whole or in part because of a prior conviction.
 | 
|     Section 80. The Raffles and Poker Runs Act is amended  by  | 
| changing Section 3 and  by adding Section 3.1 as follows:
 
 | 
|     (230 ILCS 15/3)  (from Ch. 85, par. 2303)
 | 
|     Sec. 3. License - Application - Issuance - Restrictions -  | 
| Persons
ineligible. Licenses issued by the governing body of  | 
| any county or municipality are
subject to the following  | 
| restrictions:
 | 
|         (1) No person, firm or corporation shall conduct  | 
| raffles or chances or poker runs without
having first  | 
| obtained a license therefor pursuant to this Act.
 | 
|         (2) The license and application for license must  | 
| specify the area or areas
within the licensing authority in  | 
| which raffle chances will be sold or issued or a poker run  | 
| will be conducted,
the time period during which raffle  | 
| chances will be sold or issued or a poker run will be  | 
| conducted, the
time of determination of winning chances and  | 
| the location or locations at
which winning chances will be  | 
| determined.
 | 
|  | 
|         (3) The license application must contain a sworn  | 
| statement attesting to
the not-for-profit character of the  | 
| prospective licensee organization, signed
by the presiding  | 
| officer and the secretary of that organization.
 | 
|         (4) The application for license shall be prepared in  | 
| accordance with the
ordinance of the local governmental  | 
| unit.
 | 
|         (5) A license authorizes the licensee to conduct  | 
| raffles or poker runs as defined in
this Act.
 | 
|     The following are ineligible for any license under this  | 
| Act:
 | 
|         (a) any person whose felony conviction will impair the  | 
| person's ability to engage in the licensed position who  has  | 
| been convicted of a felony;
 | 
|         (b) any person who is or has been a professional  | 
| gambler or gambling promoter;
 | 
|         (c) any person who is not of good moral character;
 | 
|         (d) any firm or corporation in which a person defined  | 
| in (a), (b) or (c)
has a proprietary, equitable or credit  | 
| interest, or in which such a person
is active or employed;
 | 
|         (e) any organization in which a person defined in (a),  | 
| (b) or (c) is an
officer, director, or employee, whether  | 
| compensated or not;
 | 
|         (f) any organization in which a person defined in (a),  | 
| (b) or (c) is to
participate in the management or operation  | 
| of a raffle as defined in this Act.
 | 
|  | 
| (Source: P.A. 98-644, eff. 6-10-14.)
 | 
|     (230 ILCS 15/3.1 new) | 
|     Sec. 3.1. Applicant convictions. | 
|     (a) The licensing authority shall not require applicants to  | 
| report the following information and shall not consider the  | 
| following criminal history records in connection with an  | 
| application for licensure: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b)    The licensing authority, upon a finding that an  | 
| applicant for a license was previously convicted of a felony  | 
| shall consider any evidence of rehabilitation and mitigating  | 
| factors contained in the applicant's record, including any of  | 
| the following factors and evidence, to determine if the  | 
|  | 
| conviction will impair the ability of the applicant to engage  | 
| in the position for which a license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
|  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (c) If the licensing authority refuses to issue a license  | 
| to an applicant, then the applicant shall be notified of the  | 
| denial in writing with the following included in the notice of  | 
| denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2) a list of the convictions that the licensing  | 
| authority determined will impair the applicant's ability  | 
| to engage in the position for which a license  is sought; | 
|         (3) a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the licensing  | 
| authority must prepare, publicly announce, and publish a report  | 
| of summary statistical information relating to new and renewal  | 
| license applications during the preceding calendar year. Each  | 
|  | 
| report shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 | 
|     Section 85. The Illinois Pull Tabs and Jar Games Act is  | 
| amended  by changing Section 2.1 and  by adding Section 2.2 as  | 
| follows:
 | 
|     (230 ILCS 20/2.1)
 | 
|     Sec. 2.1. Ineligibility for a license. The following are  | 
|  | 
| ineligible for any license under this Act:
 | 
|         (1) Any person convicted of any felony within the last  | 
| 5 years where such conviction will impair the person's  | 
| ability to engage in the position for which a license is  | 
| sought. Any person who has been convicted of a felony  | 
| within the last 10 years prior to the
date of the  | 
| application.
 | 
|         (2) Any person who has been convicted of a violation of  | 
| Article 28 of
the Criminal Code of 1961 or the Criminal  | 
| Code of 2012 who has not been sufficiently rehabilitated  | 
| following the conviction.
 | 
|         (3) Any person who has had a bingo, pull tabs and jar  | 
| games, or
charitable games license revoked by the  | 
| Department.
 | 
|         (4) Any person who is or has been a professional  | 
| gambler.
 | 
|         (5) Any person found gambling in a manner not  | 
| authorized by the Illinois Pull Tabs and Jar Games Act, the  | 
| Bingo License and Tax Act, or the Charitable Games Act,  | 
| participating in such gambling, or knowingly permitting  | 
| such gambling on premises where pull tabs and jar games are  | 
| authorized to be conducted.
 | 
|         (6) Any firm or corporation in which a person defined  | 
| in (1), (2), (3), (4),
or (5) has any proprietary,  | 
| equitable, or credit interest or in which such
person is  | 
| active or employed.
