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STATE OF ILLINOIS HOUSE JOURNAL HOUSE OF REPRESENTATIVES NINETY-SIXTH GENERAL ASSEMBLY 58TH LEGISLATIVE DAY REGULAR & PERFUNCTORY SESSION WEDNESDAY, MAY 20, 2009 10:20 O'CLOCK A.M. NO. 58

HOUSE JOURNAL - Illinois General AssemblyHB 0353 Motion Submitted .....11 HB 0363 Motion SubmittedHB 0372 Motion HB 0404 Committee Report - Concur in SA.....6 HB 0415 Motion HB 0415

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Page 1: HOUSE JOURNAL - Illinois General AssemblyHB 0353 Motion Submitted .....11 HB 0363 Motion SubmittedHB 0372 Motion HB 0404 Committee Report - Concur in SA.....6 HB 0415 Motion HB 0415

STATE OF ILLINOIS

HOUSE JOURNAL

HOUSE OF REPRESENTATIVES

NINETY-SIXTH GENERAL ASSEMBLY

58TH LEGISLATIVE DAY

REGULAR & PERFUNCTORY SESSION

WEDNESDAY, MAY 20, 2009

10:20 O'CLOCK A.M.

NO. 58

Page 2: HOUSE JOURNAL - Illinois General AssemblyHB 0353 Motion Submitted .....11 HB 0363 Motion SubmittedHB 0372 Motion HB 0404 Committee Report - Concur in SA.....6 HB 0415 Motion HB 0415

[May 20, 2009] 2

HOUSE OF REPRESENTATIVES Daily Journal Index 58th Legislative Day

Action Page(s)

Adjournment ......................................................................................................................643 Agreed Resolutions ............................................................................................................350 Change of Sponsorship.......................................................................................................344 Fiscal Note Requested..........................................................................................................12 Introduction and First Reading – HB 4565-4566 ...............................................................664 Judicial Note Supplied..........................................................................................................13 Legislative Measures Approved for Floor Consideration...................................................6, 7 Legislative Measures Assigned to Committee ...................................................................6, 7 Messages From The Senate..................................................................................................13 Motions Submitted .................................................................................................................9 Pension Note Supplied .........................................................................................................13 Perfunctory Adjournment...................................................................................................664 Perfunctory Session............................................................................................................664 Quorum Roll Call ...................................................................................................................5 Recess.................................................................................................................................591 Reports From Standing Committees ......................................................................................7 Resolutions.........................................................................................................................345 State Debt Impact Note Supplied .........................................................................................13 State Mandates Fiscal Note Requested.................................................................................12 Temporary Committee Assignments ......................................................................................5

Bill Number Legislative Action Page(s) HB 0009 Motion Submitted ................................................................................................................11 HB 0164 Committee Report - Concur in SA.........................................................................................6 HB 0255 Motion Submitted ................................................................................................................12 HB 0255 Senate Message – Passage w/ SA ......................................................................................343 HB 0261 Motion Submitted ..........................................................................................................11, 12 HB 0312 Motion Submitted ................................................................................................................12 HB 0312 Senate Message – Passage w/ SA ......................................................................................265 HB 0353 Motion Submitted ................................................................................................................11 HB 0363 Motion Submitted ..................................................................................................................9 HB 0372 Motion Submitted ..................................................................................................................9 HB 0404 Committee Report - Concur in SA.........................................................................................6 HB 0415 Motion Submitted ................................................................................................................10 HB 0415 Senate Message – Passage w/ SA ........................................................................................60 HB 0496 Motion Submitted ................................................................................................................10 HB 0496 Senate Message – Passage w/ SA ........................................................................................60 HB 0563 Motion Submitted ................................................................................................................10 HB 0563 Senate Message – Passage w/ SA ........................................................................................61 HB 0567 Committee Report - Concur in SA.........................................................................................6 HB 0574 Senate Message – Passage w/ SA ........................................................................................63 HB 0628 Motion Submitted ................................................................................................................10 HB 0628 Senate Message – Passage w/ SA ........................................................................................67 HB 0648 Motion Submitted ..................................................................................................................9 HB 0648 Senate Message – Passage w/ SA ........................................................................................16 HB 0682 Motion Submitted ................................................................................................................10 HB 0682 Senate Message – Passage w/ SA ........................................................................................15 HB 0684 Motion Submitted ................................................................................................................10 HB 0684 Senate Message – Passage w/ SA ........................................................................................20 HB 0699 Senate Message – Passage w/ SA ........................................................................................21

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3 [May 20, 2009] HB 0756 Motion Submitted ..................................................................................................................9 HB 0756 Senate Message – Passage w/ SA ........................................................................................22 HB 0773 Senate Message – Passage w/ SA ........................................................................................22 HB 0786 Motion Submitted ..................................................................................................................9 HB 0786 Senate Message – Passage w/ SA ........................................................................................28 HB 0797 Senate Message – Passage w/ SA ........................................................................................30 HB 0800 Senate Message – Passage w/ SA ........................................................................................37 HB 0809 Motion Submitted ................................................................................................................10 HB 0809 Senate Message – Passage w/ SA ........................................................................................41 HB 0849 Senate Message – Passage w/ SA ........................................................................................42 HB 0853 Senate Message – Passage w/ SA ........................................................................................45 HB 0880 Senate Message – Passage w/ SA ........................................................................................59 HB 0881 Motion Submitted ................................................................................................................11 HB 0881 Senate Message – Passage w/ SA ........................................................................................74 HB 0921 Motion Submitted ................................................................................................................12 HB 0921 Senate Message – Passage w/ SA ........................................................................................76 HB 0926 Motion Submitted ................................................................................................................12 HB 0926 Senate Message – Passage w/ SA ........................................................................................75 HB 0944 Senate Message – Passage w/ SA ........................................................................................80 HB 0976 Motion Submitted ................................................................................................................11 HB 0976 Senate Message – Passage w/ SA ........................................................................................78 HB 1057 Motion Submitted ................................................................................................................11 HB 1057 Senate Message – Passage w/ SA ........................................................................................78 HB 1060 Senate Message – Passage w/ SA ........................................................................................78 HB 1142 Senate Message – Passage w/ SA ........................................................................................76 HB 1293 Senate Message – Passage w/ SA ........................................................................................89 HB 2129 Second Reading – Amendment/s .......................................................................................590 HB 2129 Third Reading ....................................................................................................................591 HB 2132 Committee Report – Floor Amendment/s ..........................................................................6, 7 HB 2132 Second Reading – Amendment/s .......................................................................................579 HB 2132 Third Reading ....................................................................................................................590 HB 2145 Committee Report – Floor Amendment/s ..............................................................................6 HB 2145 Second Reading – Amendment/s .......................................................................................354 HB 2145 Third Reading ....................................................................................................................411 HB 2194 Second Reading – Amendment/s .......................................................................................578 HB 2194 Third Reading ....................................................................................................................579 HB 2206 Committee Report – Floor Amendment/s ..............................................................................6 HB 2206 Second Reading – Amendment/s .......................................................................................411 HB 2206 Third Reading ....................................................................................................................578 HB 2246 Motion Submitted ................................................................................................................11 HB 2246 Senate Message – Passage w/ SA ........................................................................................91 HB 2266 Motion Submitted ................................................................................................................11 HB 2266 Senate Message – Passage w/ SA ........................................................................................17 HB 2283 Motion Submitted ................................................................................................................12 HB 2283 Senate Message – Passage w/ SA ........................................................................................90 HB 2335 Senate Message – Passage w/ SA ......................................................................................100 HB 2394 Motion Submitted ................................................................................................................12 HB 2394 Senate Message – Passage w/ SA ......................................................................................100 HB 2400 Motion Submitted ................................................................................................................12 HB 2400 Senate Message – Passage w/ SA ........................................................................................98 HB 2660 Motion Submitted ................................................................................................................11 HB 2686 Motion Submitted ................................................................................................................11 HB 3991 Motion Submitted ..................................................................................................................9 HB 4120 Motion Submitted ................................................................................................................10 HB 4186 Motion Submitted ................................................................................................................10 HJR 0055 Committee Report .................................................................................................................8 HJR 0055 Posting Requirement Suspended .......................................................................................591

