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| 1 |  | personal property; or | 
| 2 |  |         (2) deals in the purchase of personal property on the  | 
| 3 |  | condition of selling the property back again at a  | 
| 4 |  | stipulated price.  | 
| 5 |  |     "Pawn customer" means a person who pawns or pledges and  | 
| 6 |  | physically delivers personal property in exchange for money. | 
| 7 |  |     "Secretary" means the Secretary of Financial and  | 
| 8 |  | Professional Regulation, or his or her designee, including the  | 
| 9 |  | Director of the Division of Banking of the Department of  | 
| 10 |  | Financial and Professional Regulation.
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| 11 |  | Article 5. Licensure
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| 12 |  |     Section 5-1. Scope; number of pawnbroker licenses.  | 
| 13 |  |     (a) It is unlawful for any person to operate as a  | 
| 14 |  | pawnbroker in Illinois except as authorized by this Act and  | 
| 15 |  | without first having obtained a license in accordance with  | 
| 16 |  | this Act. | 
| 17 |  |     (b) The business of a pawnbroker does not include advances  | 
| 18 |  | of money secured by a deposit or pledge of title to personal  | 
| 19 |  | property or motor vehicles. | 
| 20 |  |     (c) There shall not be more than 250 active pawnbroker  | 
| 21 |  | licenses at any one time within the State of Illinois. There  | 
| 22 |  | shall not be more than 150 active pawnbroker licenses issued  | 
| 23 |  | for the counties of Cook, DuPage, Kane, Lake, McHenry, and  | 
| 24 |  | Will at any one time.
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| 1 |  |     Section 5-5. Licensee name.  | 
| 2 |  |     (a) No person, partnership, association, corporation,  | 
| 3 |  | limited liability company, or other entity engaged in the  | 
| 4 |  | business regulated by this Act shall operate the business  | 
| 5 |  | under a name other than the real names of the entity and  | 
| 6 |  | individuals conducting the business. The business may in  | 
| 7 |  | addition operate under an assumed corporate name pursuant to  | 
| 8 |  | the Business Corporation Act of 1983, an assumed limited  | 
| 9 |  | liability company name pursuant to the Limited Liability  | 
| 10 |  | Company Act, or an assumed business name pursuant to the  | 
| 11 |  | Assumed Business Name Act. | 
| 12 |  |     (b) It is unlawful for an individual or business entity to  | 
| 13 |  | conduct business in this State using the word "pawn",  | 
| 14 |  | "pawnshop", or "pawnbroker" in connection with the business or  | 
| 15 |  | to transact business in this State in a manner that has a  | 
| 16 |  | substantial likelihood of misleading the public by implying  | 
| 17 |  | that the business is a pawnshop, without first obtaining a  | 
| 18 |  | license from the Secretary.
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| 19 |  |     Section 5-10. Application process; investigation; fees.  | 
| 20 |  |     (a) The Secretary shall issue a license upon completion of  | 
| 21 |  | all of the following: | 
| 22 |  |         (1) The filing of an application for license with the  | 
| 23 |  | Secretary or the Nationwide Multistate Licensing System  | 
| 24 |  | and Registry as approved by the Secretary. | 
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| 1 |  |         (2) The filing with the Secretary of a listing of  | 
| 2 |  | judgments entered against, and bankruptcy petitions by,  | 
| 3 |  | the license applicant for the preceding 10 years. | 
| 4 |  |         (3) The payment, in certified funds, of the following  | 
| 5 |  | investigation and application fees: | 
| 6 |  |             (A) the fees for licensure shall be a $2,000  | 
| 7 |  | application fee and an additional $800 fee for  | 
| 8 |  | investigation. These fees are nonrefundable; and | 
| 9 |  |             (B) the fee for an application renewal shall be  | 
| 10 |  | $2,000. The fee is nonrefundable. | 
| 11 |  |         (4) An investigation of the application, which  | 
| 12 |  | investigation must allow the Secretary to issue positive  | 
| 13 |  | findings stating that the financial responsibility,  | 
| 14 |  | experience, character, and general fitness of the license  | 
| 15 |  | applicant and of the members thereof if the license  | 
| 16 |  | applicant is a partnership or association, of the officers  | 
| 17 |  | and directors thereof if the license applicant is a  | 
| 18 |  | corporation, and of the managers and members that retain  | 
| 19 |  | any authority or responsibility under the operating  | 
| 20 |  | agreement if the license applicant is a limited liability  | 
| 21 |  | company, are such as to command the confidence of the  | 
| 22 |  | community and to warrant belief that the business will be  | 
| 23 |  | operated honestly, fairly, and efficiently within the  | 
| 24 |  | purpose of this Act; if the Secretary does not so find, he  | 
| 25 |  | or she shall not issue the license, and he or she shall  | 
| 26 |  | notify the license applicant of the denial. | 
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| 1 |  |     The Secretary may impose conditions on a license if the  | 
| 2 |  | Secretary determines that those conditions are necessary or  | 
| 3 |  | appropriate. These conditions shall be imposed in writing and  | 
| 4 |  | shall continue in effect for the period prescribed by the  | 
| 5 |  | Secretary. | 
| 6 |  |     (b) All licenses shall be issued to the license applicant.  | 
| 7 |  | Upon issuance of the license, a pawnbroker licensee shall be  | 
| 8 |  | authorized to engage in the business regulated by this Act.  | 
| 9 |  | The license shall remain in full force and effect until it  | 
| 10 |  | expires without renewal, is surrendered by the licensee, or  | 
| 11 |  | revoked or suspended.
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| 12 |  |     Section 5-15. Application form.  | 
| 13 |  |     (a) Application for a pawnbroker license must be made in  | 
| 14 |  | accordance with Section 5-20 and, if applicable, in accordance  | 
| 15 |  | with requirements of the Nationwide Multistate Licensing  | 
| 16 |  | System and Registry. The application shall be in writing,  | 
| 17 |  | under oath or affirmation, and on a form obtained from and  | 
| 18 |  | prescribed by the Secretary, or may be submitted  | 
| 19 |  | electronically, with attestation, to the Nationwide Multistate  | 
| 20 |  | Licensing System and Registry. | 
| 21 |  |     (b) The application shall contain the name, complete  | 
| 22 |  | business, and residential address or addresses of the license  | 
| 23 |  | applicant. If the license applicant is a partnership,  | 
| 24 |  | association, corporation, or other form of business  | 
| 25 |  | organization, the application shall contain the names and  | 
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| 1 |  | complete business and residential addresses of each member,  | 
| 2 |  | director, and principal officer thereof. The application shall  | 
| 3 |  | also include a description of the activities of the license  | 
| 4 |  | applicant in such detail and for such periods as the Secretary  | 
| 5 |  | may require, including all of the following: | 
| 6 |  |         (1) an affirmation of financial solvency noting such  | 
| 7 |  | capitalization requirements as may be required by the  | 
| 8 |  | Secretary and access to such credit as may be required by  | 
| 9 |  | the Secretary; | 
| 10 |  |         (2) an affirmation that the license applicant or its  | 
| 11 |  | members, directors, or principals, as may be appropriate,  | 
| 12 |  | are at least 18 years of age; | 
| 13 |  |         (3) information as to the character, fitness,  | 
| 14 |  | financial and business responsibility, background,  | 
| 15 |  | experience, and criminal record of any: | 
| 16 |  |             (A) person, entity, or ultimate equitable owner  | 
| 17 |  | that owns or controls, directly or indirectly, 10% or  | 
| 18 |  | more of any class of stock of the license applicant; | 
| 19 |  |             (B) person, entity, or ultimate equitable owner  | 
| 20 |  | that is not a depository institution, as defined in  | 
| 21 |  | Section 1007.50 of the Savings Bank Act, that lends,  | 
| 22 |  | provides, or infuses, directly or indirectly, in any  | 
| 23 |  | way, funds to or into a license applicant in an amount  | 
| 24 |  | equal to or more than 10% of the license applicant's  | 
| 25 |  | net worth; | 
| 26 |  |             (C) person, entity, or ultimate equitable owner  | 
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| 1 |  | that controls, directly or indirectly, the election of  | 
| 2 |  | 25% or more of the members of the board of directors of  | 
| 3 |  | a license applicant; or | 
| 4 |  |             (D) person, entity, or ultimate equitable owner  | 
| 5 |  | that the Secretary finds influences management of the  | 
| 6 |  | license applicant; the provisions of this subsection  | 
| 7 |  | shall not apply to a public official serving on the  | 
| 8 |  | board of directors of a State guaranty agency; | 
| 9 |  |         (4) upon written request by the licensee and  | 
| 10 |  | notwithstanding the provisions of paragraphs (1) and (2)  | 
| 11 |  | of this subsection, the Secretary may permit the licensee  | 
| 12 |  | to omit all or part of the information required by those  | 
| 13 |  | paragraphs if, instead of the omitted information, the  | 
| 14 |  | licensee submits an affidavit stating that the information  | 
| 15 |  | submitted on the licensee's previous renewal application  | 
| 16 |  | is still true and accurate; then the Secretary may adopt  | 
| 17 |  | rules prescribing the form and content of the affidavit  | 
| 18 |  | that are necessary to accomplish the purposes of this  | 
| 19 |  | Section; and | 
| 20 |  |         (5) such other information as required by rules of the  | 
| 21 |  | Secretary.
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| 22 |  |     Section 5-20. Pawnbroker license application and issuance.  | 
| 23 |  |     (a) Applicants for a license shall apply in a form  | 
| 24 |  | prescribed by the Secretary. Each form shall contain content  | 
| 25 |  | as set forth by rule, regulation, instruction, or procedure of  | 
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| 1 |  | the Department or Secretary and may be changed or updated as  | 
| 2 |  | necessary by the Department or Secretary in order to carry out  | 
| 3 |  | the purposes of this Act. | 
| 4 |  |     (b) In order to fulfill the purposes of this Act, the  | 
| 5 |  | Secretary is authorized to establish relationships or  | 
| 6 |  | contracts with the Nationwide Multistate Licensing System and  | 
| 7 |  | Registry or other entities designated by the Nationwide  | 
| 8 |  | Multistate Licensing System and Registry to collect and  | 
| 9 |  | maintain records and process transaction fees or other fees  | 
| 10 |  | related to licensees or other persons subject to this Act. | 
| 11 |  |     (c) In connection with an application for licensing, the  | 
| 12 |  | applicant may be required, at a minimum, to furnish to the  | 
| 13 |  | Nationwide Multistate Licensing System and Registry  | 
| 14 |  | information concerning the applicant's identity, including: | 
| 15 |  |         (1) fingerprints for submission to the Federal Bureau  | 
| 16 |  | of Investigation or any governmental agency or entity  | 
| 17 |  | authorized to receive such information for a State,  | 
| 18 |  | national, and international criminal history background  | 
| 19 |  | check; and | 
| 20 |  |         (2) personal history and experience in a form  | 
| 21 |  | prescribed by the Nationwide Multistate Licensing System  | 
| 22 |  | and Registry, including the submission of authorization  | 
| 23 |  | for the Nationwide Multistate Licensing System and  | 
| 24 |  | Registry and the Secretary to obtain: | 
| 25 |  |             (A) an independent credit report obtained from a  | 
| 26 |  | consumer reporting agency described in Section 603(p)  | 
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| 1 |  | of the Fair Credit Reporting Act, 15 U.S.C. 1681a(p);  | 
| 2 |  | and | 
| 3 |  |             (B) information related to any administrative,  | 
| 4 |  | civil, or criminal findings by any governmental  | 
| 5 |  | jurisdiction. | 
| 6 |  |     (d) For the purposes of this Section, and in order to  | 
| 7 |  | reduce the points of contact that the Federal Bureau of  | 
| 8 |  | Investigation may have to maintain for purposes of subsection  | 
| 9 |  | (c), the Secretary may use the Nationwide Multistate Licensing  | 
| 10 |  | System and Registry as a channeling agent for requesting  | 
| 11 |  | information from and distributing information to the federal  | 
| 12 |  | Department of Justice or any governmental agency. | 
| 13 |  |     (e) For the purposes of this Section, and in order to  | 
| 14 |  | reduce the points of contact that the Secretary may have to  | 
| 15 |  | maintain for purposes of paragraph (2) of subsection (c), the  | 
| 16 |  | Secretary may use the Nationwide Multistate Licensing System  | 
| 17 |  | and Registry as a channeling agent for requesting and  | 
| 18 |  | distributing information to and from any source as directed by  | 
| 19 |  | the Secretary.
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| 20 |  |     Section 5-25. Prohibited acts and practices for licensees. | 
| 21 |  |     (a) It is a violation of this Act for a licensee subject to  | 
| 22 |  | this Act to: | 
| 23 |  |         (1) fail to file with the Secretary or Nationwide  | 
| 24 |  | Multistate Licensing System and Registry, as applicable,  | 
| 25 |  | when due, any report or reports that it is required to file  | 
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| 1 |  | under any of the provisions of this Act; | 
| 2 |  |         (2) commit a crime against the law of this State, any  | 
| 3 |  | other state, or of the United States involving moral  | 
| 4 |  | turpitude or fraudulent or dishonest dealing, and that no  | 
| 5 |  | final judgment has been entered against it in a civil  | 
| 6 |  | action upon grounds of fraud, misrepresentation, or deceit  | 
| 7 |  | that has not been previously reported to the Secretary; | 
| 8 |  |         (3) engage in any conduct that would be cause for  | 
| 9 |  | denial of a license; | 
| 10 |  |         (4) become insolvent; | 
| 11 |  |         (5) submit an application for a license under this Act  | 
| 12 |  | that contains a material misstatement; | 
| 13 |  |         (6) demonstrate by course of conduct, negligence, or  | 
| 14 |  | incompetence in performing any act for which it is  | 
| 15 |  | required to hold a license under this Act; | 
| 16 |  |         (7) fail to advise the Secretary in writing or the  | 
| 17 |  | Nationwide Multistate Licensing System and Registry, as  | 
| 18 |  | applicable, of any changes to the information submitted on  | 
| 19 |  | the most recent application for license or averments of  | 
| 20 |  | record within 30 days after the change; the written notice  | 
| 21 |  | must be signed in the same form as the application for the  | 
| 22 |  | license being amended; | 
| 23 |  |         (8) fail to comply with the provisions of this Act and  | 
| 24 |  | with any lawful order, rule, or regulation made or issued  | 
| 25 |  | under the provisions of this Act; | 
| 26 |  |         (9) fail to submit to periodic examination by the  | 
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| 1 |  | Secretary as required by this Act; and | 
| 2 |  |         (10) fail to advise the Secretary in writing of  | 
| 3 |  | judgments entered against and bankruptcy petitions by the  | 
| 4 |  | license applicant within 5 days after the occurrence. | 
| 5 |  |     (b) A licensee who fails to comply with this Section or  | 
| 6 |  | otherwise violates any of the provisions of this Section shall  | 
| 7 |  | be subject to the penalties in Section 30-30.