 | 
|  | 
|         (7) Any organization in which a person defined in (1),  | 
| (2), (3), (4), or (5)
is an officer, director, or employee,  | 
| whether compensated or not.
 | 
|         (8) Any organization in which a person defined in (1),  | 
| (2), (3), (4), or (5)
is to participate in the management  | 
| or operation of pull tabs and jar games.
 | 
|     The Department of State Police shall provide the criminal  | 
| background of
any supplier as requested by the Department of  | 
| Revenue.
 | 
| (Source: P.A. 97-1150, eff. 1-25-13.)
 | 
|     (230 ILCS 20/2.2 new) | 
|     Sec. 2.2. Applicant convictions. | 
|     (a) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| licensure: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|  | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Department, upon a finding that an applicant for a  | 
| license was convicted of a felony in the previous 5 years or of  | 
| a violation of Article 28 of the Criminal Code of 1961 or  | 
| Criminal Code of 2012, shall consider any evidence of  | 
| rehabilitation and mitigating factors contained in the  | 
| applicant's record, including any of the following factors and  | 
| evidence, to determine if the applicant is sufficiently  | 
| rehabilitated or whether the conviction will impair the ability  | 
| of the applicant to engage in the position for which a license  | 
| is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) the amount of time that has elapsed since the  | 
| offense occurred; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|  | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (c) If the Department refuses to issue a license to an  | 
| applicant, then the applicant shall be notified of the denial  | 
| in writing with the following included in the notice of denial: | 
|         (1)   a statement about the decision to refuse to issue a  | 
| license; | 
|         (2)   a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|  | 
|         (3)   a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4)   a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
|  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 | 
|     Section 90. The Bingo License and Tax Act is amended  by  | 
| changing Section 1.2 and  by adding Section 1.2a as follows:
 | 
|     (230 ILCS 25/1.2)
 | 
|     Sec. 1.2. Ineligibility for licensure. The following are  | 
| ineligible for any license under this Act: | 
|         (1) Any person convicted of any felony within the last  | 
| 5 years where such conviction will impair the person's  | 
| ability to engage in the position for which a license is  | 
| sought. Any person who has been convicted of a felony  | 
| within the last 10 years prior to the date of application. | 
|         (2) Any person who has been convicted of a violation of  | 
| Article 28 of the Criminal Code of 1961 or the Criminal  | 
| Code of 2012 who has not been sufficiently rehabilitated  | 
| following the conviction. | 
|         (3) Any person who has had a bingo, pull tabs and jar  | 
| games, or charitable games license revoked by the  | 
| Department. | 
|         (4) Any person who is or has been a professional  | 
| gambler. | 
|         (5) Any person found gambling in a manner not  | 
| authorized by the Illinois Pull Tabs and Jar Games Act,  | 
| Bingo License and Tax Act, or the Charitable Games Act,  | 
|  | 
| participating in such gambling, or knowingly permitting  | 
| such gambling on premises where a bingo event is authorized  | 
| to be conducted or has been conducted. | 
|         (6) Any organization in which a person defined in (1),  | 
| (2), (3), (4), or (5) has a proprietary, equitable, or  | 
| credit interest, or in which such person is active or  | 
| employed. | 
|         (7) Any organization in which a person defined in (1),  | 
| (2), (3), (4), or (5) is an officer, director, or employee,  | 
| whether compensated or not. | 
|         (8) Any organization in which a person defined in (1),  | 
| (2), (3), (4), or (5) is to participate in the management  | 
| or operation of a bingo game. | 
|     The Department of State Police shall provide the criminal  | 
| background of any person requested by the Department of  | 
| Revenue.
 | 
| (Source: P.A. 97-1150, eff. 1-25-13.)
 | 
|     (230 ILCS 25/1.2a new) | 
|     Sec. 1.2a. Applicant convictions. | 
|     (a) The Department, upon a finding that an applicant for a  | 
| license was convicted of a felony within the previous 5 years  | 
| or of a violation of Article 28 of the Criminal Code of 1961 or  | 
| Criminal Code of 2012, shall consider any evidence of  | 
| rehabilitation and mitigating factors contained in the  | 
| applicant's record, including any of the following factors and  | 
|  | 
| evidence, to determine if the applicant is sufficiently  | 
| rehabilitated or whether the conviction will impair the ability  | 
| of the applicant to engage in the position for which a license  | 
| is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) the amount of time that has elapsed since the  | 
| offense occurred; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
|  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (b) If the Department refuses to issue a license to an  | 
| applicant, then the Department shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
| of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
| license; | 
|         (2)   a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3)   a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (c) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
|  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction. | 
|     (d) The Department shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| licensure: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the exclusions set forth in Section 5-130 of the  | 
|  | 
| Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. 