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[May 20, 2009] 4 HR 0422 Resolution ..........................................................................................................................350 HR 0422 Adoption .............................................................................................................................643 HR 0423 Resolution ..........................................................................................................................345 HR 0424 Resolution ..........................................................................................................................346 HR 0425 Resolution ..........................................................................................................................349 HR 0426 Resolution ..........................................................................................................................350 HR 0426 Adoption .............................................................................................................................643 HR 0427 Resolution ..........................................................................................................................350 HR 0427 Adoption .............................................................................................................................643 HR 0428 Resolution ..........................................................................................................................349 HR 0429 Resolution ..........................................................................................................................351 HR 0429 Adoption .............................................................................................................................643 HR 0430 Resolution ..........................................................................................................................351 HR 0430 Adoption .............................................................................................................................643 HR 0431 Resolution ..........................................................................................................................350 SB 0051 Committee Report – Floor Amendment/s ...........................................................................7, 8 SB 0054 Committee Report...................................................................................................................8 SB 0054 Second Reading – Amendment/s ........................................................................................592 SB 0226 Committee Report...................................................................................................................9 SB 0226 Second Reading ..................................................................................................................664 SB 0290 Committee Report – Floor Amendment/s ...............................................................................7 SB 1267 Recall ..................................................................................................................................351 SB 1293 Committee Report – Floor Amendment/s ...............................................................................6 SB 1333 Committee Report – Floor Amendment/s ...............................................................................8 SB 1512 Third Reading .....................................................................................................................351 SB 1544 Third Reading .....................................................................................................................351 SB 1559 Third Reading .....................................................................................................................351 SB 1592 Third Reading .....................................................................................................................352 SB 1611 Third Reading .....................................................................................................................352 SB 1698 Third Reading .....................................................................................................................352 SB 1729 Third Reading .....................................................................................................................352 SB 1738 Third Reading .....................................................................................................................352 SB 1783 Recall ..................................................................................................................................353 SB 1801 Third Reading .....................................................................................................................353 SB 1866 Third Reading .....................................................................................................................353 SB 1877 Third Reading .....................................................................................................................353 SB 1922 Third Reading .....................................................................................................................353 SB 1932 Third Reading .....................................................................................................................354 SB 1936 Recall ..................................................................................................................................352 SB 2022 Third Reading .....................................................................................................................354 SB 2090 Committee Report – Floor Amendment/s ...............................................................................6 SB 2090 Second Reading – Amendment/s ........................................................................................633 SB 2090 Third Reading .....................................................................................................................643 SB 2256 Committee Report – Floor Amendment/s ...............................................................................8 SJR 0059 Senate Message .................................................................................................................343

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5 [May 20, 2009] The House met pursuant to adjournment. Representative Lyons in the chair. Prayer by Mother Regina Pacis, who is the Provincial Superior of the Sisters of St. Francis of the Martyr St. George with St. Francis Convent in Alton, IL., and Father Jack Clair with Misercordia Heart of Mercy in Chicago, IL. Representative Reboletti led the House in the Pledge of Allegiance. By direction of the Speaker, a roll call was taken to ascertain the attendance of Members, as follows: 118 present. (ROLL CALL 1) At the hour of 12:12 o’clock p.m., by unanimous consent, Representative Careen Gordon was excused from attendance for the remainder of the day.

TEMPORARY COMMITTEE ASSIGNMENTS

Representative Mautino replaced Representative Turner in the Committee on Rules (D) on May 20, 2009.

Representative Mautino replaced Representative Lang in the Committee on Rules on May 20, 2009.

Representative Bost replaced Representative Schmitz in the Committee on Rules on May 20, 2009.

Representative William Davis replaced Representative Turner in the Committee on Rules on May 20,

2009.

Representative McGuire replaced Representative Lang in the Committee on Rules (A) on May 20, 2009.

Representative Acevedo replaced Representative Turner in the Committee on Rules (A) on May 20,

2009. Representative Lyons replaced Representative Lang in the Committee on Rules (B) on May 20, 2009. Representative Jefferson replaced Representative Turner in the Committee on Rules (B,C) on May 20,

2009.

Representative Watson replaced Representative Osmond in the Committee on Judiciary I - Civil Law on May 20, 2009.

Representative Mautino replaced Representative Turner in the Committee on Executive on May 20,

2009.

Representative Coulson replaced Representative Brady in the Committee on Executive on May 20, 2009.

Representative Ford replaced Representative May in the Committee on Public Policy &

Accountability for Education on May 20, 2009.

Representative Howard replaced Representative Yarbrough in the Committee on Public Policy & Accountability for Education on May 20, 2009.

REPORT FROM THE COMMITTEE ON RULES

Representative Currie, Chairperson, from the Committee on Rules to which the following were referred, action taken on May 20, 2009, reported the same back with the following recommendations:

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[May 20, 2009] 6 LEGISLATIVE MEASURES APPROVED FOR FLOOR CONSIDERATION: That the Floor Amendment be reported “recommends be adopted”: Amendment No. 1 to SENATE BILL 2090. That the Motion be reported “recommends be adopted” and placed on the House Calendar: Motion to concur with Senate Amendment No. 1 to HOUSE BILL 164. Motion to concur with Senate Amendment No. 1 to HOUSE BILL 404. Motion to concur with Senate Amendment No. 1 to HOUSE BILL 567.

LEGISLATIVE MEASURES ASSIGNED TO COMMITTEE: Youth and Family: Motion to Concur with SENATE AMENDMENT No. 1 to HOUSE BILL 529. Adoption Reform: Motion to Concur with SENATE AMENDMENTS Numbered 1 and 2 to HOUSE BILL 2405. The committee roll call vote on the foregoing Legislative Measures is as follows: 5, Yeas; 0, Nays; 0, Answering Present. Y Currie(D), Chairperson Y Black(R), Republican Spokesperson Y Mautino(D) (replacing Lang) Y Bost(R) (replacing Schmitz) Y Davis, W(D) (replacing Turner)

Representative Currie, Chairperson, from the Committee on Rules to which the following were referred, action taken on May 20, 2009, (A) reported the same back with the following recommendations: LEGISLATIVE MEASURES APPROVED FOR FLOOR CONSIDERATION: That the Floor Amendment be reported “recommends be adopted”: Amendment No. 2 to HOUSE BILL 2132. Amendment No. 2 to HOUSE BILL 2145. Amendment No. 2 to HOUSE BILL 2206. Amendment No. 2 to SENATE BILL 1293.

LEGISLATIVE MEASURES ASSIGNED TO COMMITTEE: Executive: HOUSE AMENDMENT No. 1 to SENATE BILL 51 and HOUSE AMENDMENT No. 1 to SENATE BILL 1333. Revenue & Finance: HOUSE AMENDMENT No. 2 to SENATE BILL 450. The committee roll call vote on the foregoing Legislative Measures is as follows: 4, Yeas; 0, Nays; 0, Answering Present. Y Currie(D), Chairperson A Black(R), Republican Spokesperson Y McGuire(D) (replacing Lang) Y Schmitz(R) Y Acevedo(D) (replacing Turner)

Representative Currie, Chairperson, from the Committee on Rules to which the following were referred, action taken on May 20, 2009, (B) reported the same back with the following recommendations: LEGISLATIVE MEASURES APPROVED FOR FLOOR CONSIDERATION: That the Floor Amendment be reported “recommends be adopted”:

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7 [May 20, 2009] Amendment No. 3 to HOUSE BILL 2132. The committee roll call vote on the foregoing Legislative Measure is as follows: 4, Yeas; 0, Nays; 0, Answering Present. Y Currie(D), Chairperson Y Black(R), Republican Spokesperson Y Lyons(D) (replacing Lang) A Schmitz(R) Y Jefferson(D) (replacing Turner)

Representative Currie, Chairperson, from the Committee on Rules to which the following were referred, action taken on May 20, 2009, (C) reported the same back with the following recommendations: LEGISLATIVE MEASURES APPROVED FOR FLOOR CONSIDERATION: That the Floor Amendment be reported “recommends be adopted”: Amendment No. 2 to SENATE BILL 51.

LEGISLATIVE MEASURES ASSIGNED TO COMMITTEE: Elementary & Secondary Education: SENATE BILL 612. The committee roll call vote on the foregoing Legislative Measures is as follows: 4, Yeas; 0, Nays; 0, Answering Present. Y Currie(D), Chairperson A Black(R), Republican Spokesperson Y Lang(D) Y Schmitz(R) Y Jefferson(D) (replacing Turner) Representative Currie, Chairperson, from the Committee on Rules to which the following were referred, action taken on May 20, 2009, (D) reported the same back with the following recommendations: LEGISLATIVE MEASURES ASSIGNED TO COMMITTEE: Executive: Motion to Concur with SENATE AMENDMENTS Numbered 1 and 3 to HOUSE BILL 255, Motion to Concur with SENATE AMENDMENTS Numbered 1 and 2 to HOUSE BILL 312; Motion to Concur with SENATE AMENDMENTS Numbered 1 and 2 to HOUSE BILL 2400. Revenue & Finance: SENATE BILL 2115. The committee roll call vote on the foregoing Legislative Measures is as follows: 4, Yeas; 0, Nays; 0, Answering Present. Y Currie(D), Chairperson Y Black(R), Republican Spokesperson Y Lang(D) A Schmitz(R) Y Mautino(D) (replacing Turner)

REPORTS FROM STANDING COMMITTEES

Representative Reitz, Chairperson, from the Committee on Health Care Licenses to which the following were referred, action taken on May 20, 2009, reported the same back with the following recommendations: That the Floor Amendment be reported “recommends be adopted”: Amendments Numbered 2 and 3 to SENATE BILL 290.