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| 8 |  |     Section 5-30. Refusal to issue license. The Secretary  | 
| 9 |  | shall refuse to issue or renew a license if: | 
| 10 |  |         (1) it is determined that the applicant is not in  | 
| 11 |  | compliance with any provisions of this Act; | 
| 12 |  |         (2) there is substantial continuity between the  | 
| 13 |  | applicant and any violator of this Act; or | 
| 14 |  |         (3) the Secretary cannot make the findings specified  | 
| 15 |  | in subsection (a) of Section 5-10.
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| 16 |  |     Section 5-35. License issuance and renewal; fees.  | 
| 17 |  |     (a) Licenses shall be renewed every year using the common  | 
| 18 |  | renewal date of the Nationwide Multistate Licensing System and  | 
| 19 |  | Registry, as adopted by the Secretary. Properly completed  | 
| 20 |  | renewal application forms and filing fees may be received by  | 
| 21 |  | the Secretary 60 days before the license expiration date, but,  | 
| 22 |  | to be deemed timely, the completed renewal application forms  | 
| 23 |  | and filing fees must be received by the Secretary no later than  | 
| 24 |  | 30 days before the license expiration date. | 
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| 1 |  |     (b) It shall be the responsibility of each licensee to  | 
| 2 |  | accomplish renewal of its license. Failure by a licensee to  | 
| 3 |  | submit a properly completed renewal application form and fees  | 
| 4 |  | in a timely fashion, absent a written extension from the  | 
| 5 |  | Secretary, shall result in the license becoming inactive. | 
| 6 |  |     (c) No activity regulated by this Act shall be conducted  | 
| 7 |  | by the licensee when a license becomes inactive. An inactive  | 
| 8 |  | license may be reactivated by the Secretary upon payment of  | 
| 9 |  | the renewal fee and payment of a reactivation fee equal to the  | 
| 10 |  | renewal fee. | 
| 11 |  |     (d) A licensee ceasing an activity regulated by this Act  | 
| 12 |  | and desiring to no longer be licensed shall so inform the  | 
| 13 |  | Secretary in writing and, at the same time, convey any license  | 
| 14 |  | issued and all other symbols or indicia of licensure. The  | 
| 15 |  | licensee shall include a plan for the withdrawal from  | 
| 16 |  | regulated business, including a timetable for the disposition  | 
| 17 |  | of the business, and comply with the surrender guidelines or  | 
| 18 |  | requirements of the Secretary. Upon receipt of such written  | 
| 19 |  | notice, the Secretary shall post the cancellation or issue a  | 
| 20 |  | certified statement canceling the license. | 
| 21 |  |     (e) The expenses of administering this Act, including  | 
| 22 |  | investigations and examinations provided for in this Act,  | 
| 23 |  | shall be borne by and assessed against entities regulated by  | 
| 24 |  | this Act. Subject to the limitations set forth in Section  | 
| 25 |  | 5-10, the Department shall establish fees by rule in at least  | 
| 26 |  | the following categories: | 
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| 1 |  |             (1) investigation of licensees and license  | 
| 2 |  | applicant fees; | 
| 3 |  |             (2) examination fees; | 
| 4 |  |             (3) contingent fees; and | 
| 5 |  |             (4) such other categories as may be required to  | 
| 6 |  | administer this Act.
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| 7 |  | Article 10. Supervision
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| 8 |  |     Section 10-5. Functions; powers; duties.  | 
| 9 |  |     The functions, powers, and duties of the Secretary shall  | 
| 10 |  | include the following: | 
| 11 |  |         (1) to issue or refuse to issue any license as  | 
| 12 |  | provided by this Act; | 
| 13 |  |         (2) to revoke or suspend for cause any license issued  | 
| 14 |  | under this Act; | 
| 15 |  |         (3) to keep records of all licenses issued under this  | 
| 16 |  | Act; | 
| 17 |  |         (4) to receive, consider, investigate, and act upon  | 
| 18 |  | complaints made by any person in connection with any  | 
| 19 |  | pawnbroker licensee in this State; | 
| 20 |  |         (5) to prescribe the forms of and receive: | 
| 21 |  |             (A) applications for licenses; and | 
| 22 |  |             (B) all reports and all books and records required  | 
| 23 |  | to be made by any licensee under this Act; | 
| 24 |  |         (6) to adopt rules necessary and proper for the  | 
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| 1 |  | administration of this Act; | 
| 2 |  |         (7) to subpoena documents and witnesses and compel  | 
| 3 |  | their attendance and production, to administer oaths and  | 
| 4 |  | affirmations, and to require the production of any books,  | 
| 5 |  | papers, or other materials relevant to any inquiry  | 
| 6 |  | authorized by this Act; | 
| 7 |  |         (8) to issue orders against any person, including, but  | 
| 8 |  | not limited to, any officer, director, employee,  | 
| 9 |  | prospective employee, or agent of the licensee, if the  | 
| 10 |  | Secretary has reasonable cause to believe that an unsafe,  | 
| 11 |  | unsound, or unlawful practice has occurred, is occurring,  | 
| 12 |  | or is about to occur; if any person has violated, is  | 
| 13 |  | violating, or is about to violate any law, rule, or  | 
| 14 |  | written agreement with the Secretary; or for the purpose  | 
| 15 |  | of administering the provisions of this Act and any rule  | 
| 16 |  | adopted in accordance with this Act; | 
| 17 |  |         (9) to address any inquiries to any licensee, or the  | 
| 18 |  | officers thereof, in relation to its activities and  | 
| 19 |  | conditions, or any other matter connected with its  | 
| 20 |  | affairs, and it shall be the duty of any licensee or person  | 
| 21 |  | so addressed to promptly reply in writing to those  | 
| 22 |  | inquiries; the Secretary may also require reports from any  | 
| 23 |  | licensee at any time the Secretary may deem desirable; | 
| 24 |  |         (10) to examine the books and records of every  | 
| 25 |  | licensee under this Act; | 
| 26 |  |         (11) to enforce provisions of this Act; | 
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| 1 |  |         (12) to levy fees, fines, and charges for services  | 
| 2 |  | performed in administering this Act; the aggregate of all  | 
| 3 |  | fees collected by the Secretary on and after the effective  | 
| 4 |  | date of this Act shall be paid promptly after receipt,  | 
| 5 |  | accompanied by a detailed statement thereof, into the  | 
| 6 |  | Pawnbroker Regulation Fund under Section 10-10; the  | 
| 7 |  | amounts deposited into that Fund shall be used for the  | 
| 8 |  | ordinary and contingent expenses of the Department;  | 
| 9 |  | nothing in this Act shall prevent the continuation of the  | 
| 10 |  | practice of paying expenses involving salaries,  | 
| 11 |  | retirement, social security, and State-paid insurance of  | 
| 12 |  | State officers by appropriation from the General Revenue  | 
| 13 |  | Fund; | 
| 14 |  |         (13) to appoint examiners, supervisors, experts, and  | 
| 15 |  | special assistants as needed to effectively and  | 
| 16 |  | efficiently administer this Act; | 
| 17 |  |         (14) to conduct hearings for the purpose of: | 
| 18 |  |             (A) appeals of orders of the Secretary; | 
| 19 |  |             (B) suspensions or revocations of licenses, or  | 
| 20 |  | fining of licensees; | 
| 21 |  |             (C) investigating complaints against licensees;  | 
| 22 |  | and | 
| 23 |  |             (D) carrying out the purposes of this Act; | 
| 24 |  |         (15) to exercise exclusive visitorial power over a  | 
| 25 |  | licensee unless otherwise authorized by this Act or as  | 
| 26 |  | vested in the courts; | 
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| 1 |  |         (16) to assign on an emergency basis an examiner or  | 
| 2 |  | examiners to monitor the affairs of a licensee with  | 
| 3 |  | whatever frequency the Secretary determines appropriate  | 
| 4 |  | and to charge the licensee for reasonable and necessary  | 
| 5 |  | expenses of the Secretary, if in the opinion of the  | 
| 6 |  | Secretary an emergency exists or appears likely to occur; | 
| 7 |  |         (17) to impose civil penalties of up to $50 per day  | 
| 8 |  | against a licensee for failing to respond to a regulatory  | 
| 9 |  | request or reporting requirement; | 
| 10 |  |         (18) to enter into agreements in connection with the  | 
| 11 |  | Nationwide Multistate Licensing System and Registry; and | 
| 12 |  |         (19) to perform any other lawful acts necessary or  | 
| 13 |  | desirable to carry out the purposes and provisions of this  | 
| 14 |  | Act.
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| 15 |  |     Section 10-10. Pawnbroker Regulation Fund. The Pawnbroker  | 
| 16 |  | Regulation Fund, which was established by Public Act 90-477,  | 
| 17 |  | shall continue to be a special fund in the State treasury. All  | 
| 18 |  | moneys received by the Secretary under this Act in conjunction  | 
| 19 |  | with the provisions relating to pawnbrokers shall be deposited  | 
| 20 |  | into the Pawnbroker Regulation Fund and used for the  | 
| 21 |  | administration of this Act. Moneys in the Pawnbroker  | 
| 22 |  | Regulation Fund may be transferred to the Professions Indirect  | 
| 23 |  | Cost Fund, as authorized under Section 2105-300 of the  | 
| 24 |  | Department of Professional Regulation Law of the Civil  | 
| 25 |  | Administrative Code of Illinois.
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| 1 |  |     Section 10-15. Examination; prohibited activities.  | 
| 2 |  |     (a) The business affairs of a licensee under this Act  | 
| 3 |  | shall be examined for compliance with this Act as often as the  | 
| 4 |  | Secretary deems necessary and proper. The Department may adopt  | 
| 5 |  | rules with respect to the frequency and manner of examination.  | 
| 6 |  | The Secretary shall appoint a suitable person to perform such  | 
| 7 |  | examination. The Secretary and his or her appointees may  | 
| 8 |  | examine the entire books, records, documents, and operations  | 
| 9 |  | of each licensee and its subsidiary, affiliate, or agent, and  | 
| 10 |  | may examine any of the licensee's or its subsidiary's,  | 
| 11 |  | affiliate's, or agent's officers, directors, employees, and  | 
| 12 |  | agents under oath or affirmation. | 
| 13 |  |     (b) The Secretary shall prepare a sufficiently detailed  | 
| 14 |  | report of each licensee's examination, shall issue a copy of  | 
| 15 |  | the report to each licensee's principals, officers, or  | 
| 16 |  | directors, and shall take appropriate steps to ensure  | 
| 17 |  | correction of violations of this Act. | 
| 18 |  |     (c) Affiliates of a licensee shall be subject to  | 
| 19 |  | examination by the Secretary on the same terms as the  | 
| 20 |  | licensee, but only if reports from or examination of a  | 
| 21 |  | licensee provides for documented evidence of unlawful activity  | 
| 22 |  | between a licensee and affiliate benefiting, affecting, or  | 
| 23 |  | deriving from the activities regulated by this Act. | 
| 24 |  |     (d) The expenses of any examination of the licensee and  | 
| 25 |  | affiliates shall be borne by the licensee and assessed by the  | 
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| 1 |  | Secretary as may be established by rule. | 
| 2 |  |     (e) Upon completion of the examination, the Secretary  | 
| 3 |  | shall issue a report to the licensee. All confidential  | 
| 4 |  | supervisory information, including the examination report and  | 
| 5 |  | the work papers of the report, shall belong to the Secretary's  | 
| 6 |  | office and may not be disclosed to anyone other than the  | 
| 7 |  | licensee, law enforcement officials or other regulatory  | 
| 8 |  | agencies that have an appropriate regulatory interest as  | 
| 9 |  | determined by the Secretary, or to a party presenting a lawful  | 
| 10 |  | subpoena to the Department. The Secretary may, through the  | 
| 11 |  | Attorney General, immediately appeal to the court of  | 
| 12 |  | jurisdiction the disclosure of such confidential supervisory  | 
| 13 |  | information and seek a stay of the subpoena pending the  | 
| 14 |  | outcome of the appeal. Reports required of licensees by the  | 
| 15 |  | Secretary under this Act and results of examinations performed  | 
| 16 |  | by the Secretary under this Act shall be the property of only  | 
| 17 |  | the Secretary, but may be shared with the licensee. Access  | 
| 18 |  | under this Act to the books and records of each licensee shall  | 
| 19 |  | be limited to the Secretary and his or her agents as provided  | 
| 20 |  | in this Act and to the licensee and its authorized agents and  | 
| 21 |  | designees. No other person shall have access to the books and  | 
| 22 |  | records of a licensee under this Act. Any person upon whom a  | 
| 23 |  | demand for production of confidential supervisory information  | 
| 24 |  | is made, whether by subpoena, order, or other judicial or  | 
| 25 |  | administrative process, must withhold production of the  | 
| 26 |  | confidential supervisory information and must notify the  | 
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| 1 |  | Secretary of the demand, at which time the Secretary is  | 
| 2 |  | authorized to intervene for the purpose of enforcing the  | 
| 3 |  | limitations of this Section or seeking the withdrawal or  | 
| 4 |  | termination of the attempt to compel production of the  | 
| 5 |  | confidential supervisory information. The Secretary may impose  | 
| 6 |  | any conditions and limitations on the disclosure of  | 
| 7 |  | confidential supervisory information that are necessary to  | 
| 8 |  | protect the confidentiality of that information. Except as  | 
| 9 |  | authorized by the Secretary, no person obtaining access to  | 
| 10 |  | confidential supervisory information may make a copy of the  | 
| 11 |  | confidential supervisory information. The Secretary may  | 
| 12 |  | condition a decision to disclose confidential supervisory  | 
| 13 |  | information on entry of a protective order by the court or  | 
| 14 |  | administrative tribunal presiding in the particular case or on  | 
| 15 |  | a written agreement of confidentiality. In a case in which a  | 
| 16 |  | protective order or agreement has already been entered between  | 
| 17 |  | parties other than the Secretary, the Secretary may  | 
| 18 |  | nevertheless condition approval for release of confidential  | 
| 19 |  | supervisory information upon the inclusion of additional or  | 
| 20 |  | amended provisions in the protective order. The Secretary may  | 
| 21 |  | authorize a party who obtained the records for use in one case  | 
| 22 |  | to provide them to another party in another case, subject to  | 
| 23 |  | any conditions that the Secretary may impose on either or both  | 
| 24 |  | parties. The requester shall promptly notify other parties to  | 
| 25 |  | a case of the release of confidential supervisory information  | 
| 26 |  | obtained and, upon entry of a protective order, shall provide  | 
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| 1 |  | copies of confidential supervisory information to the other  | 
| 2 |  | parties. | 
| 3 |  |     (f) The Secretary and employees of the Department shall be  | 
| 4 |  | subject to the restrictions provided in Section 2.5 of the  | 
| 5 |  | Division of Banking Act, including, without limitation, the  | 
| 6 |  | restrictions on: | 
| 7 |  |         (1) owning shares of stock or holding any other equity  | 
| 8 |  | interest in an entity regulated under this Act or in any  | 
| 9 |  | corporation or company that owns or controls an entity  | 
| 10 |  | regulated under this Act; | 
| 11 |  |         (2) being an officer, director, employee, or agent of  | 
| 12 |  | an entity regulated under this Act; and  | 
| 13 |  |         (3) obtaining a pawn or accepting a gratuity from an  | 
| 14 |  | entity regulated under this Act.