 | 
|     Section 95. The Charitable Games Act is amended  by changing  | 
| Section 7 and  by adding Section 7.1 as follows:
 
 | 
|     (230 ILCS 30/7)  (from Ch. 120, par. 1127)
 | 
|     Sec. 7. Ineligible Persons. The following are ineligible  | 
| for any
license under this Act:
 | 
|         (a) any person convicted of any felony within the last  | 
| 5 years where such conviction will impair the person's  | 
| ability to engage in the position for which a license is  | 
| sought any person who has been convicted of a felony within  | 
| the last 10 years before
the date of the application;
 | 
|         (b) any person who has been convicted of a violation of  | 
| Article 28 of
the Criminal Code of 1961 or the Criminal  | 
| Code of 2012 who has not been sufficiently rehabilitated  | 
| following the conviction;
 | 
|  | 
|         (c) any person who has had a bingo, pull tabs and jar  | 
| games, or charitable games
license revoked
by the  | 
| Department;
 | 
|         (d) any person who is or has been a professional  | 
| gambler;
 | 
|         (d-1) any person found gambling in a manner not  | 
| authorized by this Act,
the Illinois Pull Tabs and Jar  | 
| Games Act, or the Bingo License and Tax Act participating  | 
| in such gambling, or knowingly
permitting such gambling on  | 
| premises where an authorized charitable games event
is
 | 
| authorized to be conducted or has been conducted;
 | 
|         (e) any organization in which a person defined in (a),  | 
| (b), (c), (d),
or
(d-1)
has a proprietary, equitable, or  | 
| credit interest, or in which the person
is active or  | 
| employed;
 | 
|         (f) any organization in which a person defined
in (a),  | 
| (b), (c), (d), or (d-1) is an
officer, director, or  | 
| employee, whether compensated or not;
 | 
|         (g) any organization in which a person defined in (a),  | 
| (b),
(c), (d), or (d-1) is to
participate in the management  | 
| or operation of charitable games.
 | 
|     The Department of State Police shall provide the criminal  | 
| background of
any person requested by the Department of  | 
| Revenue.
 | 
| (Source: P.A. 97-1150, eff. 1-25-13.)
 | 
|  | 
|     (230 ILCS 30/7.1 new) | 
|     Sec. 7.1. Applicant convictions. | 
|     (a)  The Department, upon a finding that an applicant for a  | 
| license was convicted of a felony within the previous 5 years  | 
| or of a violation of Article 28 of the Criminal Code of 1961 or  | 
| Criminal Code of 2012, shall consider any evidence of  | 
| rehabilitation and mitigating factors contained in the  | 
| applicant's record, including any of the following factors and  | 
| evidence, to determine if the applicant is sufficiently  | 
| rehabilitated or whether the conviction will impair the ability  | 
| of the applicant to engage in the position for which a license  | 
| is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) the amount of time that has elapsed since the  | 
| offense occurred; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
|  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (b) If the Department refuses to grant a license to an  | 
| applicant, then the Department shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
| of denial: | 
|         (1)   a statement about the decision to refuse to issue a  | 
| license; | 
|         (2)   a list of the convictions that the Department  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3)   a list of convictions that formed the sole or  | 
|  | 
| partial basis for the refusal to issue a license; and | 
|         (4) a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (c) No later than May 1 of each year, the Department must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2)  the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
|  | 
| whole or in part because of a prior conviction. | 
|     (d) Applicants shall not be required to report the  | 
| following information and the following shall not be considered  | 
| in connection with an application for licensure or  | 
| registration: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. 
 | 
|     Section 100. The Liquor Control Act of 1934 is amended  by  | 
| changing Sections 6-2 and 7-1 and  by adding Section 6-2.5 as  | 
| follows:
 
 | 
|     (235 ILCS 5/6-2)  (from Ch. 43, par. 120)
 | 
|     Sec. 6-2. Issuance of licenses to certain persons  | 
| prohibited. 
 | 
|  | 
|     (a) Except as otherwise provided in subsection (b) of this  | 
| Section and in paragraph (1) of subsection (a) of Section 3-12,  | 
| no license
of any kind issued by the State Commission or any  | 
| local
commission shall be issued to:
 | 
|         (1) A person who is not a resident of any city, village  | 
| or county in
which the premises covered by the license are  | 
| located; except in case of
railroad or boat licenses.
 | 
|         (2) A person who is not of good character and  | 
| reputation in the
community in which he resides.
 | 
|         (3) A person who is not a citizen of the United States.
 | 
|         (4) A person who has been convicted of a felony under  | 
| any Federal or
State law, unless the Commission determines  | 
| that such
person will not be impaired by the conviction in  | 
| engaging in the licensed practice has been sufficiently  | 
| rehabilitated to warrant the public trust
after  | 
| considering matters set forth in such person's application  | 
| in accordance with Section 6-2.5 of this Act and the
 | 
| Commission's investigation.  The burden of proof of  | 
| sufficient
rehabilitation shall be on the applicant.
 | 
|         (5) A person who has been convicted of keeping a place  | 
| of prostitution or keeping a place of juvenile  | 
| prostitution, promoting prostitution that involves keeping  | 
| a place of prostitution, or promoting juvenile  | 
| prostitution that involves keeping a place of juvenile  | 
| prostitution.
 | 
|         (6) A person who has been convicted of pandering or  | 
|  | 
| other crime or
misdemeanor opposed to decency and morality.