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[May 20, 2009] 8 That the resolution be reported “recommends be adopted” and be placed on the House Calendar: HOUSE JOINT RESOLUTION 55. The committee roll call vote on Amendments Numbered 2 and 3 to Senate Bill 290 is as follows: 7, Yeas; 0, Nays; 2, Answering Present. Y Reitz(D), Chairperson A Phelps(D), Vice-Chairperson A Saviano(R), Republican Spokesperson Y Coulson(R) Y Harris(D) Y Jackson(D) A Kosel(R) P McAuliffe(R) Y McCarthy(D) P Miller(D) Y Mulligan(R) Y Verschoore(D) The committee roll call vote on House Joint Resolution 55 is as follows: 9, Yeas; 0, Nays; 0, Answering Present. Y Reitz(D), Chairperson A Phelps(D), Vice-Chairperson A Saviano(R), Republican Spokesperson Y Coulson(R) Y Harris(D) Y Jackson(D) A Kosel(R) Y McAuliffe(R) Y McCarthy(D) Y Miller(D) Y Mulligan(R) Y Verschoore(D)

Representative Fritchey, Chairperson, from the Committee on Judiciary I - Civil Law to which the following were referred, action taken on May 20, 2009, reported the same back with the following recommendations: That the Floor Amendment be reported “recommends be adopted”: Amendment No. 1 to SENATE BILL 2256. The committee roll call vote on Amendment No. 1 to Senate Bill 2256 is as follows: 11, Yeas; 2, Nays; 0, Answering Present. Y Fritchey(D), Chairperson Y Bradley(D), Vice-Chairperson Y Rose(R), Republican Spokesperson Y Brosnahan(D) A Coladipietro(R) Y Connelly(R) A Gordon, Careen(D) A Hamos(D) Y Hoffman(D) N Lang(D) N Mathias(R) A Nekritz(D) Y Watson(R) (replacing Osmond) Y Thapedi(D) Y Tracy(R) Y Wait(R) Y Zalewski(D)

Representative Burke, Chairperson, from the Committee on Executive to which the following were referred, action taken on May 20, 2009, reported the same back with the following recommendations: That the bill be reported “do pass as amended” and be placed on the order of Second Reading-- Short Debate: SENATE BILL 54. That the Floor Amendment be reported “recommends be adopted”: Amendment No. 1 to SENATE BILL 51. Amendment No. 1 to SENATE BILL 1333. The committee roll call vote on Senate Bill 54, Amendment No. 1 to SENATE BILL 51 and Amendment No. 1 to SENATE BILL 1333 is as follows: 11, Yeas; 0, Nays; 0, Answering Present. Y Burke(D), Chairperson Y Lyons(D), Vice-Chairperson Y Coulson(R) (replacing Brady) Y Acevedo(D) Y Arroyo(D) Y Berrios(D) Y Biggins(R) Y Rita(D)

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9 [May 20, 2009] Y Sullivan(R) Y Tryon(R) Y Mautino(D) (repalcing Turner)

Representative Golar, Chairperson, from the Committee on Public Policy & Accountability for Education to which the following were referred, action taken on May 20, 2009, reported the same back with the following recommendations: That the bill be reported “do pass as amended” and be placed on the order of Second Reading-- Short Debate: SENATE BILL 226. The committee roll call vote on Senate Bill 226 is as follows: 5, Yeas; 1, Nay; 2, Answering Present. Y Golar(D), Chairperson Y Ryg(D), Vice-Chairperson N Eddy(R), Republican Spokesperson Y Jakobsson(D) A Kosel(R) Y Ford(D) (replacing May) P Mitchell, Jerry(R) P Pihos(R) Y Howard(D) (replacing Yarbrough)

MOTIONS SUBMITTED

Representative Soto submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 363.

Representative Feigenholtz submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 756.

Representative Mautino submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 372.

Representative Rita submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendments numbered 1 and 2 to HOUSE BILL 786.

Representative Coulson submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 3991.

Representative Monique Davis submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 648.

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[May 20, 2009] 10 Representative William Davis submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendments numbered 1 and 2 to HOUSE BILL 4186.

Representative Lang submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 415.

Representative Fortner submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 809.

Representative Miller submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 496.

Representative Osterman submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 628.

Representative Burns submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 684.

Representative Burns submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 682.

Representative Beiser submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 563.

Representative Walker submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 4120.

Representative Mendoza submitted the following written motion, which was referred to the Committee on Rules:

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11 [May 20, 2009]

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 881.

Representative Dugan submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 1057.

Representative Bassi submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 2660.

Representative Chapa LaVia submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 976.

Representative Lang submitted the following written motion, which was placed on the Calendar on the order of Concurrence:

MOTION I move to non-concur with Senate Amendments numbered 1, 2, 3 and 4 to HOUSE BILL 261.

Representative Winters submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendments numbered 1 and 2 to HOUSE BILL 353.

Representative Fritchey submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 2246.

Representative Dunkin submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 2266.

Representative Leitch submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 2686.

Representative Tracy submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 9.

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[May 20, 2009] 12 Representative Lang submitted the following written motion, which was referred to the Committee on Rules:

MOTION #2 I move to concur with Senate Amendments numbered 1, 2, 3 and 4 to HOUSE BILL 261.

Representative Burke submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 921.

Representative Burke submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 926.

Representative Soto submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 1 to HOUSE BILL 2283.

Representative Walker submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendment No. 2 to HOUSE BILL 2394.

Representative Lang submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendments numbered 1 and 2 to HOUSE BILL 2400.

Representative Nekritz submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendments numbered 1 and 3 to HOUSE BILL 255.

Representative Madigan submitted the following written motion, which was referred to the Committee on Rules:

MOTION I move to concur with Senate Amendments numbered 1 and 2 to HOUSE BILL 312.

REQUEST FOR FISCAL NOTE

Representative Watson requested that a Fiscal Note be supplied for SENATE BILL 351.

REQUEST FOR STATE MANDATES FISCAL NOTE

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13 [May 20, 2009] Representative Watson requested that a State Mandates Fiscal Note be supplied for SENATE BILL 351.

JUDICIAL NOTE SUPPLIED

A Judicial Note has been supplied for SENATE BILL 1682, as amended.

PENSION NOTE SUPPLIED

A Pension Note has been supplied for SENATE BILL 1682, as amended.

STATE DEBT IMPACT NOTE SUPPLIED

A State Debt Impact Note has been supplied for SENATE BILL 1682, as amended.

MESSAGES FROM THE SENATE

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 682

A bill for AN ACT concerning juveniles. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 682 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 682 by replacing the title with the following: "AN ACT concerning the General Assembly."; and by replacing everything after the enacting clause with the following: "Section 5. The Correctional Budget and Impact Note Act is amended by changing Sections 1, 2, 3, 4, 6, 7, 8, and 9 as follows: (25 ILCS 70/1) (from Ch. 63, par. 42.81) Sec. 1. This Act shall be known and may be cited as the Correctional and Human Services Budget and Impact Note Act. (Source: P.A. 83-1031.) (25 ILCS 70/2) (from Ch. 63, par. 42.82) Sec. 2. Budget impact note required. (a) Every bill which creates a new criminal offense for which a sentence to the Department ofCorrections may be imposed; or which enhances any class or category of offense to a higher grade or penalty for which a sentence to the Department of Corrections is authorized; or which requires a mandatorycommitment to the Department of Corrections, shall have prepared for it prior to second reading in thehouse of introduction a brief explanatory statement or note which shall include a reliable estimate of theprobable impact of such bill upon the overall resident population of the Department of Corrections and theprobable impact which such bill will have upon the Department's annual budget. (b) Every bill that (i) creates a new criminal offense for which a commitment to the Department of Juvenile Justice or to a juvenile detention facility, sentence of probation, intermediate sanctions, orcommunity service may be imposed or (ii) enhances any class or category of offense to any grade or penalty for which adjudication, commitment, or disposition by a circuit court to the custody of a Probationand Court Services Department may result shall have prepared for it prior to second reading in the house of