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| 15 |  |     Section 10-20. Subpoena power of the Secretary.  | 
| 16 |  |     (a) The Secretary shall have the power to issue and to  | 
| 17 |  | serve subpoenas and subpoenas duces tecum to compel the  | 
| 18 |  | attendance of witnesses and the production of all books,  | 
| 19 |  | accounts, records, and other documents and materials relevant  | 
| 20 |  | to an examination or investigation. The Secretary, or his or  | 
| 21 |  | her duly authorized representative, shall have power to  | 
| 22 |  | administer oaths and affirmations to any person. | 
| 23 |  |     (b) In the event of noncompliance with a subpoena or  | 
| 24 |  | subpoena duces tecum issued or caused to be issued by the  | 
| 25 |  | Secretary, the Secretary may, through the Attorney General,  | 
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| 1 |  | petition the circuit court of the county in which the person  | 
| 2 |  | subpoenaed resides or has its principal place of business for  | 
| 3 |  | an order requiring the subpoenaed person to appear and testify  | 
| 4 |  | and to produce such books, accounts, records, and other  | 
| 5 |  | documents as are specified in the subpoena duces tecum. The  | 
| 6 |  | court may grant injunctive relief restraining the person from  | 
| 7 |  | advertising, promoting, soliciting, entering into, offering to  | 
| 8 |  | enter into, continuing, or completing any pawn transaction.  | 
| 9 |  | The court may grant other relief, including, but not limited  | 
| 10 |  | to, the restraint, by injunction or appointment of a receiver,  | 
| 11 |  | of any transfer, pledge, assignment, or other disposition of  | 
| 12 |  | the person's assets or any concealment, alteration,  | 
| 13 |  | destruction, or other disposition of books, accounts, records,  | 
| 14 |  | or other documents and materials as the court deems  | 
| 15 |  | appropriate, until the person has fully complied with the  | 
| 16 |  | subpoena or subpoena duces tecum and the Secretary has  | 
| 17 |  | completed an investigation or examination. | 
| 18 |  |     (c) If it appears to the Secretary that the compliance  | 
| 19 |  | with a subpoena or subpoena duces tecum issued or caused to be  | 
| 20 |  | issued by the Secretary pursuant to this Section is essential  | 
| 21 |  | to an investigation or examination, the Secretary, in addition  | 
| 22 |  | to the other remedies provided for in this Act, may, through  | 
| 23 |  | the Attorney General, apply for relief to the circuit court of  | 
| 24 |  | the county in which the subpoenaed person resides or has its  | 
| 25 |  | principal place of business. The court shall thereupon direct  | 
| 26 |  | the issuance of an order against the subpoenaed person  | 
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| 1 |  | requiring sufficient bond conditioned on compliance with the  | 
| 2 |  | subpoena or subpoena duces tecum. The court shall cause to be  | 
| 3 |  | endorsed on the order a suitable amount of bond or payment  | 
| 4 |  | pursuant to which the person named in the order shall be freed,  | 
| 5 |  | having a due regard to the nature of the case. | 
| 6 |  |     (d) In addition, the Secretary may, through the Attorney  | 
| 7 |  | General, seek a writ of attachment or an equivalent order from  | 
| 8 |  | the circuit court having jurisdiction over the person who has  | 
| 9 |  | refused to obey a subpoena, who has refused to give testimony,  | 
| 10 |  | or who has refused to produce the matters described in the  | 
| 11 |  | subpoena duces tecum.
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| 12 |  |     Section 10-25. Inspection of records and reports required  | 
| 13 |  | of licensee.  | 
| 14 |  |     (a) Inspection of records. | 
| 15 |  |         (1) The book or computer records, as well as every  | 
| 16 |  | article or other thing of value so pawned or pledged,  | 
| 17 |  | shall at all times be open to the inspection of the  | 
| 18 |  | Secretary, the sheriff of the county, his deputies, or any  | 
| 19 |  | members of the police force of any city in the county in  | 
| 20 |  | which such pawnbroker does business. In addition, the  | 
| 21 |  | Secretary shall be authorized to inspect the books or  | 
| 22 |  | records of any business he or she has reasonable cause to  | 
| 23 |  | believe is conducting pawn transactions and should be  | 
| 24 |  | licensed under this Act. | 
| 25 |  |         (2) The book or computer records, pawn tickets, or any  | 
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| 1 |  | other records required by the Secretary under this Act or  | 
| 2 |  | any rule adopted in accordance with this Act shall be  | 
| 3 |  | maintained for a period of 3 years after the date on which  | 
| 4 |  | the record or ticket was prepared. These records and  | 
| 5 |  | tickets shall be open to inspection of the Secretary at  | 
| 6 |  | all times during the 3-year period. | 
| 7 |  |     (b) Daily report. | 
| 8 |  |         (1) Except as provided in paragraph (2) of this  | 
| 9 |  | subsection, it shall be the duty of every pawnbroker to  | 
| 10 |  | make out and deliver to the sheriff of the county in which  | 
| 11 |  | such pawnbroker does business, on each day before noon, a  | 
| 12 |  | legible and exact copy from the standard record book, as  | 
| 13 |  | required in subsection (a) of Section 15-25, that lists  | 
| 14 |  | all personal property and any other valuable thing  | 
| 15 |  | received on deposit or purchased during the preceding day,  | 
| 16 |  | including the exact time when received or purchased, and a  | 
| 17 |  | description of the person or person by whom left in  | 
| 18 |  | pledge, or from whom the same were purchased; however, in  | 
| 19 |  | cities or towns having 25,000 or more inhabitants, a copy  | 
| 20 |  | of the report shall at the same time also be delivered to  | 
| 21 |  | the superintendent of police or the chief police officer  | 
| 22 |  | of such city or town. The report may be made by computer  | 
| 23 |  | printout or input memory device if the format has been  | 
| 24 |  | approved by the local law enforcement agency. | 
| 25 |  |         (2) In counties with more than 3,000,000 inhabitants,  | 
| 26 |  | a pawnbroker must provide the daily report to the sheriff  | 
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| 1 |  | only if the pawnshop is located in an unincorporated area  | 
| 2 |  | of the county. Pawnbrokers located in cities or towns in  | 
| 3 |  | such counties must deliver such reports to the  | 
| 4 |  | superintendent of police or the chief police officer of  | 
| 5 |  | the city or town. | 
| 6 |  |     (c) Report to the Secretary. The Secretary, as often as  | 
| 7 |  | the Secretary shall deem necessary or proper, may require a  | 
| 8 |  | pawnshop to submit a full and detailed report of its  | 
| 9 |  | operations including, but not limited to, the number of pawns  | 
| 10 |  | made, the amount advanced on pawn transactions, the number and  | 
| 11 |  | amount of pawns surrendered to law enforcement, and any  | 
| 12 |  | information required for purposes of reporting pursuant to  | 
| 13 |  | Section 10-60. The Secretary shall prescribe the form of the  | 
| 14 |  | report and establish the date by which the report must be  | 
| 15 |  | filed.
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| 16 |  |     Section 10-30. Suspension; revocation of licenses; fines.  | 
| 17 |  |     (a) Upon written notice to a licensee, the Secretary may  | 
| 18 |  | suspend or revoke any license issued pursuant to this Act if,  | 
| 19 |  | in the notice, he or she makes a finding of one or more of the  | 
| 20 |  | following: | 
| 21 |  |         (1) that through separate acts or an act or a course of  | 
| 22 |  | conduct, the licensee has violated any provisions of this  | 
| 23 |  | Act, any rule adopted by the Department, or any other law,  | 
| 24 |  | rule, or regulation of this State or the United States; | 
| 25 |  |         (2) that any fact or condition exists that, if it had  | 
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| 1 |  | existed at the time of the original application for the  | 
| 2 |  | license, would have warranted the Secretary in refusing  | 
| 3 |  | originally to issue the license; or | 
| 4 |  |         (3) that if a licensee is not an individual, any  | 
| 5 |  | ultimate equitable owner, officer, director, or member of  | 
| 6 |  | the licensed partnership, association, corporation, or  | 
| 7 |  | other entity has acted or failed to act in a way that would  | 
| 8 |  | be cause for suspending or revoking a license to that  | 
| 9 |  | party as an individual. | 
| 10 |  |     (b) No license shall be suspended or revoked, except as  | 
| 11 |  | provided in this Section, nor shall any licensee be fined  | 
| 12 |  | without notice of his or her right to a hearing as provided in  | 
| 13 |  | Section 10-75. | 
| 14 |  |     (c) The Secretary, on good cause shown that an emergency  | 
| 15 |  | exists, may suspend any license for a period not exceeding 180  | 
| 16 |  | days, pending investigation. | 
| 17 |  |     (d) The provisions of subsection (d) of Section 5-35 shall  | 
| 18 |  | not affect a licensee's civil or criminal liability for acts  | 
| 19 |  | committed before surrender of a license. | 
| 20 |  |     (e) No revocation, suspension, or surrender of any license  | 
| 21 |  | shall impair or affect the obligation of any preexisting  | 
| 22 |  | lawful contract between the licensee and any person. | 
| 23 |  |     (f) Every license issued under this Act shall remain in  | 
| 24 |  | force and effect until the license expires without renewal, is  | 
| 25 |  | surrendered, is revoked, or is suspended in accordance with  | 
| 26 |  | the provisions of this Act, but the Secretary shall have  | 
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| 1 |  | authority to reinstate a suspended license or to issue a new  | 
| 2 |  | license to a licensee whose license has been revoked if no fact  | 
| 3 |  | or condition then exists which would have warranted the  | 
| 4 |  | Secretary in refusing originally to issue that license under  | 
| 5 |  | this Act. | 
| 6 |  |     (g) Whenever the Secretary revokes or suspends a license  | 
| 7 |  | issued pursuant to this Act or fines a licensee under this Act,  | 
| 8 |  | he or she shall execute a written order to that effect. The  | 
| 9 |  | Secretary shall post notice of the order on an agency website  | 
| 10 |  | maintained by the Secretary or on the Nationwide Multistate  | 
| 11 |  | Licensing System and Registry and shall serve a copy of the  | 
| 12 |  | order upon the licensee. Any such order may be reviewed in the  | 
| 13 |  | manner provided by Section 10-75. | 
| 14 |  |     (h) If the Secretary finds any person in violation of the  | 
| 15 |  | grounds set forth in subsection (i), he or she may enter an  | 
| 16 |  | order imposing one or more of the following penalties: | 
| 17 |  |         (1) revocation of license; | 
| 18 |  |         (2) suspension of a license subject to reinstatement  | 
| 19 |  | upon satisfying all reasonable conditions the Secretary  | 
| 20 |  | may specify; | 
| 21 |  |         (3) placement of the licensee or applicant on  | 
| 22 |  | probation for a period of time and subject to all  | 
| 23 |  | reasonable conditions as the Secretary may specify; | 
| 24 |  |         (4) issuance of a reprimand; | 
| 25 |  |         (5) imposition of a fine not to exceed $25,000 for  | 
| 26 |  | each count of separate offense; except that a fine may be  | 
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| 1 |  | imposed not to exceed $75,000 for each separate count of  | 
| 2 |  | offense of paragraph (2) of subsection (i); or | 
| 3 |  |         (6) denial of a license. | 
| 4 |  |     (i) The following acts shall constitute grounds for which  | 
| 5 |  | the disciplinary actions specified in subsection (h) may be  | 
| 6 |  | taken: | 
| 7 |  |         (1) being convicted or found guilty, regardless of  | 
| 8 |  | pendency of an appeal, of a crime in any jurisdiction that  | 
| 9 |  | involves fraud, dishonest dealing, or any other act of  | 
| 10 |  | moral turpitude; | 
| 11 |  |         (2) fraud, misrepresentation, deceit, or negligence in  | 
| 12 |  | any pawn transaction; | 
| 13 |  |         (3) a material or intentional misstatement of fact on  | 
| 14 |  | an initial or renewal application; | 
| 15 |  |         (4) insolvency or filing under any provision of the  | 
| 16 |  | federal Bankruptcy Code as a debtor; | 
| 17 |  |         (5) failure to account or deliver to any person any  | 
| 18 |  | property, such as any money, fund, deposit, check, draft,  | 
| 19 |  | or other document or thing of value, that has come into his  | 
| 20 |  | or her hands and that is not his or her property or that he  | 
| 21 |  | or she is not in law or equity entitled to retain, under  | 
| 22 |  | the circumstances and at the time which has been agreed  | 
| 23 |  | upon or is required by law or, in the absence of a fixed  | 
| 24 |  | time, upon demand of the person entitled to such  | 
| 25 |  | accounting and delivery; | 
| 26 |  |         (6) failure to disburse funds in accordance with  | 
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| 1 |  | agreements; | 
| 2 |  |         (7) having a license, or the equivalent, to practice  | 
| 3 |  | any profession or occupation revoked, suspended, or  | 
| 4 |  | otherwise acted against, including the denial of licensure  | 
| 5 |  | by a licensing authority of this State or another state,  | 
| 6 |  | territory, or country for fraud, dishonest dealing, or any  | 
| 7 |  | other act of moral turpitude; | 
| 8 |  |         (8) failure to comply with an order of the Secretary  | 
| 9 |  | or rule made or issued under the provisions of this Act; | 
| 10 |  |         (9) engaging in activities regulated by this Act  | 
| 11 |  | without a current, active license unless specifically  | 
| 12 |  | exempted by this Act; | 
| 13 |  |         (10) failure to pay in a timely manner any fee,  | 
| 14 |  | charge, or fine under this Act; | 
| 15 |  |         (11) failure to maintain, preserve, and keep available  | 
| 16 |  | for examination all books, accounts, or other documents  | 
| 17 |  | required by the provisions of this Act and the rules of the  | 
| 18 |  | Secretary; | 
| 19 |  |         (12) refusing, obstructing, evading, or unreasonably  | 
| 20 |  | delaying an investigation, information request, or  | 
| 21 |  | examination authorized under this Act, or refusing,  | 
| 22 |  | obstructing, evading, or unreasonably delaying compliance  | 
| 23 |  | with the Secretary's subpoena or subpoena duces tecum; and | 
| 24 |  |         (13) failure to comply with or a violation of any  | 
| 25 |  | provision of this Act. | 
| 26 |  |     (j) A licensee shall be subject to the disciplinary  | 
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| 1 |  | actions specified in this Act for violations of subsection (i)  | 
| 2 |  | by any officer, director, shareholder, joint venture, partner,  | 
| 3 |  | ultimate equitable owner, or employee of the licensee. | 
| 4 |  |     (k) A licensee shall be subject to suspension or  | 
| 5 |  | revocation for unauthorized employee actions only if there is  | 
| 6 |  | a pattern of repeated violations by employees or the licensee  | 
| 7 |  | has knowledge of the violations or there is substantial harm  | 
| 8 |  | to a consumer. | 
| 9 |  |     (l) Procedures for surrender of a license include the  | 
| 10 |  | following: | 
| 11 |  |         (1) The Secretary may, after 10 days' notice by  | 
| 12 |  | certified mail to the licensee at the address set forth on  | 
| 13 |  | the license, stating the contemplated action and in  | 
| 14 |  | general the grounds for the contemplated action and the  | 
| 15 |  | date, time, and place of a hearing thereon, and after  | 
| 16 |  | providing the licensee with a reasonable opportunity to be  | 
| 17 |  | heard at the hearing before the action, fine such licensee  | 
| 18 |  | an amount not exceeding $25,000 per violation, or revoke  | 
| 19 |  | or suspend any license issued under this Act if he or she  | 
| 20 |  | finds that: | 
| 21 |  |             (A) the licensee has failed to comply with any  | 
| 22 |  | provision of this Act or any order, decision, finding,  | 
| 23 |  | rule, regulation, or direction of the Department or  | 
| 24 |  | Secretary lawfully made pursuant to the authority of  | 
| 25 |  | this Act; or | 
| 26 |  |             (B) any fact or condition exists that, if it had  | 
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| 1 |  | existed at the time of the original application for  | 
| 2 |  | the license, clearly would have warranted the  | 
| 3 |  | Secretary in refusing to issue the license. | 
| 4 |  |         (2) Any licensee may submit an application to  | 
| 5 |  | surrender a license, but, upon the Secretary approving the  | 
| 6 |  | surrender, it shall not affect the licensee's civil or  | 
| 7 |  | criminal liability for acts committed before surrender or  | 
| 8 |  | entitle the licensee to a return of any part of the license  | 
| 9 |  | fee.