 | 
|         (7) A person whose license issued under this Act has  | 
| been revoked for
cause.
 | 
|         (8) A person who at the time of application for renewal  | 
| of any license
issued hereunder would not be eligible for  | 
| such license upon a first
application.
 | 
|         (9) A copartnership, if any general partnership  | 
| thereof, or any
limited partnership thereof, owning more  | 
| than 5% of the aggregate limited
partner interest in such  | 
| copartnership would not be eligible to receive a
license  | 
| hereunder for any reason other than residence within the  | 
| political
subdivision, unless residency is required by  | 
| local ordinance.
 | 
|         (10) A corporation or limited liability company, if any  | 
| member, officer, manager or director thereof, or
any  | 
| stockholder or stockholders owning in the aggregate more  | 
| than 5% of the
stock of such corporation, would not be  | 
| eligible to receive a license
hereunder for any reason  | 
| other than citizenship and residence within the
political  | 
| subdivision.
 | 
|         (10a) A corporation or limited liability company  | 
| unless it is incorporated or organized in Illinois, or  | 
| unless it
is a foreign corporation or foreign limited  | 
| liability company which is qualified under the Business
 | 
| Corporation Act of 1983 or the Limited Liability Company  | 
| Act to transact business in Illinois. The Commission shall  | 
|  | 
| permit and accept from an applicant for a license under  | 
| this Act proof prepared from the Secretary of State's  | 
| website that the corporation or limited liability company  | 
| is in good standing and is qualified under the Business
 | 
| Corporation Act of 1983 or the Limited Liability Company  | 
| Act to transact business in Illinois.
 | 
|         (11) A person whose place of business is conducted by a  | 
| manager or agent
unless the manager or agent possesses the  | 
| same qualifications required by
the licensee.
 | 
|         (12) A person who has been convicted of a violation of  | 
| any Federal or
State law concerning the manufacture,  | 
| possession or sale of alcoholic
liquor, subsequent to the  | 
| passage of this Act or has forfeited his bond to
appear in  | 
| court to answer charges for any such violation, unless the  | 
| Commission determines, in accordance with Section 6-2.5 of  | 
| this Act, that the person will not be impaired by the  | 
| conviction in engaging in the licensed practice.
 | 
|         (13) A person who does not beneficially own the  | 
| premises for which a
license is sought, or does not have a  | 
| lease thereon for the full period for
which the license is  | 
| to be issued.
 | 
|         (14) Any law enforcing public official, including  | 
| members
of local liquor control commissions,
any mayor,  | 
| alderman, or member of the
city council or commission, any  | 
| president of the village board of trustees,
any member of a  | 
| village board of trustees, or any president or member of a
 | 
|  | 
| county board; and no such official shall have a direct  | 
| interest in the
manufacture, sale, or distribution of  | 
| alcoholic liquor, except that a
license
may be granted to  | 
| such official in relation to premises that are
not
located  | 
| within the territory subject to the jurisdiction of that  | 
| official
if the issuance of such license is approved by the  | 
| State Liquor Control
Commission
and except that a license  | 
| may be granted, in a city or village with a
population of  | 
| 55,000 or less, to any alderman, member of a city council,  | 
| or
member of a village board of trustees in relation to  | 
| premises that are located
within the territory
subject to  | 
| the jurisdiction of that official if (i) the sale of  | 
| alcoholic
liquor pursuant to the license is incidental to  | 
| the selling of food, (ii) the
issuance of the license is  | 
| approved by the State Commission, (iii) the
issuance of the  | 
| license is in accordance with all applicable local  | 
| ordinances
in effect where the premises are located, and  | 
| (iv) the official granted a
license does not vote on  | 
| alcoholic liquor issues pending before the board or
council  | 
| to which the license holder is elected. Notwithstanding any  | 
| provision of this paragraph (14) to the contrary, an  | 
| alderman or member of a city council or commission, a  | 
| member of a village board of trustees other than the  | 
| president of the village board of trustees, or a member of  | 
| a county board other than the president of a county board  | 
| may have a direct interest in the manufacture, sale, or  | 
|  | 
| distribution of alcoholic liquor as long as he or she is  | 
| not a law enforcing public official, a mayor, a village  | 
| board president, or president of a county board. To prevent  | 
| any conflict of interest, the elected official with the  | 
| direct interest in the manufacture, sale, or distribution  | 
| of alcoholic liquor shall not participate in any meetings,  | 
| hearings, or decisions on matters impacting the  | 
| manufacture, sale, or distribution of alcoholic liquor.  | 
| Furthermore, the mayor of a city with a population of  | 
| 55,000 or less or the president of a village with a  | 
| population of 55,000 or less may have an interest in the  | 
| manufacture, sale, or distribution of alcoholic liquor as  | 
| long as the council or board over which he or she presides  | 
| has made a local liquor control commissioner appointment  | 
| that complies with the requirements of Section 4-2 of this  | 
| Act. 
 | 
|         (15) A person who is not a beneficial owner of the  | 
| business to be
operated by the licensee.