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[May 20, 2009] 14 introduction a brief explanatory statement or note that shall include a reliable estimate of the probableimpact of the bill upon the Department of Juvenile Justice, as well as the overall probation caseload Statewide and the probable impact the bill will have on staffing needs and upon the annual budgets of theIllinois Supreme Court and the counties of this State. (c) Every bill which creates a new program or service which will be provided by the Department ofHuman Services, or which expands the class of persons eligible for, or the level of benefits provided by,any existing program or service provided by the Department of Human Services, shall have prepared for itprior to second reading in the house of introduction a brief explanatory statement or note which shall include a reliable estimate of the probable impact of such bill upon the overall resident population of thefacilities operated by the Department of Human Services and the probable impact which such bill will haveupon the Department's annual budget. (d) Every bill which creates a new program or service which will be provided by the Department ofHealthcare and Family Services, or which expands the class of persons eligible for, or the level of benefitsprovided by, any existing program or service provided by the Department of Healthcare and FamilyServices, shall have prepared for it prior to second reading in the house of introduction a brief explanatorystatement or note which shall include a reliable estimate of the probable impact which such bill will have upon the Department's annual budget. (e) Every bill which creates a new program or service which will be provided by the Illinois State Boardof Education, or which expands the class of persons eligible for, or the level of benefits provided by, any existing program or service provided by the Illinois State Board of Education, shall have prepared for itprior to second reading in the house of introduction a brief explanatory statement or note which shallinclude a reliable estimate of the probable impact which such bill will have upon the Board's annual budget.(Source: P.A. 89-198, eff. 7-21-95.) (25 ILCS 70/3) (from Ch. 63, par. 42.83) Sec. 3. Preparation of note. (a) Upon the filing request of the sponsor of any bill described in subsection (a) of Section 2, the Director of the Department of Corrections, or any person within the Department whom the Director maydesignate, shall prepare a written statement setting forth the information specified in subsection (a) of Section 2. Upon the filing request of the sponsor of any bill described in subsection (b) of Section 2, the Director of Juvenile Justice and the Director of the Administrative Office of the Illinois Courts, or anyperson each the Director may designate, shall prepare a written statement setting forth the informationspecified in subsection (b) of Section 2. Upon the filing of any bill described in subsection (c) of Section 2,the Secretary of the Department of Human Services, or any person within the Department whom the Secretary may designate, shall prepare a written statement setting forth the information specified insubsection (c) of Section 2. Upon the filing of any bill described in subsection (d) of Section 2, the Directorof the Department of Healthcare and Family Services, or any person within the Department whom theDirector may designate, shall prepare a written statement setting forth the information specified insubsection (d) of Section 2. Upon the filing of any bill described in subsection (e) of Section 2, the State Superintendent of Education, or any person employed by the Board whom the State Superintendent maydesignate, shall prepare a written statement setting forth the information specified in subsection (e) ofSection 2. The statement prepared by the Director of Corrections, the Director of Juvenile Justice, the or Director of Administrative Office of the Illinois Courts, the Secretary of Human Services, the Director of Healthcareand Family Services, or the State Superintendent of Education, as the case may be, shall be designated a Correctional and Human Services Budget and Impact Note and shall be filed with the Clerk of the House or the Secretary of the Senate, as appropriate, and furnished to the sponsor within 10 calendar days thereafter, except that whenever, because of the complexity of the bill, additional time is required for the preparationof the note, the Department of Corrections, Department of Juvenile Justice, or Administrative Office of the Illinois Courts , Department of Human Services, Department of Healthcare and Family Services, or IllinoisState Board of Education may so notify the sponsor and request an extension of time not to exceed 5additional days within which such note is to be furnished. Such extension shall not extend beyond May 15 following the date of the request. (b) Upon the filing of any bill requiring the preparation of a written statement under subsection (a), thesponsor of the bill in the house of introduction shall inform the Department of Corrections, the Department of Juvenile Justice, the Administrative Office of the Illinois Courts, the Department of Human Services, theDepartment of Healthcare and Family Services, or the Illinois State Board of Education, as appropriate, of the filing of the bill.

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15 [May 20, 2009] (Source: P.A. 92-16, eff. 6-28-01.) (25 ILCS 70/4) (from Ch. 63, par. 42.84) Sec. 4. Preferred funding source. Within 5 days after receiving the statement required in Section 3 andprior to second reading in the house of introduction, the sponsor shall file with the Clerk of the House orthe Secretary of the Senate, as appropriate, a written statement identifying the sponsor's preferred means offunding the costs to be incurred by the legislation. The required identification shall be made either by specifying (i) the additional tax or other revenue source from which an amount equal to the costs identifiedare to be generated or (ii) the specific line item or items in the budget for the current fiscal year that wouldbe reduced or eliminated to reach an amount equal to the costs identified. Whenever the sponsor of any measure is of the opinion that no Correctional Budget and Impact Note is necessary, any member of eitherhouse may thereafter request that a note be obtained, and in such case the matter shall be decided by a majority vote of those present and voting in the house of which he is a member. (Source: P.A. 83-1031.) (25 ILCS 70/6) (from Ch. 63, par. 42.86) Sec. 6. Preparation of note. No comment or opinion shall be included in the note with regard to the merits of the measure for which the note is prepared; however technical or mechanical defects may benoted. The work sheet shall include, insofar as practicable, a breakdown of the costs upon which the note is based. Such breakdown shall include, but need not be limited to, costs of personnel, room and board, andcapital outlay. The note shall also include such other information as is required by the rules and regulationswhich may be promulgated by each house of the General Assembly with respect to the preparation of suchnotes. The note shall be prepared in quintuplicate and the original of both the note and the work sheet shall besigned by the Director of the Department of Corrections or such person as the Director may designate, by the Director of Juvenile Justice, or such person as the Director may designate, or by the Director of the Administrative Office of the Illinois Courts, or any person the Director may designate , the Secretary of the Department of Human Services, or such person as the Secretary may designate, or the Director of theDepartment of Healthcare and Family Services, or such person as the Director may designate, or the StateSuperintendent of Education, or such person as the Superintendent may designate. (Source: P.A. 89-198, eff. 7-21-95.) (25 ILCS 70/7) (from Ch. 63, par. 42.87) Sec. 7. Committee appearance. The fact that a Correctional and Human Services Budget and Impact Note is prepared for any bill shall not preclude or restrict the appearance before any committee of theGeneral Assembly, of any official or authorized employee of any State board, commission, department,agency or other entity who desires to be heard in support of or in opposition to the measure. (Source: P.A. 83-1031.) (25 ILCS 70/8) (from Ch. 63, par. 42.88) Sec. 8. Amendments; notes required. Whenever any measure is amended on the floor of either house insuch manner as to bring it within the description of bills set forth in Section 2 above, a majority of such house may propose that no action shall be taken upon the amendment until the sponsor of the amendmentpresents to the members a statement of the budget and (if applicable) population impact of his or heramendment, together with a statement of the sponsor's preferred funding source under Section 4, as required by this Act. (Source: P.A. 83-1031.) (25 ILCS 70/9) (from Ch. 63, par. 42.89) Sec. 9. Confidentiality before introduction. The subject matter of bills submitted to the Director of the Department of Corrections , the Director of Juvenile Justice, or the Director of the Administrative Office of the Illinois Courts , the Secretary of the Department of Human Services, the Director of the Department ofHealthcare and Family Services, or the State Superintendent of Education shall be kept in strict confidence and no information relating thereto or relating to the budget or impact thereof shall be divulged by anofficial or employee of the applicable Board or Department or the Administrative Office of the Illinois Courts, except to the bill's sponsor or his designee, prior to the bill's introduction in the General Assembly. (Source: P.A. 92-16, eff. 6-28-01.)". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 682 was placed on the Calendar on the order of Concurrence.

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A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 648

A bill for AN ACT concerning transportation. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 648 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 648 on page 6, line 8, by replacing "2020" with "2015". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 648 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 2266

A bill for AN ACT concerning children. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 2266 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 2266 by replacing lines 6 through 23 on page 1, all of page 2, and lines 1 through 6 on page 3 with the following: "(720 ILCS 5/10-5.5) Sec. 10-5.5. Unlawful visitation or parenting time interference. (a) As used in this Section, the terms "child", "detain", and "lawful custodian" shall have the meanings ascribed to them in Section 10-5 of this Code. (b) Every person who, in violation of the visitation, parenting time, or custody time provisions of a court order relating to child custody, detains or conceals a child with the intent to deprive another person of his or her rights to visitation, parenting time, or custody time shall be guilty of unlawful visitation or parenting time interference. (c) A person committing unlawful visitation or parenting time interference is guilty of a petty offense. However, any person violating this Section after 2 prior convictions of unlawful visitation interference or unlawful visitation or parenting time interference is guilty of a Class A misdemeanor. (d) Any law enforcement officer who has probable cause to believe that a person has committed or iscommitting an act in violation of this Section shall issue to that person a notice to appear. (e) The notice shall: (1) be in writing; (2) state the name of the person and his address, if known; (3) set forth the nature of the offense; (4) be signed by the officer issuing the notice; and (5) request the person to appear before a court at a certain time and place. (f) Upon failure of the person to appear, a summons or warrant of arrest may be issued. (g) It is an affirmative defense that: (1) a person or lawful custodian committed the act to protect the child from imminent