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| 10 |  |     Section 10-35. Investigation of complaints. The Secretary  | 
| 11 |  | shall maintain staff and facilities adequate to receive,  | 
| 12 |  | record, and investigate complaints and inquiries made by any  | 
| 13 |  | person concerning this Act and any licensees under this Act.  | 
| 14 |  | Each licensee shall open its books, records, documents, and  | 
| 15 |  | offices wherever situated to the Secretary or his or her  | 
| 16 |  | appointees as needed to facilitate such investigations.
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| 17 |  |     Section 10-40. Additional investigation and examination  | 
| 18 |  | authority. In addition to any authority allowed under this  | 
| 19 |  | Act, the Secretary shall have the authority to conduct  | 
| 20 |  | investigations and examinations as follows: | 
| 21 |  |         (1) For purposes of initial licensing, license  | 
| 22 |  | renewal, license discipline, license conditioning, license  | 
| 23 |  | revocation or termination, or general or specific inquiry  | 
| 24 |  | or investigation to determine compliance with this Act,  | 
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| 1 |  | the Secretary shall have the authority to access, receive,  | 
| 2 |  | and use any books, accounts, records, files, documents,  | 
| 3 |  | information, or evidence, including, but not limited to,  | 
| 4 |  | the following: | 
| 5 |  |             (A) criminal, civil, and administrative history  | 
| 6 |  | information, including nonconviction data as specified  | 
| 7 |  | in the Criminal Code of 2012; | 
| 8 |  |             (B) personal history and experience information,  | 
| 9 |  | including independent credit reports obtained from a  | 
| 10 |  | consumer reporting agency described in Section 603(p)  | 
| 11 |  | of the federal Fair Credit Reporting Act; and | 
| 12 |  |             (C) any other documents, information, or evidence  | 
| 13 |  | the Secretary deems relevant to the inquiry or  | 
| 14 |  | investigation, regardless of the location, possession,  | 
| 15 |  | control, or custody of the documents, information, or  | 
| 16 |  | evidence. | 
| 17 |  |         (2) For the purposes of investigating violations or  | 
| 18 |  | complaints arising under this Act or for the purposes of  | 
| 19 |  | examination, the Secretary may review, investigate, or  | 
| 20 |  | examine any licensee, individual, or person subject to  | 
| 21 |  | this Act as often as necessary in order to carry out the  | 
| 22 |  | purposes of this Act. The Secretary may direct, subpoena,  | 
| 23 |  | or order the attendance of and examine under oath or  | 
| 24 |  | affirmation all persons whose testimony may be required  | 
| 25 |  | about the pawn transactions or the business or subject  | 
| 26 |  | matter of any such examination or investigation, and may  | 
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| 1 |  | direct, subpoena, or order the person to produce books,  | 
| 2 |  | accounts, records, files, and any other documents the  | 
| 3 |  | Secretary deems relevant to the inquiry. | 
| 4 |  |         (3) Each licensee, individual, or person subject to  | 
| 5 |  | this Act shall make available to the Secretary upon  | 
| 6 |  | request the books and records relating to the operations  | 
| 7 |  | of the licensee, individual, or person subject to this  | 
| 8 |  | Act. The Secretary shall have access to those books and  | 
| 9 |  | records and interview the officers, principals, employees,  | 
| 10 |  | independent contractors, agents, and customers of the  | 
| 11 |  | licensee, individual, or person subject to this Act  | 
| 12 |  | concerning their business. | 
| 13 |  |         (4) Each licensee, individual, or person subject to  | 
| 14 |  | this Act shall make or compile reports or prepare other  | 
| 15 |  | information as directed by the Secretary in order to carry  | 
| 16 |  | out the purposes of this Section, including, but not  | 
| 17 |  | limited to: | 
| 18 |  |             (A) accounting compilations; | 
| 19 |  |             (B) information lists and data concerning pawn  | 
| 20 |  | transactions in a format prescribed by the Secretary;  | 
| 21 |  | or | 
| 22 |  |             (C) other information deemed necessary to carry  | 
| 23 |  | out the purposes of this Section. | 
| 24 |  |         (5) In making any examination or investigation  | 
| 25 |  | authorized by this Act, the Secretary may control access  | 
| 26 |  | to any documents and records of the licensee or person  | 
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| 1 |  | under examination or investigation. The Secretary may take  | 
| 2 |  | possession of the documents and records or place a person  | 
| 3 |  | in exclusive charge of the documents and records in the  | 
| 4 |  | place where they are usually kept. During the period of  | 
| 5 |  | control, no person shall remove or attempt to remove any  | 
| 6 |  | of the documents or records, except pursuant to a court  | 
| 7 |  | order or with the consent of the Secretary. Unless the  | 
| 8 |  | Secretary has reasonable grounds to believe the documents  | 
| 9 |  | or records of the licensee have been, or are at risk of  | 
| 10 |  | being altered or destroyed for purposes of concealing a  | 
| 11 |  | violation of this Act, the licensee or owner of the  | 
| 12 |  | documents and records shall have access to the documents  | 
| 13 |  | or records as necessary to conduct its ordinary business  | 
| 14 |  | affairs. | 
| 15 |  |         (6) In order to carry out the purposes of this  | 
| 16 |  | Section, the Secretary may: | 
| 17 |  |             (A) retain attorneys, accountants, or other  | 
| 18 |  | professionals and specialists as examiners, auditors,  | 
| 19 |  | or investigators to conduct or assist in the conduct  | 
| 20 |  | of examinations or investigations; | 
| 21 |  |             (B) enter into agreements or relationships with  | 
| 22 |  | other government officials or regulatory associations  | 
| 23 |  | in order to improve efficiencies and reduce regulatory  | 
| 24 |  | burden by sharing resources, standardized or uniform  | 
| 25 |  | methods or procedures, and documents, records,  | 
| 26 |  | information, or evidence obtained under this Section; | 
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| 1 |  |             (C) use, hire, contract, or employ public or  | 
| 2 |  | privately available analytical systems, methods, or  | 
| 3 |  | software to examine or investigate the licensee,  | 
| 4 |  | individual, or person subject to this Act; | 
| 5 |  |             (D) accept and rely on examination or  | 
| 6 |  | investigation reports made by other government  | 
| 7 |  | officials, within or outside this State; or | 
| 8 |  |             (E) accept audit reports made by an independent  | 
| 9 |  | certified public accountant for the licensee,  | 
| 10 |  | individual, or person subject to this Act in the  | 
| 11 |  | course of that part of the examination covering the  | 
| 12 |  | same general subject matter as the audit and may  | 
| 13 |  | incorporate the audit report in the report of the  | 
| 14 |  | examination, report of investigation, or other writing  | 
| 15 |  | of the Secretary. | 
| 16 |  |         (7) The authority of this Section shall remain in  | 
| 17 |  | effect, whether such a licensee, individual, or person  | 
| 18 |  | subject to this Act acts or claims to act under any  | 
| 19 |  | licensing or registration law of this State or claims to  | 
| 20 |  | act without the authority. | 
| 21 |  |         (8) No licensee, individual, or person subject to  | 
| 22 |  | investigation or examination under this Section may  | 
| 23 |  | knowingly withhold, abstract, remove, mutilate, destroy,  | 
| 24 |  | or secrete any books, records, computer records, or other  | 
| 25 |  | information.
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| 1 |  |     Section 10-45. Confidential information. In hearings  | 
| 2 |  | conducted under this Act, information presented into evidence  | 
| 3 |  | that was acquired by the licensee when serving any individual  | 
| 4 |  | in connection with a pawn transaction, including all financial  | 
| 5 |  | information of the individual, shall be deemed strictly  | 
| 6 |  | confidential and shall be made available only as part of the  | 
| 7 |  | record of a hearing under this Act or otherwise (i) when the  | 
| 8 |  | record is required, in its entirety, for purposes of judicial  | 
| 9 |  | review or (ii) upon the express written consent of the  | 
| 10 |  | individual served, or in the case of his or her death or  | 
| 11 |  | disability, the consent of his or her personal representative.
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| 12 |  |     Section 10-50. Confidentiality.  | 
| 13 |  |     (a) In order to promote more effective regulation and  | 
| 14 |  | reduce regulatory burden through supervisory information  | 
| 15 |  | sharing, except as otherwise provided in 12 U.S.C. Section  | 
| 16 |  | 5111, the requirements under any federal law or State law  | 
| 17 |  | regarding the privacy or confidentiality of any information or  | 
| 18 |  | material provided to the Nationwide Multistate Licensing  | 
| 19 |  | System and Registry, and any privilege arising under federal  | 
| 20 |  | or State law, including the rules of any federal or State  | 
| 21 |  | court, with respect to such information or material, shall  | 
| 22 |  | continue to apply to information or material after the  | 
| 23 |  | information or material has been disclosed to the Nationwide  | 
| 24 |  | Multistate Licensing System and Registry. The information and  | 
| 25 |  | material may be shared with all State and federal regulatory  | 
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| 1 |  | officials with pawnbroker industry oversight authority without  | 
| 2 |  | the loss of privilege or the loss of confidentiality  | 
| 3 |  | protections provided by federal law or State law. | 
| 4 |  |     (b) In order to promote more effective regulation and  | 
| 5 |  | reduce regulatory burden through supervisory information  | 
| 6 |  | sharing, the Secretary is authorized to enter agreements or  | 
| 7 |  | sharing into arrangements with other governmental agencies,  | 
| 8 |  | the Conference of State Bank Supervisors or other associations  | 
| 9 |  | representing governmental agencies as established by rule,  | 
| 10 |  | regulation, or order of the Secretary. The sharing of  | 
| 11 |  | confidential supervisory information or any information or  | 
| 12 |  | material described in subsection (a) pursuant to an agreement  | 
| 13 |  | or sharing arrangement shall not result in the loss of  | 
| 14 |  | privilege or the loss of confidentiality protections provided  | 
| 15 |  | by federal law or State law. | 
| 16 |  |     (c) In order to promote more effective regulation and  | 
| 17 |  | reduce regulatory burden through supervisory information  | 
| 18 |  | sharing, information or material that is subject to a  | 
| 19 |  | privilege or confidentiality under subsection (a) shall not be  | 
| 20 |  | subject to the following: | 
| 21 |  |         (1) disclosure under any State law governing the  | 
| 22 |  | disclosure to the public of information held by an officer  | 
| 23 |  | or an agency of the State; or | 
| 24 |  |         (2) subpoena, discovery, or admission into evidence,  | 
| 25 |  | in any private civil action or administrative process,  | 
| 26 |  | unless with respect to any privilege held by the  | 
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| 1 |  | Nationwide Multistate Licensing System and Registry with  | 
| 2 |  | respect to the information or material, the person to whom  | 
| 3 |  | such information or material pertains waives, in whole or  | 
| 4 |  | in part, in the discretion of that person, that privilege. | 
| 5 |  |     (d) In order to promote more effective regulation and  | 
| 6 |  | reduce regulatory burden through supervisory information  | 
| 7 |  | sharing, any other law relating to the disclosure of  | 
| 8 |  | confidential supervisory information or any information or  | 
| 9 |  | material described in subsection (a) that is inconsistent with  | 
| 10 |  | subsection (a) shall be superseded by the requirements of this  | 
| 11 |  | Section to the extent the other law provides less  | 
| 12 |  | confidentiality or a weaker privilege.
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| 13 |  |     Section 10-55. Reports of violations. Any person licensed  | 
| 14 |  | under this Act or any other person may report to the Secretary  | 
| 15 |  | any information to show that a person subject to this Act is or  | 
| 16 |  | may be in violation of this Act. A licensee who files a report  | 
| 17 |  | with the Department that another licensee is engaged in one or  | 
| 18 |  | more violations pursuant to this Act shall not be the subject  | 
| 19 |  | of disciplinary action by the Department, unless the  | 
| 20 |  | Department determines, by a preponderance of the evidence  | 
| 21 |  | available to the Department, that the reporting person  | 
| 22 |  | knowingly or recklessly participated in the violation that was  | 
| 23 |  | reported.