 | 
|         (16) A person who has been convicted of a gambling  | 
| offense as
proscribed by any of subsections (a) (3) through  | 
| (a)
(11) of
Section 28-1 of, or as
proscribed by Section  | 
| 28-1.1 or 28-3 of, the Criminal Code of
1961 or the  | 
| Criminal Code of 2012, or as proscribed by a
statute
 | 
| replaced by any of the aforesaid statutory provisions.
 | 
|         (17) A person or entity to whom a federal wagering  | 
| stamp has been
issued by the
federal government, unless the  | 
|  | 
| person or entity is eligible to be issued a
license under  | 
| the Raffles and Poker Runs Act or the Illinois Pull Tabs  | 
| and Jar Games Act.
 | 
|         (18) A person who intends to sell alcoholic liquors for  | 
| use or
consumption on his or her licensed retail premises  | 
| who does not have liquor
liability insurance coverage for  | 
| that premises in an amount that is at least
equal to the  | 
| maximum liability amounts set out in subsection (a) of  | 
| Section
6-21.
 | 
|         (19) A person who is licensed by any licensing  | 
| authority as a manufacturer of beer, or any partnership,  | 
| corporation, limited liability company, or trust or any  | 
| subsidiary,  affiliate, or agent thereof, or any other form  | 
| of business enterprise licensed as a manufacturer of beer,  | 
| having any legal, equitable, or beneficial interest,  | 
| directly or indirectly, in a person licensed in this State  | 
| as a distributor or importing distributor.  For purposes of  | 
| this paragraph (19),  a person who is licensed by any  | 
| licensing authority as a "manufacturer of beer" shall also  | 
| mean a brewer and a non-resident dealer who is also a  | 
| manufacturer of beer, including a partnership,  | 
| corporation, limited liability company, or trust or any  | 
| subsidiary, affiliate, or agent thereof, or any other form  | 
| of business enterprise licensed as a manufacturer of beer. | 
|         (20) A person who is licensed in this State as a  | 
| distributor or importing distributor, or any partnership,  | 
|  | 
| corporation, limited liability company, or  trust or any  | 
| subsidiary, affiliate, or agent thereof, or any other form  | 
| of business enterprise licensed in this State as a  | 
| distributor or importing distributor having any legal,  | 
| equitable, or beneficial interest, directly or indirectly,  | 
| in a person licensed as a manufacturer of beer by any  | 
| licensing authority, or any partnership, corporation,   | 
| limited liability company, or trust or any subsidiary,  | 
| affiliate, or agent thereof, or any other form of business  | 
| enterprise, except for a person who owns, on or after the  | 
| effective date of this amendatory Act of the 98th General  | 
| Assembly, no more than 5% of the outstanding shares of a  | 
| manufacturer of beer whose shares are publicly traded on an  | 
| exchange within the meaning of the Securities Exchange Act  | 
| of 1934.  For the purposes of this paragraph (20), a person  | 
| who is licensed by any licensing authority as a  | 
| "manufacturer of beer" shall also mean a brewer and a  | 
| non-resident dealer who is also a manufacturer of beer,  | 
| including a partnership, corporation, limited liability  | 
| company, or trust or any subsidiary, affiliate, or agent  | 
| thereof, or any other form of business enterprise licensed  | 
| as a manufacturer of beer.  | 
|     (b) A criminal conviction of a corporation is not grounds  | 
| for the
denial, suspension, or revocation of a license applied  | 
| for or held by the
corporation if the criminal conviction was  | 
| not the result of a violation of any
federal or State law  | 
|  | 
| concerning the manufacture, possession or sale of
alcoholic  | 
| liquor, the offense that led to the conviction did not result  | 
| in any
financial gain to the corporation and the corporation  | 
| has terminated its
relationship with each director, officer,  | 
| employee, or controlling shareholder
whose actions directly  | 
| contributed to the conviction of the corporation. The
 | 
| Commission shall determine if all provisions of this subsection  | 
| (b) have been
met before any action on the corporation's  | 
| license is initiated.
 | 
| (Source: P.A. 97-1059, eff. 8-24-12; 97-1150, eff. 1-25-13;  | 
| 98-10, eff. 5-6-13; 98-21, eff. 6-13-13; 98-644, eff. 6-10-14;  | 
| 98-756, eff. 7-16-14.)
 | 
|     (235 ILCS 5/6-2.5 new) | 
|     Sec. 6-2.5. Applicant convictions. | 
|     (a) The Commission shall not require applicants to report  | 
| the following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
|  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Commission, upon a finding that an applicant for a  | 
| license was convicted of a felony or a violation of any federal  | 
| or State law concerning the manufacture, possession or sale of  | 
| alcoholic liquor,  shall consider any evidence of  | 
| rehabilitation and mitigating factors contained in the  | 
| applicant's record, including any of the following factors and  | 
| evidence, to determine if the conviction will impair the  | 
| ability of the applicant to engage in the position for which a  | 
| license is sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
|  | 
| to the licensed position or position of employment;  | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (c) If the Commission refuses to issue a license to an  | 
| applicant, then the Commission shall notify the applicant of  | 
| the denial in writing with the following included in the notice  | 
| of denial: | 
|         (1) a statement about the decision to refuse to issue a  | 
|  | 
| license; | 
|         (2)   a list of the convictions that the Commission  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3)   a list of convictions that formed the sole or  | 
| partial basis for the refusal; and | 
|         (4)   a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Commission must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal     | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
|  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 
 | 
|     (235 ILCS 5/7-1)  (from Ch. 43, par. 145)
 | 
|     Sec. 7-1. 