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physical harm, provided that the defendant's belief that there was physical harm imminent was reasonable and that the defendant's conduct in withholding visitation rights, parenting time, or custody time was a reasonable response to the harm believed imminent;

(2) the act was committed with the mutual consent of all parties having a right to custody and visitation of the child or parenting time with the child; or (3) the act was otherwise authorized by law. (h) A person convicted of unlawful visitation or parenting time interference shall not be subject to a civil contempt citation for the same conduct for violating visitation, parenting time, or custody time provisions of a court order issued under the Illinois Marriage and Dissolution of Marriage Act. (Source: P.A. 88-96.)"; and on page 5, lines 7 and 8, by replacing "parenting time visitation" with "visitation or parenting time". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 2266 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 684

A bill for AN ACT concerning education. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 684 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 684 by replacing everything after the enacting clausewith the following: "Section 5. The School Code is amended by adding Section 2-3.148 and by changing Section 22-45 asfollows: (105 ILCS 5/2-3.148 new) Sec. 2-3.148. Community schools. (a) This Section applies beginning with the 2009-2010 school year. (b) The General Assembly finds all of the following: (1) All children are capable of success. (2) Schools are the centers of vibrant communities. (3) Strong families build strong educational communities. (4) Children succeed when adults work together to foster positive educational outcomes. (5) Schools work best when families take active roles in the education of children. (6) Schools today are limited in their ability to dedicate time and resources to provide a wide range ofeducational opportunities to students because of the focus on standardized test outcomes. (7) By providing learning opportunities outside of normal school hours, including programs on lifeskills and health, students are more successful academically, more engaged in their communities, safer, andbetter prepared to make a successful transition from school to adulthood. (8) A community school is a traditional school that actively partners with its community to leverageexisting resources and identify new resources to support the transformation of the school to provideenrichment and additional life skill opportunities for students, parents, and community members at-large. Each community school is unique because its programming is designed by and for the school staff, inpartnership with parents, community stakeholders, and students. (9) Community schools currently exist in this State in urban, rural, and suburban communities. (10) Research shows that community schools have a powerful positive impact on students, asdemonstrated by increased academic success, a positive change in attitudes toward school and learning, and decreased behavioral problems. (11) After-school and evening programs offered by community schools provide academic enrichment

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[May 20, 2009] 18 consistent with the Illinois Learning Standards and general school curriculum; an opportunity for physical fitness activities for students, fine arts programs, structured learning "play" time, and other recreationalopportunities; a safe haven for students; and work supports for working families. (12) Community schools are cost-effective because they leverage existing resources provided by local,State, federal, and private sources and bring programs to the schools, where the students are alreadycongregated. Community schools have been shown to leverage between $5 to $8 in existing programming for every $1 spent on a community school. (c) Subject to an appropriation or the availability of funding for such purposes, the State Board ofEducation shall make grants available to fund community schools and to enhance programs at community schools. A request-for-proposal process must be used in awarding grants under this subsection (c).Proposals may be submitted on behalf of a school, a school district, or a consortium of 2 or more schools orschool districts. Proposals must be evaluated and scored on the basis of criteria consistent with this Sectionand other factors developed and adopted by the State Board of Education. Technical assistance in grantwriting must be made available to schools, school districts, or consortia of school districts through the State Board of Education directly or through a resource and referral directory established and maintained by theState Board of Education. (d) In order to qualify for a community school grant under this Section, a school must, at a minimum, have the following components: (1) Before and after-school programming each school day to meet the identified needs of students. (2) Weekend programming. (3) At least 4 weeks of summer programming. (4) A local advisory group comprised of school leadership, parents, and community stakeholders thatestablishes school-specific programming goals, assesses program needs, and oversees the process ofimplementing expanded programming. (5) A program director or resource coordinator who is responsible for establishing a local advisorygroup, assessing the needs of students and community members, identifying programs to meet those needs,developing the before and after-school, weekend, and summer programming and overseeing the implementation of programming to ensure high quality, efficiency, and robust participation. (6) Programming that includes academic excellence aligned with the Illinois Learning Standards, lifeskills, healthy minds and bodies, parental support, and community engagement and that promotes staying inschool and non-violent behavior and non-violent conflict resolution. (7) Maintenance of attendance records in all programming components. (8) Maintenance of measurable data showing annual participation and the impact of programming onthe participating children and adults. (9) Documentation of true collaboration between the school and community stakeholders, includinglocal governmental units, civic organizations, families, businesses, and social service providers. (10) A non-discrimination policy ensuring that the community school does not condition participationupon race, ethnic origin, religion, sex, or disability. (105 ILCS 5/22-45) Sec. 22-45. Illinois P-20 Council. (a) The General Assembly finds that preparing Illinoisans for success in school and the workplacerequires a continuum of quality education from preschool through graduate school. This State needs aframework to guide education policy and integrate education at every level. A statewide coordinatingcouncil to study and make recommendations concerning education at all levels can avoid fragmentation ofpolicies, promote improved teaching and learning, and continue to cultivate and demonstrate strong accountability and efficiency. Establishing an Illinois P-20 Council will develop a statewide agenda that will move the State towards the common goals of improving academic achievement, increasing collegeaccess and success, improving use of existing data and measurements, developing improved accountability,fostering innovative approaches to education, promoting lifelong learning, easing the transition to college,and reducing remediation. A pre-kindergarten through grade 20 agenda will strengthen this State's economic competitiveness by producing a highly-skilled workforce. In addition, lifelong learning plans will enhance this State's ability to leverage funding. (b) There is created the Illinois P-20 Council. The Illinois P-20 Council shall include all of the following members: (1) The Governor or his or designee, to serve as chairperson. (2) Four members of the General Assembly, one appointed by the Speaker of the House of Representatives, one appointed by the Minority Leader of the House of Representatives, one appointed

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by the President of the Senate, and one appointed by the Minority Leader of the Senate. (3) Six at-large members appointed by the Governor as follows, with 2 members being from

the City of Chicago, 2 members being from Lake County, McHenry County, Kane County, DuPageCounty, Will County, or that part of Cook County outside of the City of Chicago, and 2 members beingfrom the remainder of the State:

(A) one representative of civic leaders; (B) one representative of local government; (C) one representative of trade unions; (D) one representative of nonprofit organizations or foundations; (E) one representative of parents' organizations; and (F) one education research expert. (4) Five members appointed by statewide business organizations and business trade associations. (5) Six members appointed by statewide professional organizations and associations

representing pre-kindergarten through grade 20 teachers, community college faculty, and publicuniversity faculty.

(6) Two members appointed by associations representing local school administrators and school board members. One of these members must be a special education administrator. (7) One member representing community colleges, appointed by the Illinois Council of Community College Presidents. (8) One member representing 4-year independent colleges and universities, appointed by a statewide organization representing private institutions of higher learning. (9) One member representing public 4-year universities, appointed jointly by the university presidents and chancellors. (10) Ex-officio members as follows: (A) The State Superintendent of Education or his or her designee. (B) The Executive Director of the Board of Higher Education or his or her designee. (C) The President and Chief Executive Officer of the Illinois Community College Board or his or her designee. (D) The Executive Director of the Illinois Student Assistance Commission or his or her designee. (E) The Co-chairpersons of the Illinois Workforce Investment Board or their designee. (F) The Director of Commerce and Economic Opportunity or his or her designee. (G) The Chairperson of the Illinois Early Learning Council or his or her designee. (H) The President of the Illinois Mathematics and Science Academy or his or her designee. (I) The president of an association representing educators of adult learners or his or her designee. Ex-officio members shall have no vote on the Illinois P-20 Council. Appointed members shall serve for staggered terms expiring on July 1 of the first, second,

or third calendar year following their appointments or until their successors are appointed and have qualified. Staggered terms shall be determined by lot at the organizing meeting of the Illinois P-20 Council.

Vacancies shall be filled in the same manner as original appointments, and any member so appointed shall serve during the remainder of the term for which the vacancy occurred. (c) The Illinois P-20 Council shall be funded through State appropriations to

support staff activities, research, data-collection, and dissemination. The Illinois P-20 Council shall be staffed by the Office of the Governor, in coordination with relevant State agencies, boards, andcommissions. The Illinois Education Research Council shall provide research and coordinate researchcollection activities for the Illinois P-20 Council.

(d) The Illinois P-20 Council shall have all of the following duties: (1) To make recommendations to do all of the following: (A) Coordinate pre-kindergarten through grade 20 (graduate school) education in this

State through working at the intersections of educational systems to promote collaborativeinfrastructure.