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| 24 |  |     Section 10-60. Pawnbroker annual report.  | 
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| 1 |  |     (a) The Department shall, in conjunction with advice from  | 
| 2 |  | a professional association that represents 50 or more  | 
| 3 |  | licensees, issue an annual report, via an Internet-based  | 
| 4 |  | program, of aggregate pawnbroker activity within 180 days  | 
| 5 |  | after the beginning of the calendar year. The report shall  | 
| 6 |  | contain at a minimum:  | 
| 7 |  |         (1) The number of licensed pawnbrokers.  | 
| 8 |  |         (2) The total dollar amount financed.  | 
| 9 |  |         (3) The total number of pawns for each value threshold  | 
| 10 |  | set forth in subsection (c) of Section 15-10.  | 
| 11 |  |         (4) The total dollar amount of extensions.  | 
| 12 |  |         (5) The total number of extensions for each value  | 
| 13 |  | threshold set forth in subsection (c) of Section 15-10.  | 
| 14 |  |         (6) The average pawn dollar amount for each value  | 
| 15 |  | threshold set forth in subsection (c) of Section 15-10.  | 
| 16 |  |         (7) The average monthly finance charge for each value  | 
| 17 |  | threshold set forth in subsection (c) of Section 15-10.  | 
| 18 |  |         (8) The percentage of pawns surrendered to law  | 
| 19 |  | enforcement.  | 
| 20 |  |         (9) The percentage of total pawns surrendered to law  | 
| 21 |  | enforcement by dollar amount.  | 
| 22 |  |         (10) The percentage of pawns redeemed.  | 
| 23 |  |         (11) The percentage of pawns extended.  | 
| 24 |  |         (12) The total number of pawnbroker employees.  | 
| 25 |  |         (13) The total number of licensees reporting.  | 
| 26 |  |         (14) The total number of complaints received and  | 
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| 1 |  | resolved by the Department.  | 
| 2 |  |         (15) The total number of defaulted pawn transactions  | 
| 3 |  | reported to a credit bureau.  | 
| 4 |  |         (16) The total number of defaulted pawn transactions  | 
| 5 |  | sent to a collection agency.  | 
| 6 |  |         (17) The total number of defaulted pawn transactions  | 
| 7 |  | resulting in wage garnishment or legal action to collect.  | 
| 8 |  |         (18) The total number of pawn transactions reported to  | 
| 9 |  | law enforcement.  | 
| 10 |  |     (b) The Secretary may retain qualified persons to prepare  | 
| 11 |  | and report findings (1) identifying pawns and small dollar  | 
| 12 |  | loans that are available to Illinois consumers, (2) collecting  | 
| 13 |  | and analyzing pawns and loan-level data for small dollar  | 
| 14 |  | loans, and (3) compiling aggregate data and trends for pawns  | 
| 15 |  | and small dollar loans used by Illinois consumers. The  | 
| 16 |  | Secretary shall make the report available to the Governor, the  | 
| 17 |  | General Assembly, and the public.  | 
| 18 |  |     In this subsection, "pawns and small dollar loans" means  | 
| 19 |  | pawns and lending products with a value of $2,500 or less,  | 
| 20 |  | including, but not limited to, pawns, consumer installment  | 
| 21 |  | loans, and other extensions of credit, whether or not offered  | 
| 22 |  | by entities chartered or licensed in Illinois.
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| 23 |  |     Section 10-65. Responsible pawnbroker training; pawnbroker  | 
| 24 |  | managers and employees.  | 
| 25 |  |     (a) A person who manages or is an employee of a pawnbroker  | 
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| 1 |  | that provides pawnbroker services and related functions shall  | 
| 2 |  | complete, within 90 days after commencing employment, a  | 
| 3 |  | minimum of 4 hours of training, which may be provided in a  | 
| 4 |  | classroom or seminar setting or via Internet-based online  | 
| 5 |  | learning programs, such training shall be provided at the  | 
| 6 |  | employer's expense and shall be provided by qualified vendor  | 
| 7 |  | approved by the Secretary. The training subjects shall be  | 
| 8 |  | established by rule, and may include the following: | 
| 9 |  |         (1) federal, State, and local laws, administrative  | 
| 10 |  | rules, and regulations that pertain to the business of  | 
| 11 |  | being a licensed pawnbroker under this Act; | 
| 12 |  |         (2) procedures for identifying possible fraudulent  | 
| 13 |  | transactions; | 
| 14 |  |         (3) anti-money laundering; | 
| 15 |  |         (4) store operations, maintenance of records,  | 
| 16 |  | inventory management, recording and reporting of serial  | 
| 17 |  | numbers; | 
| 18 |  |         (5) general product knowledge, including, but not  | 
| 19 |  | limited to, jewelry and firearms; | 
| 20 |  |         (6) identification, verification, and weighing of  | 
| 21 |  | precious metals; | 
| 22 |  |         (7) inspections by State and local licensing and law  | 
| 23 |  | enforcement authorities, including hold order procedures; | 
| 24 |  |         (8) the federal Military Lending Act; | 
| 25 |  |         (9) pawn forfeits; and | 
| 26 |  |         (10) security, risk, and crisis management.  | 
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| 1 |  |     (b) The training may be provided in a classroom or seminar  | 
| 2 |  | setting or via Internet-based online learning programs, as  | 
| 3 |  | established by rule. The substance of the training shall be  | 
| 4 |  | related to the work performed by the registered employee. | 
| 5 |  |     (c) In addition to the training provided for in  | 
| 6 |  | subsections (a), registered employees of a pawnbroker shall  | 
| 7 |  | complete an additional 4 hours of refresher training on  | 
| 8 |  | subjects to be determined by the employer each calendar year  | 
| 9 |  | commencing with the calendar year following the employee's  | 
| 10 |  | first employment anniversary date, which refresher training  | 
| 11 |  | may be site-specific and may be conducted on the job. | 
| 12 |  |     (d) It is the responsibility of the pawnbroker or the  | 
| 13 |  | Secretary-approved qualified vendor to certify, on a form  | 
| 14 |  | prescribed by the Secretary, that the employee has  | 
| 15 |  | successfully completed the basic and refresher training. The  | 
| 16 |  | original form or a copy shall be a permanent record of training  | 
| 17 |  | completed by the employee and shall be placed in the  | 
| 18 |  | employee's file with the employer for the period the employee  | 
| 19 |  | remains with the employer. The original form or a copy shall be  | 
| 20 |  | given to the employee when his or her employment is  | 
| 21 |  | terminated. Failure to return the original form or a copy to  | 
| 22 |  | the employee is grounds for disciplinary action. The employee  | 
| 23 |  | shall not be required to repeat the required training once the  | 
| 24 |  | employee has been issued the form. An employer may provide or  | 
| 25 |  | require additional training. | 
| 26 |  |     (e) It shall be the responsibility of the pawnbroker and  | 
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| 1 |  | the Secretary-approved qualified training vendor to keep and  | 
| 2 |  | maintain a personal log of all training hours earned along  | 
| 3 |  | with sufficient documentation necessary for the Secretary to  | 
| 4 |  | verify the annual training completed for at least 5 years. The  | 
| 5 |  | personal training log and documentation shall be provided to  | 
| 6 |  | the Secretary in the same manner as other documentation and  | 
| 7 |  | records required under this Act. | 
| 8 |  |     (f) Notwithstanding any other professional license a  | 
| 9 |  | pawnbroker holds under this Act, no more than 8 hours of annual  | 
| 10 |  | training shall be required for any one year. | 
| 11 |  |     (g) The license of a pawnbroker whose managers or  | 
| 12 |  | employees fail to comply with this Section may be suspended or  | 
| 13 |  | revoked or may face other disciplinary action. | 
| 14 |  |     (h) The regulation of pawnbroker employee training is an  | 
| 15 |  | exclusive power and function of the State. A home rule unit may  | 
| 16 |  | not regulate pawnbroker employee training or require a  | 
| 17 |  | pawnbroker that is licensed by the State under this Act, or its  | 
| 18 |  | employees, to maintain licenses in addition to licensure under  | 
| 19 |  | the Act, to operate. This subsection is a denial and  | 
| 20 |  | limitation of home rule powers and functions under subsection  | 
| 21 |  | (h) of Section 6 of Article VII of the Illinois Constitution. | 
| 22 |  |     (i) Persons seeking the Secretary's approval to offer the  | 
| 23 |  | training required by subsection (a) may apply for such  | 
| 24 |  | approval between August 1 and August 31 every 4 years in a  | 
| 25 |  | manner prescribed by the Secretary. | 
| 26 |  |     (j) Persons seeking the Secretary's approval to offer the  | 
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| 1 |  | training required by subsection (a) shall submit a  | 
| 2 |  | nonrefundable application fee of $2,000 or a fee set by rule,  | 
| 3 |  | to be deposited into the Pawnbroker Regulation Fund. Any  | 
| 4 |  | changes made to the training module shall be approved by the  | 
| 5 |  | Secretary. | 
| 6 |  |     (k) The Secretary shall not unreasonably deny approval of  | 
| 7 |  | a training module, whether in-person or online, that meets all  | 
| 8 |  | the requirements of subsection (a). A denial of approval shall  | 
| 9 |  | include a detailed description of the reasons for the denial. | 
| 10 |  |     (l) A person approved to provide the training required by  | 
| 11 |  | subsection (a) shall submit an application for re-approval  | 
| 12 |  | between August 1 and August 31 of each even-numbered year and  | 
| 13 |  | include a nonrefundable application fee of $2,000 or a fee set  | 
| 14 |  | by rule, to be deposited into the Pawnbroker Regulation Fund.
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| 15 |  |     Section 10-70. Rules and regulations.  | 
| 16 |  |     (a) In addition to such powers as may be prescribed by this  | 
| 17 |  | Act, the Department is hereby authorized and empowered to  | 
| 18 |  | adopt rules consistent with the purposes of this Act,  | 
| 19 |  | including, but not limited to: | 
| 20 |  |         (1) rules in connection with the activities of  | 
| 21 |  | licensees as may be necessary and appropriate for the  | 
| 22 |  | protection of consumers in this State; | 
| 23 |  |         (2) rules as may be necessary and appropriate to  | 
| 24 |  | define improper or fraudulent business practices in  | 
| 25 |  | connection with the activities of licensees in operating  | 
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| 1 |  | as a pawnbroker; | 
| 2 |  |         (3) rules that define the terms used in this Act and as  | 
| 3 |  | may be necessary and appropriate to interpret and  | 
| 4 |  | implement the provisions of this Act; and | 
| 5 |  |         (4) rules as may be necessary for the enforcement of  | 
| 6 |  | this Act. | 
| 7 |  |     (b) The Secretary is hereby authorized and empowered to  | 
| 8 |  | make specific rulings, demands, and findings that he or she  | 
| 9 |  | deems necessary for the proper conduct of the pawnbroker  | 
| 10 |  | industry. | 
| 11 |  |     (c) A person or entity may make a written application to  | 
| 12 |  | the Department for a written interpretation of this Act. The  | 
| 13 |  | Department may then, in its sole discretion, choose to issue a  | 
| 14 |  | written interpretation. To be valid, a written interpretation  | 
| 15 |  | must be signed by the Secretary, or his or her designee, and  | 
| 16 |  | the Department's general counsel or his or her designee. A  | 
| 17 |  | written interpretation expires 2 years after the date that it  | 
| 18 |  | was issued. | 
| 19 |  |     (d) No provision in this Act that imposes liability or  | 
| 20 |  | establishes violations shall apply to any act taken by a  | 
| 21 |  | person or entity in conformity with a written interpretation  | 
| 22 |  | of this Act that is in effect at the time the act is taken,  | 
| 23 |  | notwithstanding whether the written interpretation is later  | 
| 24 |  | amended, rescinded, or determined by judicial or other  | 
| 25 |  | authority to be invalid for any reason.
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| 1 |  |     Section 10-75. Appeal and review.  | 
| 2 |  |     (a) Any person or entity affected by a decision of the  | 
| 3 |  | Secretary under any provision of this Act may obtain review of  | 
| 4 |  | that decision within the Department. | 
| 5 |  |     (b) The Department may, in accordance with the Illinois  | 
| 6 |  | Administrative Procedure Act, adopt rules to provide for  | 
| 7 |  | review within the Department of the Secretary's decisions  | 
| 8 |  | affecting the rights of entities under this Act. The review  | 
| 9 |  | shall provide for, at a minimum: | 
| 10 |  |         (1) appointment of a hearing officer other than a  | 
| 11 |  | regular employee of the Division of Banking; | 
| 12 |  |         (2) appropriate procedural rules, specific deadlines  | 
| 13 |  | for filings, and standards of evidence and of proof; and | 
| 14 |  |         (3) provision for apportioning costs among parties to  | 
| 15 |  | the appeal. | 
| 16 |  |     (c) All final agency determinations of appeals to  | 
| 17 |  | decisions of the Secretary may be reviewed in accordance with  | 
| 18 |  | and under the provisions of the Administrative Review Law.  | 
| 19 |  | Appeals from all final orders and judgments entered by a court  | 
| 20 |  | in review of any final administrative decision of the  | 
| 21 |  | Secretary or of any final agency review of a decision of the  | 
| 22 |  | Secretary may be taken as in other civil cases.
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| 23 |  |     Section 10-80. Violations of this Act; Secretary's orders.  | 
| 24 |  |     (a) If the Secretary finds, as the result of examination,  | 
| 25 |  | investigation, or review of reports submitted by a licensee,  | 
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| 1 |  | that the business and affairs of a licensee are not being  | 
| 2 |  | conducted in accordance with this Act, the Secretary shall  | 
| 3 |  | notify the licensee of the correction necessary. If a licensee  | 
| 4 |  | fails to correct such violations, the Secretary shall issue an  | 
| 5 |  | order requiring immediate correction and compliance with this  | 
| 6 |  | Act, specifying a reasonable date for performance. | 
| 7 |  |     (b) The Department may adopt rules to provide for an  | 
| 8 |  | orderly and timely appeal of all orders within the Department.  | 
| 9 |  | The rules may include provision for assessment of fees and  | 
| 10 |  | costs.
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| 11 |  |     Section 10-85. Collection of compensation. Unless exempt  | 
| 12 |  | from licensure under this Act, no person engaged in or  | 
| 13 |  | offering to engage in any act or service for which a license  | 
| 14 |  | under this Act is required may bring or maintain any action in  | 
| 15 |  | any court of this State to collect compensation for the  | 
| 16 |  | performance of the licensable services without alleging and  | 
| 17 |  | proving that he or she was the holder of a valid pawnbroker  | 
| 18 |  | license under this Act at all times during the performance of  | 
| 19 |  | those services.