An applicant for a retail license from the State  | 
| Commission
shall submit to the State Commission an application  | 
| in writing under oath
stating:
 | 
|         (1) The applicant's name and mailing address;
 | 
|         (2) The name and address of the applicant's business;
 | 
|         (3) If applicable, the date of the filing of the  | 
| "assumed name" of
the business with the County Clerk;
 | 
|         (4) In case of a copartnership, the date of the  | 
| formation of the
partnership; in the case of an Illinois  | 
| corporation, the date of its
incorporation; or in the case  | 
| of a foreign corporation, the State where
it was  | 
| incorporated and the date of its becoming qualified under  | 
| the Business
Corporation Act of 1983 to transact business  | 
| in the State of Illinois;
 | 
|         (5) The number, the date of issuance and the date of  | 
| expiration of
the applicant's current local retail liquor  | 
| license;
 | 
|         (6) The name of the city, village, or county that  | 
|  | 
| issued the local
retail liquor license;
 | 
|         (7) The name and address of the landlord if the  | 
| premises are leased;
 | 
|         (8) The date of the applicant's first request for a  | 
| State liquor
license and whether it was granted, denied or  | 
| withdrawn;
 | 
|         (9) The address of the applicant when the first  | 
| application for a
State liquor license was made;
 | 
|         (10) The applicant's current State liquor license  | 
| number;
 | 
|         (11) The date the applicant began liquor sales at his  | 
| place of business;
 | 
|         (12) The address of the applicant's warehouse if he  | 
| warehouses liquor;
 | 
|         (13) The applicant's Retailers' Occupation Tax (ROT)  | 
| Registration Number;
 | 
|         (14) The applicant's document locator number on his  | 
| Federal Special
Tax Stamp;
 | 
|         (15) Whether the applicant is delinquent in the payment  | 
| of the
Retailers' Occupation Tax (Sales Tax), and if so,  | 
| the reasons therefor;
 | 
|         (16) Whether the applicant is delinquent under the cash  | 
| beer law,
and if so, the reasons therefor;
 | 
|         (17) In the case of a retailer, whether he is  | 
| delinquent under the
30-day credit law, and if so, the  | 
| reasons therefor;
 | 
|  | 
|         (18) In the case of a distributor, whether he is  | 
| delinquent under
the 15-day credit law, and if so, the  | 
| reasons therefor;
 | 
|         (19) Whether the applicant has made an application for  | 
| a liquor
license which has been denied, and if so, the  | 
| reasons therefor;
 | 
|         (20) Whether the applicant has ever had any previous  | 
| liquor license
suspended or revoked, and if so, the reasons  | 
| therefor;
 | 
|         (21) Whether the applicant has ever been convicted of a  | 
| gambling
offense or felony, and if so, the particulars  | 
| thereof;
 | 
|         (22) Whether the applicant possesses a current Federal  | 
| Wagering Stamp,
and if so, the reasons therefor;
 | 
|         (23) Whether the applicant, or any other person,  | 
| directly in his place
of business is a public official, and  | 
| if so, the particulars thereof;
 | 
|         (24) The applicant's name, sex, date of birth, social  | 
| security
number, position and percentage of ownership in  | 
| the business; and the
name, sex, date of birth, social  | 
| security number, position and
percentage of ownership in  | 
| the business of every sole owner, partner,
corporate  | 
| officer, director, manager and any person who owns 5% or  | 
| more
of the shares of the applicant business entity or  | 
| parent corporations of
the applicant business entity; and
 | 
|         (25) That he has not received or borrowed money or  | 
|  | 
| anything else of
value, and that he will not receive or  | 
| borrow money or anything else of
value (other than  | 
| merchandising credit in the ordinary course of
business for  | 
| a period not to exceed 90 days as herein expressly
 | 
| permitted under Section 6-5 hereof), directly or
 | 
| indirectly, from any manufacturer, importing distributor  | 
| or
distributor or from any representative of any such  | 
| manufacturer,
importing distributor or distributor, nor be  | 
| a party in
any way, directly or indirectly, to any  | 
| violation by a manufacturer,
distributor or importing  | 
| distributor of Section 6-6 of this Act.
 | 
|     In addition to any other requirement of this Section, an  | 
| applicant for
a special use permit license and a special event  | 
| retailer's license shall
also submit (A) proof satisfactory to  | 
| the Commission that the applicant
has a resale number issued  | 
| under Section 2c of the Retailers' Occupation Tax
Act or that  | 
| the applicant is registered under Section 2a of the Retailers'
 | 
| Occupation Tax Act, (B) proof satisfactory to the Commission  | 
| that the
applicant has a current, valid exemption  | 
| identification number issued under
Section 1g of the Retailers'  | 
| Occupation Tax Act and a certification to the
Commission that  | 
| the purchase of alcoholic liquors will be a tax-exempt
 | 
| purchase, or (C) a statement that the applicant is not  | 
| registered under
Section 2a of the Retailers' Occupation Tax  | 
| Act, does not hold a resale
number under Section 2c of the  | 
| Retailers' Occupation Tax Act, and does not
hold an exemption  | 
|  | 
| number under Section 1g of the Retailers' Occupation
Tax Act.