(B) Coordinate and leverage strategies, actions, legislation, policies, and

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[May 20, 2009] 20

resources of all stakeholders to support fundamental and lasting improvement in this State's publicschools, community colleges, and universities.

(C) Better align the high school curriculum with postsecondary expectations. (D) Better align assessments across all levels of education. (E) Reduce the need for students entering institutions of higher education to take remedial courses. (F) Smooth the transition from high school to college. (G) Improve high school and college graduation rates. (H) Improve the rigor and relevance of academic standards for college and workforce readiness. (I) Better align college and university teaching programs with the needs of Illinois schools. (2) To advise the Governor, the General Assembly, the State's education and higher

education agencies, and the State's workforce and economic development boards and agencies onpolicies related to lifelong learning for Illinois students and families.

(3) To articulate a framework for systemic educational improvement and innovation that will enable

every student to meet or exceed Illinois learning standards and be well-prepared to succeed in the workforce and community.

(4) To provide an estimated fiscal impact for implementation of all Council recommendations. (e) The chairperson of the Illinois P-20 Council may authorize the creation of working groups focusingon areas of interest to Illinois educational and workforce development, including without limitation thefollowing areas: (1) Preparation, recruitment, and certification of highly qualified teachers. (2) Mentoring and induction of highly qualified teachers. (3) The diversity of highly qualified teachers. (4) Funding for highly qualified teachers, including developing a strategic and

collaborative plan to seek federal and private grants to support initiatives targeting teacher preparation and its impact on student achievement.

(5) Highly effective administrators. (6) Illinois birth through age 3 education, pre-kindergarten, and early childhood education. (7) The assessment, alignment, outreach, and network of college and workforce readiness efforts. (8) Alternative routes to college access. (9) Research data and accountability. (10) Community schools, community participation, and other innovative approaches to education that foster community partnerships. The chairperson of the Illinois P-20 Council may designate Council members to serve as working groupchairpersons. Working groups may invite organizations and individuals representing pre-kindergarten through grade 20 interests to participate in discussions, data collection, and dissemination. (Source: P.A. 95-626, eff. 6-1-08; 95-996, eff. 10-3-08.) Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 684 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 699

A bill for AN ACT concerning criminal law. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 699

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Senate Amendment No. 3 to HOUSE BILL NO. 699 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 699 by replacing everything after the enacting clause with the following: "Section 5. The Criminal Code of 1961 is amended by changing Section 12-4.1 as follows: (720 ILCS 5/12-4.1) (from Ch. 38, par. 12-4.1) Sec. 12-4.1. Heinous Battery. (a) A person who, in committing a battery, knowingly causes severe and permanent disability, greatbodily harm or disfigurement by means of a caustic or flammable substance, a poisonous gas, a deadlybiological or chemical contaminant or agent, a radioactive substance, or a bomb or explosive compound , or any other dangerous weapon as defined by Section 33A-1 of this Code commits heinous battery. (b) Sentence. Heinous battery is a Class X felony for which a person shall be sentenced to a term ofimprisonment of no less than 6 years and no more than 45 years. (Source: P.A. 91-121, eff. 7-15-99.) Section 99. Effective date. This Act takes effect upon becoming law.". AMENDMENT NO. 3 . Amend House Bill 699, AS AMENDED, in the introductory clause of Section 5, by replacing "Section 12-4.1" with "Sections 12-4.1 and 32-8"; and by inserting after the last line of Sec. 12-4.1 of Section 5 the following: "(720 ILCS 5/32-8) (from Ch. 38, par. 32-8) Sec. 32-8. Tampering with public records. (a) A person who knowingly and without lawful authority alters, destroys, defaces, removes or concealsany public record commits a Class 4 felony. (b) A public record, as so defined, expressly includes, but is not limited to, court records pertaining to any civil or criminal proceeding in any court. (c) A judge, circuit clerk or clerk of any court, an inspector general of any court, public official oremployee, court reporter, or any other person who knowingly and without lawful authority alters, destroys, defaces, removes, or conceals any public record received or held by any judge or by a clerk of any courtcommits a Class 3 felony. (d) Any person convicted under subsection (c) shall forfeit his or her elected office or publicemployment, if any, together with his or her entitlement to any and all public pensions or other benefitspayable by the State of Illinois or by any public entity created or organized under the laws of the State ofIllinois, if any. (e) Any party having an interest in the protection and integrity of any court record, whether such party bea public official or a private individual, shall have the right to request and, if necessary, to demand aninvestigation be opened into the destruction, defacement, removal, or concealment of any public record. Such request may be made to any law enforcement agency, including, but not limited to, local lawenforcement and the State Police. (f) When the local law enforcement agency having jurisdiction declines to investigate, or inadequately investigates, a violation of subsection (c), the State Police shall have the authority to investigate, and shallinvestigate, the same, without regard to whether such local law enforcement agency has requested the StatePolice to do so. (g) When the State's Attorney having jurisdiction declines to prosecute a violation of subsection (c), theAttorney General shall have the authority to prosecute the same, without regard to whether such State'sAttorney has requested the Attorney General to do so. (h) Prosecution of a violation of subsection (c) shall be commenced within 3 years after the actconstituting the violation is discovered or reasonably should have been discovered. (Source: P.A. 77-2638.)". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 3 to HOUSE BILL 699 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary:

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Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has concurred with the House of Representatives in the passage of a bill of the following title to-wit:

HOUSE BILL 756 A bill for AN ACT concerning adoption. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 756 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 756 on page 20, by replacing lines 10 through 12 with the following: "Proceeds from the penalties paid to the Department of Children and Family Services shall be depositedinto the DCFS Children's Services Fund. The Department of Children and Family". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 756 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 773

A bill for AN ACT concerning business. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 773 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 773 as follows: on page 9, line 14, before "wholesaler", by inserting "transferring"; and on page 9, line 17, after "sale", by inserting "or transfer"; and on page 9, by replacing lines 19 through 26 with the following: "The agreement must provide in substance that the agreement shall be governed by all applicable provisions of State law, and that such State law is incorporated into the agreement, shall be deemed to be apart thereof, and shall supercede any provision of the agreement in conflict with such State law. If anagreement presented to the wholesaler does not provide this provision in substance the brewer must furnishan executed Illinois addendum to the wholesaler stating that the agreement shall be governed by allapplicable provisions of State law, and that such State law is incorporated into the agreement, shall be deemed to be a part hereof, shall supercede any provision of the agreement in conflict with such State law,and shall govern and control."; and on page 10, by deleting lines 1 through 6. The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 773 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 786

A bill for AN ACT concerning regulation.

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23 [May 20, 2009]

Together with the attached amendments thereto (which amendments have been printed by the Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit:

Senate Amendment No. 1 to HOUSE BILL NO. 786 Senate Amendment No. 2 to HOUSE BILL NO. 786 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 786 by replacing everything after the enacting clause with the following: "Section 5. The Illinois Roofing Industry Licensing Act is amended by changing Section 12 as follows: (225 ILCS 335/12) (from Ch. 111, par. 7512) (Section scheduled to be repealed on January 1, 2016) Sec. 12. This Act shall be known and and may be cited as the "Illinois Roofing Industry Licensing Act". (Source: P.A. 83-1513.)". AMENDMENT NO. 2 . Amend House Bill 786, AS AMENDED, by replacing everything after theenacting clause with the following: "Section 5. The Professional Boxing Act is amended by changing Sections 0.05, 1, 6, 7, 8, 11, 16, and25.1 as follows: (225 ILCS 105/0.05) (Section scheduled to be repealed on January 1, 2012) Sec. 0.05. Declaration of public policy. Professional boxing and full-contact martial arts other contests in the State of Illinois , and amateur full-contact martial arts events, are hereby declared to affect the public health, safety, and welfare and to be subject to regulation and control in the public interest. It is further declared to be a matter of public interest and concern that these contests and events boxing and other contests, as defined in this Act, merit and receive the confidence of the public and that only qualified persons be authorized to participate in these contests and events boxing and other contests in the State of Illinois. This Act shall be liberally construed to best carry out these objects and purposes. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/1) (from Ch. 111, par. 5001) (Section scheduled to be repealed on January 1, 2012) Sec. 1. Short title and definitions. (a) This Act may be cited as the Professional Boxing Act. (b) As used in this Act: 1. "Department" means the Department of Financial and Professional Regulation. 2. "Secretary" means the Secretary of Financial and Professional Regulation. 3. "Board" means the State Professional Boxing Board appointed by the Secretary. 4. "License" means the license issued for promoters, contestants, or officials in accordance with this Act. 5. (Blank). 6. "Contest" means a professional boxing, martial art, or professional full-contact mixed martial artsart match or exhibition. 7. (Blank). 8. (Blank). 9. "Permit" means the authorization from the Department to a promoter to conduct contests. 10. "Promoter" means a person who is licensed and who holds a permit to conduct contests. 11. Unless the context indicates otherwise, "person" includes, but is not limited to, an individual, anassociation, organization, business entity partnership, corporation, gymnasium, or club. 12. (Blank). 13. (Blank). 14. (Blank). 15. "Judge" means a person licensed by the Department who is at ringside during a contest match and who has the responsibility of scoring the performance of the participants in the contest.