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| 20 |  |     Section 10-90. Injunction. The Secretary, through the  | 
| 21 |  | Attorney General, may maintain an action in the name of the  | 
| 22 |  | People of the State of Illinois and may apply for an injunction  | 
| 23 |  | in the circuit court to enjoin a person from engaging in  | 
| 24 |  | unlicensed pawnbroker activity, to restrain any person from  | 
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| 1 |  | violating or continuing to violate any of the provisions of  | 
| 2 |  | this Act, or to file a complaint to take possession and control  | 
| 3 |  | of a pawnshop for the purpose of examination, reorganization,  | 
| 4 |  | or liquidation through receivership and to appoint a receiver,  | 
| 5 |  | which may be the Secretary, a pawnshop, or another suitable  | 
| 6 |  | person
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| 7 |  | Article 15. Pawn Customer Bill of Rights
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| 8 |  |     Section 15-5. General provisions.  | 
| 9 |  |     (a) It is unlawful for an individual or business entity to  | 
| 10 |  | conduct business in this State using the word "pawn",  | 
| 11 |  | "pawnshop", or "pawnbroker" in connection with the business or  | 
| 12 |  | to transact business in this State in a manner that has a  | 
| 13 |  | substantial likelihood of misleading the public by implying  | 
| 14 |  | that the business is a pawnshop, without first obtaining a  | 
| 15 |  | license from the Secretary. It shall be unlawful for any  | 
| 16 |  | business to advertise in a pawnbroker category, digitally or  | 
| 17 |  | in print without including that business's pawnbroker and  | 
| 18 |  | Nationwide Multistate Licensing System and Registry license  | 
| 19 |  | number. | 
| 20 |  |     (b) It is unlawful for an entity licensed under this Act to  | 
| 21 |  | do any of the following: | 
| 22 |  |         (1) Engage, have engaged, or propose to engage in any  | 
| 23 |  | unlawful, unfair, deceptive, or abusive act or practice  | 
| 24 |  | with respect to financial products or services. | 
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| 1 |  |         (2) Offer or provide to a consumer any financial  | 
| 2 |  | product or service not in conformity with this Act or  | 
| 3 |  | otherwise commit any act or omission in violation of a  | 
| 4 |  | financial law. | 
| 5 |  |         (3) Fail or refuse, as required by this Act or any rule  | 
| 6 |  | or order issued by the Department hereunder, to do any of  | 
| 7 |  | the following: | 
| 8 |  |             (A) Permit the Department to access or copy  | 
| 9 |  | records. | 
| 10 |  |             (B) Establish or maintain records. | 
| 11 |  |             (C) Make reports or provide information to the  | 
| 12 |  | Department.
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| 13 |  |     Section 15-10. Fees.  | 
| 14 |  |     (a) It is unlawful for any pawnbroker to charge or collect  | 
| 15 |  | a greater benefit or percentage upon money advanced, and for  | 
| 16 |  | the use and forbearance thereof, than the amount specified in  | 
| 17 |  | subsection (c). Nothing in this Section shall be construed to  | 
| 18 |  | conflict with the law pertaining to usury and the person  | 
| 19 |  | receiving money so advanced may hold the moneys to pay any fees  | 
| 20 |  | in addition to interest. | 
| 21 |  |     (b) Each pawnbroker, when making a pawn under this  | 
| 22 |  | Section, must disclose in printed form on the pawn contract  | 
| 23 |  | the following information to the persons receiving the pawn: | 
| 24 |  |         (1) the amount of money advanced, which must be  | 
| 25 |  | designated as the amount pawned; | 
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| 1 |  |         (2) the maturity date of the pawn, which must be at  | 
| 2 |  | least 30 days after the originating date of the pawn; | 
| 3 |  |         (3) the total pawn interest and service charge payable  | 
| 4 |  | on the maturity date, which must be designated as the  | 
| 5 |  | finance charge; | 
| 6 |  |         (4) the total of payments that must be paid to redeem  | 
| 7 |  | the pledged goods on the maturity date, which must be  | 
| 8 |  | designated as the total of payments; and | 
| 9 |  |         (5) the annual percentage rate, computed according to  | 
| 10 |  | the regulations adopted by the Consumer Financial  | 
| 11 |  | Protection Bureau under the federal Truth in Lending Act. | 
| 12 |  |     (c) Each pawnbroker may contract for and receive a monthly  | 
| 13 |  | finance charge, including interest and fees not to exceed  | 
| 14 |  | one-fifth of the pawn amount for pawns under $500; one-sixth  | 
| 15 |  | of the pawn amount for pawns at or above $500 and less than  | 
| 16 |  | $1,500; one-eighth of the pawn amount for pawns at or above  | 
| 17 |  | $1,500 and less than $5,000; and one-twentieth of the pawn  | 
| 18 |  | amount for pawns at or above $5,000, pursuant to Section  | 
| 19 |  | 15-30, for appraising, investigating title, storing, insuring  | 
| 20 |  | the pledged property, making daily reports to local law  | 
| 21 |  | enforcement including enhanced computerized reporting, and  | 
| 22 |  | complying with regulatory requirements. Such fees, when made  | 
| 23 |  | and collected, shall not be deemed interest for any purpose of  | 
| 24 |  | law. A pawnbroker shall not require a customer to pay such fees  | 
| 25 |  | by means of an electronic fund transfer, as that term is  | 
| 26 |  | defined in Section 10 of the Electronic Fund Transfer Act,  | 
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| 1 |  | including through the use of an automated clearinghouse  | 
| 2 |  | system. | 
| 3 |  |     (d) Notwithstanding any inconsistent provision of law, a  | 
| 4 |  | pawn transaction made pursuant to this Act shall be exempt  | 
| 5 |  | from the provisions of the Predatory Loan Prevention Act.
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| 6 |  |     Section 15-15. Display of fee provision. Every pawnbroker  | 
| 7 |  | shall at all times have and keep Section 15-10 printed in the  | 
| 8 |  | English and Spanish languages and framed and posted in a  | 
| 9 |  | prominent and conspicuous position in its place of business,  | 
| 10 |  | so that the same shall be plainly legible and visible to all  | 
| 11 |  | persons depositing or pledging property with such pawnbroker.
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| 12 |  |     Section 15-20. Disclosure of article description and pawn  | 
| 13 |  | terms.  | 
| 14 |  |     (a) Every pawnbroker shall, at the time of making any  | 
| 15 |  | advancement or pawn, deliver to the person pawning or pledging  | 
| 16 |  | any property, a memorandum, contract, or note signed by the  | 
| 17 |  | person pawning the property containing an accurate account and  | 
| 18 |  | description, in the English language, of the following: | 
| 19 |  |         (1) All the goods, articles or other things pawned or  | 
| 20 |  | pledged. | 
| 21 |  |         (2) The amount of money and the time of pledging the  | 
| 22 |  | same. | 
| 23 |  |         (3) The rate of interest to be paid on the pawn. | 
| 24 |  |         (4) The name and residence of the person making the  | 
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| 1 |  | pawn or pledge. | 
| 2 |  |         (5) The dollar amount of any fees as specified in  | 
| 3 |  | Section 15-10. | 
| 4 |  |         (6) A disclosure that by extending the pawn, the fees  | 
| 5 |  | may exceed the value of the item pawned. | 
| 6 |  |     (b) The Secretary may adopt rules prescribing the form and  | 
| 7 |  | content of the disclosures required by subsection (a).
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| 8 |  |     Section 15-25. Record requirements.  | 
| 9 |  |     (a) Except in municipalities located in counties having  | 
| 10 |  | 3,000,000 or more inhabitants, every pawnbroker shall keep a  | 
| 11 |  | standard record book that has been approved by the sheriff of  | 
| 12 |  | the county in which the pawnbroker does business. In  | 
| 13 |  | municipalities in counties with 3,000,000 or more inhabitants,  | 
| 14 |  | the record book shall be approved by the police department of  | 
| 15 |  | the municipality in which the pawnbroker does business. At the  | 
| 16 |  | time of each and every pawn or purchase, an accurate account  | 
| 17 |  | and description, in the English language, of each of the items  | 
| 18 |  | listed in subsection (a) of Section 15-20 shall be printed,  | 
| 19 |  | typed, or written in ink in the record book. Such entry shall  | 
| 20 |  | include the serial number or identification number of items  | 
| 21 |  | received that bear such number. Except for items purchased  | 
| 22 |  | from dealers possessing a federal employee identification  | 
| 23 |  | number who have provided a receipt to the pawnbroker, every  | 
| 24 |  | pawnbroker shall also record in his book, an accurate account  | 
| 25 |  | and description, in the English language, of all goods,  | 
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| 1 |  | articles, and other things purchased or received for the  | 
| 2 |  | purpose of resale or items pawned by the pawnbroker from any  | 
| 3 |  | source, including other pawnshop locations owned by the same  | 
| 4 |  | pawnbroker, not in the course of a pledge or pawn, the time of  | 
| 5 |  | such purchase or receipt and the name and address of the person  | 
| 6 |  | or business which sold or delivered such goods, articles, or  | 
| 7 |  | other things to the pawnbroker. No entry in such book shall be  | 
| 8 |  | erased, mutilated, or changed. | 
| 9 |  |     (b) Every pawnbroker shall require identification to be  | 
| 10 |  | shown by each person selling or pawning any goods, articles,  | 
| 11 |  | or other things to the pawnbroker. If the identification shown  | 
| 12 |  | is a driver's license, State identification card, or consular  | 
| 13 |  | identification card and contains a photograph of the person  | 
| 14 |  | being identified, only one form of identification must be  | 
| 15 |  | shown. If the identification shown is not a driver's license,  | 
| 16 |  | State identification card, or consular identification card or  | 
| 17 |  | does not contain a photograph, 2 forms of identification must  | 
| 18 |  | be shown, and one of the 2 forms of identification must include  | 
| 19 |  | the person's residence address. These forms of identification  | 
| 20 |  | shall include, but not be limited to, any of the following:  | 
| 21 |  | passport, driver's license, social security card, utility  | 
| 22 |  | bill, employee or student identification card, credit card, or  | 
| 23 |  | a civic, union, or professional association membership card.  | 
| 24 |  | In addition, in a municipality with a population of 1,000,000  | 
| 25 |  | or more inhabitants, if the customer does not have an  | 
| 26 |  | identification issued by a governmental entity containing a  | 
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| 1 |  | photograph of the person being identified, the pawnbroker  | 
| 2 |  | shall photograph the customer in color and record the  | 
| 3 |  | customer's name, residence address, date of birth, gender,  | 
| 4 |  | height, and weight along with the photograph. | 
| 5 |  |     (c) A county or municipality, including a home rule unit,  | 
| 6 |  | may regulate a pawnbroker's identification requirements for  | 
| 7 |  | persons pledging or pawning goods, articles, or other things  | 
| 8 |  | to the pawnbroker in a manner that is not less restrictive than  | 
| 9 |  | the regulation by this State of a pawnbroker's identification  | 
| 10 |  | requirements for persons pledging or pawning goods, articles,  | 
| 11 |  | or other things. A home rule unit may not regulate a  | 
| 12 |  | pawnbroker's identification requirements for persons pledging  | 
| 13 |  | or pawning goods, articles, or other things to the pawnbroker  | 
| 14 |  | in a manner less restrictive than the regulation by this State  | 
| 15 |  | of a pawnbroker's identification requirements for persons  | 
| 16 |  | selling or pawning goods, articles, or other things. This  | 
| 17 |  | Section is a limitation under subsection (i) of Section 6 of  | 
| 18 |  | Article VII of the Illinois Constitution on the concurrent  | 
| 19 |  | exercise by home rule units of the powers and functions  | 
| 20 |  | exercised by this State. | 
| 21 |  |     (d) A pawnbroker may maintain the records required by  | 
| 22 |  | subsection (a) in computer form if the computer form has been  | 
| 23 |  | approved by the Secretary or his or her designee, the sheriff  | 
| 24 |  | of the county in which the shop is located, and the police  | 
| 25 |  | department of the municipality in which the shop is located. | 
| 26 |  |     (e) Records, including reports to the Secretary or his or  | 
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| 1 |  | her designee, maintained by pawnbrokers shall be confidential,  | 
| 2 |  | and no disclosure of pawnbroker records shall be made, except  | 
| 3 |  | disclosures authorized by this Act or ordered by a court of  | 
| 4 |  | competent jurisdiction. No record transferred to a  | 
| 5 |  | governmental official shall be improperly disclosed, however,  | 
| 6 |  | use of those records as evidence of a felony or misdemeanor  | 
| 7 |  | shall be a proper purpose. | 
| 8 |  |     (f) Pawnbrokers and their associations may lawfully give  | 
| 9 |  | appropriate governmental agencies computer equipment for the  | 
| 10 |  | purpose of transferring information pursuant to this Act.
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| 11 |  |     Section 15-30. Replacement of articles or property;  | 
| 12 |  | insurance.  | 
| 13 |  |     (a) If any articles or property pledged are lost or  | 
| 14 |  | rendered inoperable, the pawnbroker shall replace the articles  | 
| 15 |  | or property with identical articles or property, except that  | 
| 16 |  | if the pawnbroker cannot reasonably obtain identical articles  | 
| 17 |  | or property, the pawnbroker shall replace the articles or  | 
| 18 |  | property with like articles or property. | 
| 19 |  |     (b) No pawnbroker shall conduct business in this State,  | 
| 20 |  | unless the pawnbroker maintains insurance coverage covering  | 
| 21 |  | all hazards equal to at least 2 times the aggregate value of  | 
| 22 |  | the outstanding pawns for items held in pawn. Such insurance  | 
| 23 |  | shall be obtained from an insurance company authorized to do  | 
| 24 |  | business in Illinois. | 
| 25 |  |     (c) The pawnbroker shall file a copy of proof of insurance  | 
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| 1 |  | coverage with the Secretary. A pawnbroker or an insurance  | 
| 2 |  | company shall not cancel the insurance coverage, except upon  | 
| 3 |  | notice to the Secretary by certified mail, return receipt  | 
| 4 |  | requested. The cancellation is not effective until 30 days  | 
| 5 |  | after the Secretary receives the notice.
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| 6 |  |     Section 15-35. Minors. No pawnbroker shall purchase, take,  | 
| 7 |  | or receive any pawn, any property of any kind from any minor  | 
| 8 |  | who is under 18 years of age, or the ownership of which is in,  | 
| 9 |  | or which is claimed by, any such minor, or which may be in the  | 
| 10 |  | possession or under the control of any such minor.
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| 11 |  |     Section 15-40. Intoxicated persons; persons convicted of  | 
| 12 |  | theft. No pawnbroker shall knowingly or recklessly purchase or  | 
| 13 |  | take any article in pawn or purchase from any person appearing  | 
| 14 |  | to be intoxicated, nor from any person known to have been  | 
| 15 |  | convicted of theft. A law enforcement officer may provide such  | 
| 16 |  | criminal conviction information to a pawnbroker. Such  | 
| 17 |  | information must be provided in writing.