 | 
| The applicant shall also submit proof of adequate dram shop
 | 
| insurance for the special event prior to being issued a  | 
| license.
 | 
|     In addition to the foregoing information, such application  | 
| shall
contain such other and further information as the State  | 
| Commission and
the local commission may, by rule or regulation  | 
| not inconsistent with
law, prescribe.
 | 
|     If the applicant reports a felony conviction as required  | 
| under
paragraph (21) of this Section, such conviction may be  | 
| considered by the
Commission in accordance with Section 6-2.5  | 
| of this Act in determining qualifications for licensing, but  | 
| shall not
operate as a bar to licensing.
 | 
|     If said application is made in behalf of a partnership,  | 
| firm,
association, club or corporation, then the same shall be  | 
| signed by one
member of such partnership or the president or
 | 
| secretary of
such corporation or an authorized agent of said
 | 
| partnership or corporation.
 | 
|     All other applications shall be on forms prescribed by
the  | 
| State Commission, and which may exclude any of the above  | 
| requirements which
the State Commission rules to be  | 
| inapplicable.
 | 
| (Source: P.A. 98-756, eff. 7-16-14.)
 | 
|     Section 105. The Radon Industry Licensing Act is amended  by  | 
| changing Section 45 and  by adding Section 46 as follows:
 
 | 
|  | 
|     (420 ILCS 44/45)
 | 
|     Sec. 45. Grounds for disciplinary action. The Agency may  | 
| refuse to
issue or to renew, or may revoke, suspend, or
take  | 
| other disciplinary action as the Agency may deem proper,  | 
| including
fines not to exceed $1,000 for each violation, with  | 
| regard to any license for
any one or combination of the  | 
| following causes:
 | 
|         (a) Violation of this Act or its rules.
 | 
|         (b) Conviction of a crime under the laws of any United  | 
| States jurisdiction
that is
a felony or of any crime that  | 
| directly relates to the practice of
detecting or reducing  | 
| the presence of radon or radon progeny. Consideration of  | 
| such conviction of an applicant shall be in accordance with  | 
| Section 46. 
 | 
|         (c) Making a misrepresentation for the purpose of  | 
| obtaining a license.
 | 
|         (d) Professional incompetence or gross negligence in  | 
| the practice of
detecting or reducing the presence of radon  | 
| or radon progeny.
 | 
|         (e) Gross malpractice, prima facie evidence of which  | 
| may be a conviction or
judgment of malpractice in a court  | 
| of competent jurisdiction.
 | 
|         (f) Aiding or assisting another person in violating a  | 
| provision of this
Act or its rules.
 | 
|         (g) Failing, within 60 days, to provide information in  | 
|  | 
| response to a written
request made by the Agency that has  | 
| been sent by
mail to the licensee's last known address.
 | 
|         (h) Engaging in dishonorable, unethical, or  | 
| unprofessional conduct of a
character likely to deceive,  | 
| defraud, or harm the public.
 | 
|         (i) Habitual or excessive use or addiction to alcohol,  | 
| narcotics,
stimulants,
or any other chemical agent or drug  | 
| that results in the inability to practice
with reasonable  | 
| judgment, skill, or safety.
 | 
|         (j) Discipline by another United States jurisdiction  | 
| or foreign nation, if
at least
one of the grounds for the  | 
| discipline is the same or substantially equivalent
to those  | 
| set forth in this Section.
 | 
|         (k) Directly or indirectly giving to or receiving from  | 
| a person any fee, commission, rebate, or other
form of  | 
| compensation for a professional service not actually or  | 
| personally
rendered.
 | 
|         (l) A finding by the Agency that the licensee  has  | 
| violated the terms of a license.
 | 
|         (m) Conviction by a court of competent jurisdiction,  | 
| either within or
outside of this State, of a violation of a  | 
| law governing the practice of
detecting or reducing the  | 
| presence of radon or radon progeny if the Agency
determines  | 
| after investigation that
the person has not been  | 
| sufficiently rehabilitated to warrant the public
trust.
 | 
|         (n) A finding by the Agency that a license has been  | 
|  | 
| applied for or
obtained by fraudulent
means.
 | 
|         (o) Practicing or attempting to practice under a name  | 
| other than the full
name as shown on the license or any  | 
| other authorized name.
 | 
|         (p) Gross and willful overcharging for professional  | 
| services, including
filing false statements for collection  | 
| of fees or moneys for which services are
not rendered.
 | 
|         (q) Failure to file a 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 a tax Act administered by the Department of Revenue,
 | 
| until such time as the requirements of any such tax Act are  | 
| satisfied.
 | 
|         (r) Failure to repay educational loans guaranteed by  | 
| the Illinois
Student Assistance Commission, as provided in  | 
| Section 80 of the Nuclear Safety Law of 2004. However, the  | 
| Agency may issue an original or
renewal license if the  | 
| person in default has established a satisfactory
repayment
 | 
| record as determined by the Illinois Student Assistance  | 
| Commission.