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| 18 |  |     Section 15-45. Altered property; serial number and  | 
| 19 |  | manufacturer's identification number.  | 
| 20 |  |     (a) No pawnbroker shall receive or purchase any article if  | 
| 21 |  | the manufacturer's make, model, or serial number, personal  | 
| 22 |  | identification number, or identifying marks engraved or etched  | 
| 23 |  | upon an item of personal property has been removed, altered,  | 
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| 1 |  | or obliterated. | 
| 2 |  |     (b) The prohibition in subsection (a) does not apply if  | 
| 3 |  | the article's manufacturer's make, model, or serial number,  | 
| 4 |  | personal identification number, or identifying marks have been  | 
| 5 |  | worn in the ordinary course of use. However, no article  | 
| 6 |  | described in this subsection (b) shall be sold or transferred  | 
| 7 |  | to another pawnshop location of such pawnbroker for a period  | 
| 8 |  | of 15 days after the delivery of the copy and statement  | 
| 9 |  | required by subsection (b) of Section 10-25 required to be  | 
| 10 |  | delivered to the officer or officers named therein.
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| 11 |  |     Section 15-50. Sale of property.  | 
| 12 |  |     (a) No personal property pledged or received on deposit by  | 
| 13 |  | any pawnbroker shall be permitted to be redeemed from such  | 
| 14 |  | pawnbroker for a period of 48 hours after the delivery of the  | 
| 15 |  | copy and statement required by subsection (b) of Section 10-25  | 
| 16 |  | to be delivered to the officer or officers named therein. | 
| 17 |  |     (b) No personal property purchased by any pawnbroker shall  | 
| 18 |  | be sold or removed from the place of business or transferred to  | 
| 19 |  | another pawnshop location of such pawnbroker for a period of  | 
| 20 |  | 10 days after the delivery of the copy and statement required  | 
| 21 |  | by subsection (b) of Section 10-25 to be delivered to the  | 
| 22 |  | officer or officers named therein. | 
| 23 |  |     (c) If the pawner fails to repay or extend the pawn during  | 
| 24 |  | the period specified on the pawn ticket, the pawnbroker shall  | 
| 25 |  | automatically extend a grace period of 30 days after the  | 
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| 1 |  | default date on the pawn during which the pawnbroker shall not  | 
| 2 |  | dispose of or sell the personal property pawned. The parties  | 
| 3 |  | may agree to extend or renew a pawn upon terms agreed upon by  | 
| 4 |  | the parties, if the terms comply with the requirements of this  | 
| 5 |  | Act. Title to the pledged property transfers to the pawnbroker  | 
| 6 |  | after the default date grace period expires or upon expiration  | 
| 7 |  | of an agreed extension. | 
| 8 |  |     (d) A county or municipality, including a home rule unit,  | 
| 9 |  | may regulate holding periods in a manner that is more  | 
| 10 |  | restrictive than the regulation provided in this Section. | 
| 11 |  |     (e) A home rule unit may not regulate the holding periods  | 
| 12 |  | in this Section in a manner less restrictive than the  | 
| 13 |  | regulation by this State. This Section is a limitation under  | 
| 14 |  | subsection (i) of Section 6 of Article VII of the Illinois  | 
| 15 |  | Constitution on the concurrent exercise by home rule units of  | 
| 16 |  | the powers and functions exercised by this State.
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| 17 |  |     Section 15-55. Hold order.  | 
| 18 |  |     (a) For the purposes of this Section, "hold order" means a  | 
| 19 |  | written legal instrument issued to a pawnbroker by a law  | 
| 20 |  | enforcement officer commissioned by the law enforcement agency  | 
| 21 |  | of the municipality or county that licenses and regulates the  | 
| 22 |  | pawnbroker, evidencing a criminal law enforcement  | 
| 23 |  | investigation, and ordering the pawnbroker to retain physical  | 
| 24 |  | possession of pawned goods in the possession of the pawnbroker  | 
| 25 |  | or property purchased by and in the possession of the  | 
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| 1 |  | pawnbroker and to not return, sell, or otherwise dispose of  | 
| 2 |  | such property as such property is believed to be  | 
| 3 |  | misappropriated goods. | 
| 4 |  |     (b) Upon written notice from a law enforcement officer  | 
| 5 |  | indicating that property in the possession of a pawnbroker and  | 
| 6 |  | subject to a hold order is needed for the purpose of furthering  | 
| 7 |  | a criminal investigation and prosecution, the pawnbroker shall  | 
| 8 |  | release the property subject to the hold order to the custody  | 
| 9 |  | of the law enforcement officer for such purpose and the law  | 
| 10 |  | enforcement officer shall provide a written acknowledgment  | 
| 11 |  | that the property has been released to the officer. The  | 
| 12 |  | release of the property to the custody of the law enforcement  | 
| 13 |  | officer shall not be considered a waiver or release of the  | 
| 14 |  | pawnbroker's property rights or interest in the property. Upon  | 
| 15 |  | completion of the criminal investigation, the property shall  | 
| 16 |  | be returned to the pawnbroker who consented to its release;  | 
| 17 |  | except that: | 
| 18 |  |         (1) if the criminal investigation took place within a  | 
| 19 |  | county or counties with a population of less than 300,000  | 
| 20 |  | and that investigation: | 
| 21 |  |             (A) has determined that the property is stolen  | 
| 22 |  | property, | 
| 23 |  |             (B) has determined that the fair market value of  | 
| 24 |  | the stolen property is $500 or less, | 
| 25 |  |             (C) has identified the rightful owner of the  | 
| 26 |  | stolen property, and | 
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| 1 |  |             (D) contains a court-admissible sworn statement by  | 
| 2 |  | the rightful owner that they are the true owners of the  | 
| 3 |  | stolen property, then law enforcement shall return the  | 
| 4 |  | property to that owner without the payment of the  | 
| 5 |  | money advanced by the pawnbroker or any costs or  | 
| 6 |  | charges of any kind that the pawnbroker may have  | 
| 7 |  | placed upon the same; or | 
| 8 |  |         (2) if the criminal investigation took place within a  | 
| 9 |  | county or counties with a population of more than 300,000  | 
| 10 |  | and that investigation: | 
| 11 |  |             (A) has determined that the property is stolen  | 
| 12 |  | property, | 
| 13 |  |             (B) has determined that the then-fair market value  | 
| 14 |  | of the stolen property is $1,000 or less, | 
| 15 |  |             (C) has identified the rightful owner of the  | 
| 16 |  | stolen property, and | 
| 17 |  |             (D) contains a court-admissible sworn statement by  | 
| 18 |  | the rightful owner that they are the true owners of the  | 
| 19 |  | stolen property, then law enforcement shall return the  | 
| 20 |  | property to that owner without the payment of the  | 
| 21 |  | money advanced by the pawnbroker or any costs or  | 
| 22 |  | charges of any kind that the pawnbroker may have  | 
| 23 |  | placed upon the same. | 
| 24 |  |     (c) After the return of said property, the pawnbroker  | 
| 25 |  | shall not be liable to any private person or government entity  | 
| 26 |  | for any further claims on the returned property. Law  | 
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| 1 |  | enforcement shall provide all information related to such  | 
| 2 |  | persons involved in the investigation to the pawnbroker,  | 
| 3 |  | including the investigative report, without the need for a  | 
| 4 |  | subpoena, court order, or further legal action of government  | 
| 5 |  | filing. The hold order shall expire on the 120th day after it  | 
| 6 |  | is issued, at which time the pawnbroker may exercise its  | 
| 7 |  | rights under any applicable pawn ticket or extension. If the  | 
| 8 |  | law enforcement officer has not completed the criminal  | 
| 9 |  | investigation within 120 days after the issuance of the hold  | 
| 10 |  | order, the officer shall immediately return any property in  | 
| 11 |  | law enforcement custody to the pawnbroker or obtain and  | 
| 12 |  | furnish to the pawnbroker a warrant for a maximum 120-day hold  | 
| 13 |  | order extension and, as applicable, continued law enforcement  | 
| 14 |  | custody of the property. | 
| 15 |  |     The pawnbroker shall not release or dispose of the  | 
| 16 |  | property, except pursuant to a court order or the expiration  | 
| 17 |  | of the holding period of the hold order, including all  | 
| 18 |  | extensions. | 
| 19 |  |     In cases where criminal charges have been filed and the  | 
| 20 |  | property may be needed as evidence, the prosecuting attorney  | 
| 21 |  | shall notify the pawnbroker in writing. The notice shall  | 
| 22 |  | contain the case number, the style of the case, and a  | 
| 23 |  | description of the property. The pawnbroker shall hold the  | 
| 24 |  | property until receiving notice of the disposition of the case  | 
| 25 |  | from the prosecuting attorney. The prosecuting attorney shall  | 
| 26 |  | notify the pawnbroker and claimant in writing within 15 days  | 
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| 1 |  | after the disposition of the case. | 
| 2 |  |     (d) A hold order, and a foregoing notice of criminal  | 
| 3 |  | charges, must specify: | 
| 4 |  |         (1) the name and address of the pawnbroker; | 
| 5 |  |         (2) the law enforcement investigation number, the  | 
| 6 |  | name, title, and identification number of the law  | 
| 7 |  | enforcement officer placing the hold order or the court  | 
| 8 |  | placing the hold order; | 
| 9 |  |         (3) a complete description of the property to be held,  | 
| 10 |  | including model number and serial number if available, to  | 
| 11 |  | law enforcement; | 
| 12 |  |         (4) the name of the alleged owner or person reporting  | 
| 13 |  | the alleged misappropriated property, unless otherwise  | 
| 14 |  | prohibited by law; | 
| 15 |  |         (5) the mailing address of the pawnbroker where the  | 
| 16 |  | property is held; and | 
| 17 |  |         (6) the issuance and expiration date of the holding  | 
| 18 |  | period. | 
| 19 |  |     (e) The pawnbroker or the pawnbroker's representative must  | 
| 20 |  | sign and date a copy of the hold order as evidence of receipt  | 
| 21 |  | of the hold order and the beginning of the 120-day holding  | 
| 22 |  | period.
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| 23 |  | Article 20. Consumer Fraud Protections
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| 24 |  |     Section 20-5. Enforcement; Consumer Fraud and Deceptive  | 
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| 1 |  | Business Practices Act. The Attorney General may enforce a  | 
| 2 |  | violation of Article 15 of this Act as an unlawful practice  | 
| 3 |  | under the Consumer Fraud and Deceptive Business Practices Act.
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| 4 |  | Article 25. Transition provisions
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| 5 |  |     Section 25-5. Savings provisions.  | 
| 6 |  |     (a) This Act is intended to replace the Pawnbroker  | 
| 7 |  | Regulation Act in all respects. | 
| 8 |  |     (b) Beginning on the effective date of this Act, the  | 
| 9 |  | rights, powers, and duties exercised by the Department of  | 
| 10 |  | Financial and Professional Regulation under the Pawnbroker  | 
| 11 |  | Regulation Act shall continue to be vested in, to be the  | 
| 12 |  | obligation of, and to be exercised by the Department of  | 
| 13 |  | Financial and Professional Regulation under the provisions of  | 
| 14 |  | this Act. | 
| 15 |  |     (c) This Act does not affect any act done, ratified, or  | 
| 16 |  | cancelled, any right occurring or established, or any action  | 
| 17 |  | or proceeding commenced in an administrative, civil, or  | 
| 18 |  | criminal cause before the effective date of this Act by the  | 
| 19 |  | Department of Financial and Professional Regulation under the  | 
| 20 |  | Pawnbroker Regulation Act. Those actions or proceedings may be  | 
| 21 |  | prosecuted and continued by the Department of Financial and  | 
| 22 |  | Professional Regulation under this Act. | 
| 23 |  |     (d) This Act does not affect any license, certificate,  | 
| 24 |  | permit, or other form of licensure issued by the Department of  | 
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| 1 |  | Financial and Professional Regulation under the Pawnbroker  | 
| 2 |  | Regulation Act. All such licenses, certificates, permits, or  | 
| 3 |  | other form of licensure shall continue to be valid under the  | 
| 4 |  | terms and conditions of this Act. | 
| 5 |  |     (e) The rules adopted by the Department of Financial and  | 
| 6 |  | Professional Regulation relating to the Pawnbroker Regulation  | 
| 7 |  | Act, unless inconsistent with the provisions of this Act, are  | 
| 8 |  | not affected by this Act, and on the effective date of this  | 
| 9 |  | Act, those rules become rules under this Act. | 
| 10 |  |     (f) This Act does not affect any discipline, suspension,  | 
| 11 |  | or termination that has occurred under the Pawnbroker  | 
| 12 |  | Regulation Act or other predecessor Act. Any action for  | 
| 13 |  | discipline, suspension, or termination instituted under the  | 
| 14 |  | Pawnbroker Regulation Act shall be continued under this Act.
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| 15 |  | Article 90. Amendatory Provisions
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| 16 |  |     Section 90-5. The Division of Banking Act is amended by  | 
| 17 |  | changing Sections 2.5 and 5 as follows:
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| 18 |  |     (20 ILCS 3205/2.5) | 
| 19 |  |     Sec. 2.5. Prohibited activities.  | 
| 20 |  |     (a) For the purposes of this Section, "regulated entity"  | 
| 21 |  | means any person, business, company, corporation, institution,  | 
| 22 |  | or other entity who is subject to regulation by the Office of  | 
| 23 |  | Banks and Real Estate under Sections 3 and 46 of the Illinois  | 
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| 1 |  | Banking Act, Section 1-5 of the Illinois Savings and Loan Act  | 
| 2 |  | of 1985, Section 1004 of the Savings Bank Act, Section 1-3 of  | 
| 3 |  | the Residential Mortgage License Act of 1987, Section 2-4 of  | 
| 4 |  | the Corporate Fiduciary Act, Section 3.02 of the Illinois Bank  | 
| 5 |  | Holding Company Act of 1957, the Savings and Loan Share and  | 
| 6 |  | Account Act, Section 1.5 of the Pawnbroker Regulation Act of  | 
| 7 |  | 2023, Section 3 of the Foreign Banking Office Act, or Section  | 
| 8 |  | 30 of the Electronic Fund Transfer Act. | 
| 9 |  |     (b) The Commissioner and the deputy commissioners shall  | 
| 10 |  | not be an officer, director, employee, or agent of a regulated  | 
| 11 |  | entity or of a corporation or company that owns or controls a  | 
| 12 |  | regulated entity. | 
| 13 |  |     The Commissioner and the deputy commissioners shall not  | 
| 14 |  | own shares of stock or hold any other equity interest in a  | 
| 15 |  | regulated entity or in a corporation or company that owns or  | 
| 16 |  | controls a regulated entity. If the Commissioner or a deputy  | 
| 17 |  | commissioner owns shares of stock or holds an equity interest  | 
| 18 |  | in a regulated entity at the time of appointment, he or she  | 
| 19 |  | shall dispose of such shares or other equity interest within  | 
| 20 |  | 120 days from the date of appointment. | 
| 21 |  |     The Commissioner and the deputy commissioners shall not  | 
| 22 |  | directly or indirectly obtain a loan from a regulated entity  | 
| 23 |  | or accept a gratuity from a regulated entity that is intended  | 
| 24 |  | to influence the performance of official duties. | 
| 25 |  |     (c) Employees of the Office of Banks and Real Estate shall  | 
| 26 |  | not be officers, directors, employees, or agents of a  | 
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| 1 |  | regulated entity or of a corporation or company that owns or  | 
| 2 |  | controls a regulated entity. | 
| 3 |  |     Except as provided by standards which the Office of Banks  | 
| 4 |  | and Real Estate may establish, employees of the Office of  | 
| 5 |  | Banks and Real Estate shall not own shares of stock or hold any  | 
| 6 |  | other equity interest in a regulated entity or in a  | 
| 7 |  | corporation or company that owns or controls a regulated  | 
| 8 |  | entity, or directly or indirectly obtain a loan from a  | 
| 9 |  | regulated entity, or accept a gratuity from a regulated entity  | 
| 10 |  | that is intended to influence the performance of official  | 
| 11 |  | duties. However, in no case shall an employee of the Office of  | 
| 12 |  | Banks and Real Estate participate in any manner in the  | 
| 13 |  | examination or direct regulation of a regulated entity in  | 
| 14 |  | which the employee owns shares of stock or holds any other  | 
| 15 |  | equity interest, or which is servicing a loan to which the  | 
| 16 |  | employee is an obligor. | 
| 17 |  |     (d) If the Commissioner, a deputy commissioner, or any  | 
| 18 |  | employee of the Office of Banks and Real Estate properly  | 
| 19 |  | obtains a loan or extension of credit from an entity that is  | 
| 20 |  | not a regulated entity, and the loan or extension of credit is  | 
| 21 |  | subsequently acquired by a regulated entity or the entity  | 
| 22 |  | converts to become a regulated entity after the loan is made,  | 
| 23 |  | such purchase by or conversion to a regulated entity shall not  | 
| 24 |  | cause the loan or extension of credit to be deemed a violation  | 
| 25 |  | of this Section. | 
| 26 |  |     Nothing in this Section shall be deemed to prevent the  | 
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| 1 |  | ownership of a checking account, a savings deposit account, a  | 
| 2 |  | money market account, a certificate of deposit, a credit or  | 
| 3 |  | debit card account, or shares in open-end investment companies  | 
| 4 |  | registered with the Securities and Exchange Commission  | 
| 5 |  | pursuant to the federal Investment Company Act of 1940 and the  | 
| 6 |  | Securities Act of 1933 (commonly referred to as mutual or  | 
| 7 |  | money market funds). | 
| 8 |  |     (e) No Commissioner, deputy commissioner, employee, or  | 
| 9 |  | agent of the Office of Banks and Real Estate shall, either  | 
| 10 |  | during or after the holding of his or her term of office or  | 
| 11 |  | employment, disclose confidential information concerning any  | 
| 12 |  | regulated entity or person except as authorized by law or  | 
| 13 |  | prescribed by rule. "Confidential information", as used in  | 
| 14 |  | this Section, means any information that the person or officer  | 
| 15 |  | obtained during his or her term of office or employment that is  | 
| 16 |  | not available from the Office of Banks and Real Estate  | 
| 17 |  | pursuant to a request under the Freedom of Information Act. | 
| 18 |  | (Source: P.A. 97-492, eff. 1-1-12.)
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| 19 |  |     (20 ILCS 3205/5)  (from Ch. 17, par. 455) | 
| 20 |  |     Sec. 5. Powers. In addition to all the other powers and  | 
| 21 |  | duties provided by law, the Commissioner shall have the  | 
| 22 |  | following powers: | 
| 23 |  |     (a) To exercise the rights, powers and duties formerly  | 
| 24 |  | vested by law in the Director of Financial Institutions under  | 
| 25 |  | the Illinois Banking Act. | 
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| 1 |  |     (b) To exercise the rights, powers and duties formerly  | 
| 2 |  | vested by law in the Department of Financial Institutions  | 
| 3 |  | under "An act to provide for and regulate the administration  | 
| 4 |  | of trusts by trust companies", approved June 15, 1887, as  | 
| 5 |  | amended. | 
| 6 |  |     (c) To exercise the rights, powers and duties formerly  | 
| 7 |  | vested by law in the Director of Financial Institutions under  | 
| 8 |  | "An act authorizing foreign corporations, including banks and  | 
| 9 |  | national banking associations domiciled in other states, to  | 
| 10 |  | act in a fiduciary capacity in this state upon certain  | 
| 11 |  | conditions herein set forth", approved July 13, 1953, as  | 
| 12 |  | amended. | 
| 13 |  |     (c-5) To exercise all of the rights, powers, and duties  | 
| 14 |  | granted to the Director or Secretary under the Illinois  | 
| 15 |  | Banking Act, the Corporate Fiduciary Act, the Electronic Fund  | 
| 16 |  | Transfer Act, the Illinois Bank Holding Company Act of 1957,  | 
| 17 |  | the Savings Bank Act, the Illinois Savings and Loan Act of  | 
| 18 |  | 1985, the Savings and Loan Share and Account Act, the  | 
| 19 |  | Residential Mortgage License Act of 1987, and the Pawnbroker  | 
| 20 |  | Regulation Act of 2023.  | 
| 21 |  |     (c-15) To enter into cooperative agreements with  | 
| 22 |  | appropriate federal and out-of-state state regulatory agencies  | 
| 23 |  | to conduct and otherwise perform any examination of a  | 
| 24 |  | regulated entity as authorized under the Illinois Banking Act,  | 
| 25 |  | the Corporate Fiduciary Act, the Electronic Fund Transfer Act,  | 
| 26 |  | the Illinois Bank Holding Company Act of 1957, the Savings  | 
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| 1 |  | Bank Act, the Illinois Savings and Loan Act of 1985, the  | 
| 2 |  | Residential Mortgage License Act of 1987, and the Pawnbroker  | 
| 3 |  | Regulation Act of 2023.  | 
| 4 |  |     (d) Whenever the Commissioner is authorized or required by  | 
| 5 |  | law to consider or to make findings regarding the character of  | 
| 6 |  | incorporators, directors, management personnel, or other  | 
| 7 |  | relevant individuals under the Illinois Banking Act, the  | 
| 8 |  | Corporate Fiduciary Act, the Pawnbroker Regulation Act of  | 
| 9 |  | 2023, or at other times as the Commissioner deems necessary  | 
| 10 |  | for the purpose of carrying out the Commissioner's statutory  | 
| 11 |  | powers and responsibilities, the Commissioner shall consider  | 
| 12 |  | criminal history record information, including nonconviction  | 
| 13 |  | information, pursuant to the Criminal Identification Act. The  | 
| 14 |  | Commissioner shall, in the form and manner required by the  | 
| 15 |  | Illinois State Police and the Federal Bureau of Investigation,  | 
| 16 |  | cause to be conducted a criminal history record investigation  | 
| 17 |  | to obtain information currently contained in the files of the  | 
| 18 |  | Illinois State Police or the Federal Bureau of Investigation,  | 
| 19 |  | provided that the Commissioner need not cause additional  | 
| 20 |  | criminal history record investigations to be conducted on  | 
| 21 |  | individuals for whom the Commissioner, a federal bank  | 
| 22 |  | regulatory agency, or any other government agency has caused  | 
| 23 |  | such investigations to have been conducted previously unless  | 
| 24 |  | such additional investigations are otherwise required by law  | 
| 25 |  | or unless the Commissioner deems such additional  | 
| 26 |  | investigations to be necessary for the purposes of carrying  | 
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| 1 |  | out the Commissioner's statutory powers and responsibilities.  | 
| 2 |  | The Illinois State Police shall provide, on the Commissioner's  | 
| 3 |  | request, information concerning criminal charges and their  | 
| 4 |  | disposition currently on file with respect to a relevant  | 
| 5 |  | individual. Information obtained as a result of an  | 
| 6 |  | investigation under this Section shall be used in determining  | 
| 7 |  | eligibility to be an incorporator, director, management  | 
| 8 |  | personnel, or other relevant individual in relation to a  | 
| 9 |  | financial institution or other entity supervised by the  | 
| 10 |  | Commissioner. Upon request and payment of fees in conformance  | 
| 11 |  | with the requirements of Section 2605-400 of the Illinois  | 
| 12 |  | State Police Law, the Illinois State Police is authorized to  | 
| 13 |  | furnish, pursuant to positive identification, such information  | 
| 14 |  | contained in State files as is necessary to fulfill the  | 
| 15 |  | request. | 
| 16 |  |     (e) When issuing charters, permits, licenses, or other  | 
| 17 |  | authorizations, the Commissioner may impose such terms and  | 
| 18 |  | conditions on the issuance as he deems necessary or  | 
| 19 |  | appropriate. Failure to abide by those terms and conditions  | 
| 20 |  | may result in the revocation of the issuance, the imposition  | 
| 21 |  | of corrective orders, or the imposition of civil money  | 
| 22 |  | penalties. | 
| 23 |  |     (f) If the Commissioner has reasonable cause to believe  | 
| 24 |  | that any entity that has not submitted an application for  | 
| 25 |  | authorization or licensure is conducting any activity that  | 
| 26 |  | would otherwise require authorization or licensure by the  | 
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| 1 |  | Commissioner, the Commissioner shall have the power to  | 
| 2 |  | subpoena witnesses, to compel their attendance, to require the  | 
| 3 |  | production of any relevant books, papers, accounts, and  | 
| 4 |  | documents, and to conduct an examination of the entity in  | 
| 5 |  | order to determine whether the entity is subject to  | 
| 6 |  | authorization or licensure by the Commissioner or the  | 
| 7 |  | Division. If the Secretary determines that the entity is  | 
| 8 |  | subject to authorization or licensure by the Secretary, then  | 
| 9 |  | the Secretary shall have the power to issue orders against or  | 
| 10 |  | take any other action, including initiating a receivership  | 
| 11 |  | against the unauthorized or unlicensed entity.  | 
| 12 |  |     (g) The Commissioner may, through the Attorney General,  | 
| 13 |  | request the circuit court of any county to issue an injunction  | 
| 14 |  | to restrain any person from violating the provisions of any  | 
| 15 |  | Act administered by the Commissioner. | 
| 16 |  |     (h) Whenever the Commissioner is authorized to take any  | 
| 17 |  | action or required by law to consider or make findings, the  | 
| 18 |  | Commissioner may delegate or appoint, in writing, an officer  | 
| 19 |  | or employee of the Division to take that action or make that  | 
| 20 |  | finding. | 
| 21 |  |     (i) Whenever the Secretary determines that it is in the  | 
| 22 |  | public's interest, he or she may publish any cease and desist  | 
| 23 |  | order or other enforcement action issued by the Division.  | 
| 24 |  | (Source: P.A. 102-538, eff. 8-20-21.)
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| 25 |  |     (205 ILCS 510/Act rep.) | 
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| 1 |  |     Section 90-10. The Pawnbroker Regulation Act is repealed.
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| 2 |  |     Section 90-15. The Uniform Commercial Code is amended by  | 
| 3 |  | changing Section 9-201 as follows:
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| 4 |  |     (810 ILCS 5/9-201)  (from Ch. 26, par. 9-201) | 
| 5 |  |     Sec. 9-201. General effectiveness of security agreement.  | 
| 6 |  |     (a) General effectiveness. Except as otherwise provided in  | 
| 7 |  | the Uniform Commercial Code, a security agreement is effective  | 
| 8 |  | according to its terms between the parties, against purchasers  | 
| 9 |  | of the collateral, and against creditors. | 
| 10 |  |     (b) Applicable consumer laws and other law. A transaction  | 
| 11 |  | subject to this Article is subject to any applicable rule of  | 
| 12 |  | law, statute, or regulation which establishes a different rule  | 
| 13 |  | for consumers, including:  | 
| 14 |  |         (1) the Retail Installment Sales Act;  | 
| 15 |  |         (2) the Motor Vehicle Retail Installment Sales Act;  | 
| 16 |  |         (3) Article II of Chapter 3 of the Illinois Vehicle  | 
| 17 |  | Code;  | 
| 18 |  |         (4) Article IIIB of the Boat Registration and Safety  | 
| 19 |  | Act;  | 
| 20 |  |         (5) the Pawnbroker Regulation Act of 2023;  | 
| 21 |  |         (6) the Motor Vehicle Leasing Act;  | 
| 22 |  |         (7) the Consumer Installment Loan Act; and  | 
| 23 |  |         (8) the Consumer Deposit Security Act of 1987. | 
| 24 |  |     (c) Other applicable law controls. In case of conflict  | 
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| 1 |  | between this Article and a rule of law, statute, or regulation  | 
| 2 |  | described in subsection (b), the rule of law, statute, or  | 
| 3 |  | regulation controls. Failure to comply with a rule of law,  | 
| 4 |  | statute, or regulation described in subsection (b) has only  | 
| 5 |  | the effect such rule of law, statute, or regulation specifies. | 
| 6 |  |     (d) Further deference to other applicable law. This  | 
| 7 |  | Article does not:  | 
| 8 |  |         (1) validate any rate, charge, agreement, or practice  | 
| 9 |  | that violates a rule of law, statute, or regulation  | 
| 10 |  | described in subsection (b); or  | 
| 11 |  |         (2) extend the application of the rule of law,  | 
| 12 |  | statute, or regulation to a transaction not otherwise  | 
| 13 |  | subject to it. | 
| 14 |  | (Source: P.A. 91-893, eff. 7-1-01.)
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| 15 |  |     Section 90-20. The Consumer Fraud and Deceptive Business  | 
| 16 |  | Practices Act is amended by adding Section 2BBBB as follows:
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| 17 |  |     (815 ILCS 505/2BBBB new) | 
| 18 |  |     Sec. 2BBBB. Violations of the Pawnbroker Regulation Act of  | 
| 19 |  | 2023. Any person who violates Article 15 of the Pawnbroker  | 
| 20 |  | Regulation Act of 2023 commits an unlawful practice within the  | 
| 21 |  | meaning of this Act.
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| 22 |  | Article 99. Severability; Effective Date
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