 | 
|         (s) Failure to meet child support orders, as provided  | 
| in Section 10-65 of the Illinois Administrative Procedure  | 
| Act.
 | 
|         (t) Failure to pay a fee or civil penalty properly  | 
| assessed by the Agency.
 | 
| (Source: P.A. 94-369, eff. 7-29-05.)
 | 
|  | 
|     (420 ILCS 44/46 new) | 
|     Sec. 46. Applicant convictions. | 
|     (a) The Agency shall not require applicants to report the  | 
| following information and shall not consider the following  | 
| criminal history records in connection with an application for  | 
| a license under this Act: | 
|         (1) Juvenile adjudications of delinquent minors as  | 
| defined in Section 5-105 of the Juvenile Court Act of 1987,  | 
| subject to the restrictions set forth in Section 5-130 of  | 
| the Juvenile Court Act of 1987. | 
|         (2) Law enforcement records, court records, and  | 
| conviction records of an individual who was 17 years old at  | 
| the time of the offense and before January 1, 2014, unless  | 
| the nature of the offense required the individual to be  | 
| tried as an adult. | 
|         (3) Records of arrest not followed by a conviction. | 
|         (4) Convictions overturned by a higher court. | 
|         (5) Convictions or arrests that have been sealed or  | 
| expunged. | 
|     (b) The Agency, upon a finding that an applicant for a  | 
| license was convicted of a felony or a crime that relates to  | 
| the practice of detecting or reducing the presence of radon or  | 
| radon progeny, shall consider any evidence of rehabilitation  | 
| and mitigating factors contained in the applicant's record,  | 
| including any of the following factors and evidence, to  | 
|  | 
| determine if the conviction will impair the ability of the  | 
| applicant to engage in the position for which a license is  | 
| sought: | 
|         (1) the lack of direct relation of the offense for  | 
| which the applicant was previously convicted to the duties,  | 
| functions, and responsibilities of the position for which a  | 
| license is sought; | 
|         (2) whether 5 years since a felony conviction or 3  | 
| years since release from confinement for the conviction,  | 
| whichever is later, have passed without a subsequent  | 
| conviction; | 
|         (3) if the applicant was previously licensed or  | 
| employed in this State or other states or jurisdictions,  | 
| then the lack of prior misconduct arising from or related  | 
| to the licensed position or position of employment; | 
|         (4) the age of the person at the time of the criminal  | 
| offense; | 
|         (5) successful completion of sentence and, for  | 
| applicants serving a term of parole or probation, a  | 
| progress report provided by the applicant's probation or  | 
| parole officer that documents the applicant's compliance  | 
| with conditions of supervision; | 
|         (6) evidence of the applicant's present fitness and  | 
| professional character; | 
|         (7) evidence of rehabilitation or rehabilitative  | 
| effort during or after incarceration, or during or after a  | 
|  | 
| term of supervision, including, but not limited to, a  | 
| certificate of good conduct under Section 5-5.5-25 of the  | 
| Unified Code of Corrections or a certificate of relief from  | 
| disabilities under Section 5-5.5-10 of the Unified Code of  | 
| Corrections; and | 
|         (8) any other mitigating factors that contribute to the  | 
| person's potential and current ability to perform the  | 
| duties and responsibilities of the position for which a  | 
| license or employment is sought. | 
|     (c) If the Agency refuses to issue a license to an  | 
| applicant, then the Agency shall notify the applicant of the  | 
| denial in writing with the following included in the notice of  | 
| denial: | 
|         (1)   a statement about the decision to refuse to grant a  | 
| license; | 
|         (2)   a list of the convictions that the Agency  | 
| determined will impair the applicant's ability to engage in  | 
| the position for which a license  is sought; | 
|         (3)   a list of convictions that formed the sole or  | 
| partial basis for the refusal to issue a license; and | 
|         (4)   a summary of the appeal process or the earliest the  | 
| applicant may reapply for a license, whichever is  | 
| applicable. | 
|     (d) No later than May 1 of each year, the Agency must  | 
| prepare, publicly announce, and publish a report of summary  | 
| statistical information relating to new and renewal license  | 
|  | 
| applications during the preceding calendar year. Each report  | 
| shall show, at a minimum: | 
|         (1) the number of applicants for a  new or renewal  | 
| license under this Act within the previous calendar year; | 
|         (2) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who had any criminal conviction; | 
|         (3) the number of applicants for a new or renewal  | 
| license under this Act in the previous calendar year who  | 
| were granted a license; | 
|         (4) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were granted a  | 
| license under this Act within the previous calendar year; | 
|         (5) the number of applicants for a new or renewal  | 
| license under this Act within the previous calendar year  | 
| who were denied a license; and | 
|         (6) the number of applicants for a new or renewal  | 
| license with a criminal conviction who were denied a  | 
| license under this Act in the previous calendar year in  | 
| whole or in part because of a prior conviction.
 
  | 
|     Section 999. Effective date. This Act takes effect January  | 
| 1, 2018.  |