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[May 20, 2009] 24 16. "Referee" means a person licensed by the Department who has the general supervision of a contest and is present inside of the ring during the contest. 17. "Amateur" means a person who is not competing for, and has never received or competed for, any purse or other

article of value, directly or indirectly, either for participating in any contest or for the expenses oftraining therefor, other than a non-monetary prize that does not exceed $50 in value.

18. "Contestant" means a person licensed by the Department who competes for a money prize, purse, or other type of compensation in a contest, exhibition, or match held in Illinois. 19. "Second" means a person licensed by the Department who is present at any contest to provide assistance or advice to a contestant during the contest. 20. "Matchmaker" means a person licensed by the Department who brings together contestants or procures matches or contests for contestants. 21. "Manager" means a person licensed by the Department who is not a promoter and who,

under contract, agreement, or other arrangement with any contestant, undertakes to, directly or indirectly,control or administer the affairs of contestants.

22. "Timekeeper" means a person licensed by the Department who is the official timer of the length of rounds and the intervals between the rounds. 23. "Purse" means the financial guarantee or any other remuneration for which contestants are participating in a contest. 24. "Physician" means a person licensed to practice medicine in all its branches under the Medical Practice Act of 1987. 25. "Martial arts" means a discipline or combination of different disciplines that utilizes sparring techniques without the intent to injure, disable, or incapacitate one's opponent, such as, but not limited to, Karate, Kung Fu, Judo, and Jujitsu, Muay Thai, Tae Kwon Do, and Kick-boxing. 26. "Full-contact Mixed martial arts" means the use of a singular discipline or a combination of techniques from different

disciplines of the martial arts, including, without limitation, full-force grappling, kicking, and striking with the intent to injure, disable, or incapacitate one's opponent.

27. "Amateur full-contact martial arts event" means a full-contact martial arts match or exhibition which all of the participants are amateurs. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/6) (from Ch. 111, par. 5006) (Section scheduled to be repealed on January 1, 2012) Sec. 6. Restricted contests and events Prohibitions. (a) All professional contests in which physical contact is made are prohibited in Illinois unless authorizedby the Department pursuant to the requirements and standards stated in this Act and the rules adoptedpursuant to this Act. (b) Department authorization is not required for amateur full-contact martial arts events conducted in a manner that provides substantially similar protections for the health, safety, and welfare of the participantsand the public as are required for professional events by this Act and the rules adopted by the Departmentunder this Act. Those protections shall include, at a minimum, onsite medical staff and equipment, trained officials, adequate insurance coverage, weight classes, use of appropriate safety equipment by participants,adequate and safe competition surfaces, and standards regarding striking techniques and fouls. Anyoneconducting an amateur full-contact martial arts event shall notify the Department in writing of the date,time, and location of that event at least 20 days prior to the event. Failure to comply with the requirementsof this Section shall render the event prohibited and unauthorized by the Department, and persons involvedin the event are subject to the procedures and penalties set forth in Section 10.5. This provision does not apply to the following: (1) Boxing contests or wrestling exhibitions conducted by accredited secondary schools, colleges or universities, although a fee may be charged. Institutions organized to furnish instruction in athletics are notincluded in this exemption. (2) Amateur boxing matches sanctioned by the United States Amateur Boxing Federation, Inc., Golden Gloves of America, or other amateur sanctioning body, as determined by rule, and amateurwrestling exhibitions. (3) Amateur martial art matches sanctioned by a sanctioning body approved by the Department, asdetermined by rule.

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25 [May 20, 2009] (4) Martial art instruction conducted by a martial art school and contests occurring within or amongstmartial art schools, provided that (i) the contestants do not receive anything of value for participating otherthan an award, trophy, other item of recognition, or a prize that does not exceed $50 in value and (ii) noentrance fee is charged to participate or watch the school contests. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/7) (from Ch. 111, par. 5007) (Section scheduled to be repealed on January 1, 2012) Sec. 7. In order to conduct a contest in this State, a promoter shall obtain a permit issued by theDepartment in accordance with this Act and the rules and regulations adopted pursuant thereto. This permit shall authorize one or more contests or exhibitions. A permit issued under this Act is not transferable. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/8) (from Ch. 111, par. 5008) (Section scheduled to be repealed on January 1, 2012) Sec. 8. Permits. (a) A promoter who desires to obtain a permit to conduct a contest shall apply to the Department at least20 days prior to the event, in writing, on forms furnished by the Department. The application shall beaccompanied by the required fee and shall contain at least the following information: (1) the names and addresses of the promoter; (2) the name of the matchmaker; (3) the time and exact location of the contest; (4) the seating capacity of the building where the event is to be held; (5) a copy of the lease or proof of ownership of the building where the event is to be held; (6) the admission charge or charges to be made; and (7) proof of adequate security measures and adequate medical supervision, as determined

by Department rule, to ensure the protection of the health and safety of the general public whileattending contests and the contestants' safety while participating in the events and any other information that the Department may determine by rule in order to issue a permit.

(b) After the initial application and within 10 days prior to of a scheduled event, a promoter shall submit to the Department all of the following information: (1) The amount of compensation to be paid to each participant. (2) The names of the contestants. (3) Proof of insurance for not less than $50,000 for each contestant participating in a contest or exhibition. Insurance required under this subsection shall cover (i) hospital, medication, physician, and other suchexpenses as would accrue in the treatment of an injury as a result of the contest or exhibition and (ii) payment to the estate of the contestant in the event of his or her death as a result of his or her participation in the contest or exhibition. (c) All promoters shall provide to the Department, at least 24 hours prior to commencement of the event,the amount of the purse to be paid for the event. The Department shall promulgate rules for payment of the purse. (d) The contest shall be held in an area where adequate neurosurgical facilities are immediately availablefor skilled emergency treatment of an injured contestant. It is the responsibility of the promoter to ensure that the building to be used for the event complies with all laws, ordinances, and regulations in the city,town, or village where the contest is to be held. The Department may issue a permit to any promoter whomeets the requirements of this Act and the rules. The permit shall only be issued for a specific date andlocation of a contest and shall not be transferable. In an emergency, the Department may allow a promoterto amend a permit application to hold a contest in a different location than the application specifies and may allow the promoter to substitute contestants. (e) The Department shall be responsible for assigning the judges, timekeepers, referees, physicians, andmedical personnel for a contest. It shall be the responsibility of the promoter to cover the cost of the individuals utilized at a contest. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/11) (from Ch. 111, par. 5011) (Section scheduled to be repealed on January 1, 2012) Sec. 11. Qualifications for license. The Department shall grant licenses to the following persons if thefollowing qualifications are met:

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[May 20, 2009] 26 (A) An applicant for licensure as a contestant in a contest must: (1) be 18 years old, (2) be of good moralcharacter, (3) file an application stating the applicant's correct name (and no assumed or ring name may beused unless such name is registered with the Department along with the applicant's correct name), date andplace of birth, place of current residence, and a sworn statement that he is not currently in violation of any federal, State or local laws or rules governing boxing, martial arts, or full-contact mixed martial arts, (4) file a certificate of a physician licensed to practice medicine in all of its branches which attests that the applicant is physically fit and qualified to participate in contests, and (5) pay the required fee and meet anyother requirements. Applicants over age 35 who have not competed in a contest within the last 36 monthsmay be required to appear before the Board to determine their fitness to participate in a contest. A pictureidentification card shall be issued to all contestants licensed by the Department who are residents of Illinoisor who are residents of any jurisdiction, state, or country that does not regulate professional boxing, martial arts, or full-contact mixed martial arts. The identification card shall be presented to the Department or itsrepresentative upon request at weigh-ins. (B) An applicant for licensure as a referee, judge, manager, second, matchmaker, or timekeeper must: (1) be of good moral character, (2) file an application stating the applicant's name, date and place of birth, andplace of current residence along with a certifying statement that he is not currently in violation of any federal, State, or local laws or rules governing boxing, martial arts, or full-contact mixed martial arts, (3) have had satisfactory experience in his field, (4) pay the required fee, and (5) meet any other requirementsas determined by rule. (C) An applicant for licensure as a promoter must: (1) be of good moral character, (2) file an applicationwith the Department stating the applicant's name, date and place of birth, place of current residence alongwith a certifying statement that he is not currently in violation of any federal, State, or local laws or rulesgoverning boxing, martial arts, or full-contact mixed martial arts, (3) provide proof of a surety bond of no less than $5,000 to cover financial obligations pursuant to this Act, payable to the Department and conditioned for the payment of the tax imposed by this Act and compliance with this Act and the rulespromulgated pursuant to this Act, (4) provide a financial statement, prepared by a certified publicaccountant, showing liquid working capital of $10,000 or more, or a $10,000 performance bondguaranteeing payment of all obligations relating to the promotional activities, and (5) pay the required feeand meet any other requirements. In determining good moral character, the Department may take into consideration any violation of any of the provisions of Section 16 of this Act and any felony conviction of the applicant, but such a convictionshall not operate as a bar to licensure. No license issued under this Act is transferable. The Department may issue temporary licenses as provided by rule. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/16) (from Ch. 111, par. 5016) (Section scheduled to be repealed on January 1, 2012) Sec. 16. Discipline and sanctions. (a) The Department may refuse to issue a permit or license, refuse to renew, suspend, revoke, reprimand,place on probation, or take such other disciplinary action as the Department may deem proper, includingthe imposition of fines not to exceed $5,000 for each violation, with regard to any license for one or anycombination of the following reasons: (1) gambling, betting, or wagering on the result of or a contingency connected with a contest or permitting such activity to take place; (2) participating in or permitting a sham or fake contest; (3) holding the contest at any other time or place than is stated on the permit application; (4) permitting any contestant other than those stated on the permit application to participate in a contest, except as provided in Section 9; (5) violation or aiding in the violation of any of the provisions of this Act or any rules or regulations promulgated thereto; (6) violation of any federal, State or local laws of the United States or other jurisdiction governing contests or any regulation promulgated pursuant thereto; (7) charging a greater rate or rates of admission than is specified on the permit application; (8) failure to obtain all the necessary permits, registrations, or licenses as required under this Act; (9) failure to file the necessary bond or to pay the gross receipts tax as required by

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27 [May 20, 2009] this Act; (10) engaging in dishonorable, unethical or unprofessional conduct of a character likely to deceive, defraud or harm the public, or which is detrimental to honestly conducted contests; (11) employment of fraud, deception or any unlawful means in applying for or securing a permit or license under this Act; (12) permitting a physician making the physical examination to knowingly certify falsely to the physical condition of a contestant; (13) permitting contestants of widely disparate weights or abilities to engage in contests; (14) participating in a contest as a contestant while under medical suspension in this State or in any other state, territory or country; (15) physical illness, including, but not limited to, deterioration through the aging

process, or loss of motor skills which results in the inability to participate in contests with reasonablejudgment, skill, or safety;

(16) allowing one's license or permit issued under this Act to be used by another person; (17) failing, within a reasonable time, to provide any information requested by the Department as a result of a formal or informal complaint; (18) professional incompetence; (19) failure to file a return, or to pay the tax, penalty or interest shown in a filed

return, or to pay any final assessment of tax, penalty or interest, as required by any tax Act administeredby the Illinois Department of Revenue, until such time as the requirements of any such tax Act aresatisfied;

(20) (blank); (21) habitual or excessive use or addiction to alcohol, narcotics, stimulants, or any other chemical agent or drug that results in an inability to participate in an event; or (22) failure to stop a contest or exhibition when requested to do so by the Department. (b) The determination by a circuit court that a licensee is subject to involuntary admission or judicialadmission as provided in the Mental Health and Developmental Disabilities Code operates as an automaticsuspension. The suspension will end only upon a finding by a court that the licensee is no longer subject toinvoluntary admission or judicial admission, issuance of an order so finding and discharging the licensee, and upon the recommendation of the Board to the Director that the licensee be allowed to resume his or herpractice. (c) In enforcing this Section, the Board, upon a showing of a possible violation, may compel any individual licensed to practice under this Act, or who has applied for licensure pursuant to this Act, tosubmit to a mental or physical examination, or both, as required by and at the expense of the Department.The examining physicians or clinical psychologists shall be those specifically designated by the Board. TheBoard or the Department may order the examining physician or clinical psychologist to present testimonyconcerning this mental or physical examination of the licensee or applicant. No information shall be excluded by reason of any common law or statutory privilege relating to communications between thelicensee or applicant and the examining physician or clinical psychologist. Eye examinations may beprovided by a licensed and certified therapeutic optometrist. The individual to be examined may have, athis or her own expense, another physician of his or her choice present during all aspects of the examination.Failure of any individual to submit to a mental or physical examination, when directed, shall be grounds for suspension of a license until such time as the individual submits to the examination if the Board finds, afternotice and hearing, that the refusal to submit to the examination was without reasonable cause. (d) If the Board finds an individual unable to practice because of the reasons set forth in this Section, theBoard shall require the individual to submit to care, counseling, or treatment by physicians or clinicalpsychologists approved or designated by the Board, as a condition, term, or restriction for continued,reinstated, or renewed licensure, or in lieu of care, counseling, or treatment, the Board may recommend tothe Department to file a complaint to immediately suspend, revoke, or otherwise discipline the license of the individual. Any individual whose license was granted pursuant to this Act, or continued, reinstated,renewed, disciplined, or supervised, subject to such conditions, terms, or restrictions, who shall fail tocomply with such conditions, terms, or restrictions, shall be referred to the Director for a determination asto whether the individual shall have his or her license suspended immediately, pending a hearing by theBoard. (Source: P.A. 95-593, eff. 6-1-08.)

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[May 20, 2009] 28 (225 ILCS 105/25.1) (Section scheduled to be repealed on January 1, 2012) Sec. 25.1. Medical Suspension. A licensee who is determined by the examining physician to be unfit tocompete or officiate shall be immediately suspended until it is shown that he or she is fit for further competition or officiating. If the licensee disagrees with a medical suspension set at the discretion of theringside physician, he or she may request a hearing to show proof of fitness. The hearing shall be providedat the earliest opportunity after the Department receives a written request from the licensee. If the referee has rendered a decision of technical knockout against a contestant or if the contestant isknocked out other than by a blow to the head, the contestant shall be immediately suspended for a period of not less than 30 days. In a full-contact mixed martial arts art contest, if the contestant has tapped out or has submitted, the referee shall stop the contest and the ringside physician shall determine the length ofsuspension. If the contestant has been knocked out by a blow to the head, he or she shall be suspended immediatelyfor a period of not less than 45 days. Prior to reinstatement, any contestant suspended for his or her medical protection shall satisfactorily pass a medical examination upon the direction of the Department. The examining physician may require anynecessary medical procedures during the examination. (Source: P.A. 95-593, eff. 6-1-08.) (225 ILCS 105/1.5 rep.) Section 10. The Professional Boxing Act is amended by repealing Sections 1.5. Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 2 to HOUSE BILL 786 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 797

A bill for AN ACT concerning transportation. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 797 Senate Amendment No. 3 to HOUSE BILL NO. 797 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 797 by replacing everything after the enacting clause withthe following: "Section 5. The Illinois Vehicle Code is amended by adding Section 3-684 and by changing Section 3-809 as follows: (625 ILCS 5/3-684 new) Sec. 3-684. Special registration plate for county officials. (a) The Secretary, upon receipt of all applicable fees and applications made in the form prescribed by theSecretary, may issue special registration plates to county officials. The special plates issued under this Section shall be affixed only to passenger vehicles of the firstdivision or motor vehicles of the second division weighing not more than 8,000 pounds. Plates issued under this Section shall expire according to the multi-year procedure established by Section 3-414.1 of this Code. (b) The design and color of the special plates shall be wholly within the discretion of the Secretary.Appropriate documentation, as determined by the Secretary, shall accompany each application. An applicant for the special plate shall be charged a $15 fee for original issuance in addition to the appropriate registration fee. This additional fee shall be deposited into the Secretary of State SpecialLicense Plate Fund, to be used by the Secretary to help defray the administrative processing costs.

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29 [May 20, 2009] For each registration renewal period, a $2 fee, in addition to the appropriate registration fee, shall becharged. This additional fee shall be deposited into the Secretary of State Special License Plate Fund. (c) For purposes of this Section, "county official" means any county board member or commissioner, county executive, chairman or president of the county board, and county officer, including the auditor,clerk, circuit clerk, coroner or medical examiner, public defender, recorder, sheriff, State's Attorney, andtreasurer of a county of this State. (625 ILCS 5/3-809) (from Ch. 95 1/2, par. 3-809) Sec. 3-809. Farm machinery, exempt vehicles and fertilizer spreaders - registration fee. (a) Vehicles of the second division having a corn sheller, a well driller, hay press, clover huller, feed mixer and unloader, or other farm machinery permanently mounted thereon and used solely for transportingthe same, farm wagon type trailers having a fertilizer spreader attachment permanently mounted thereon,having a gross weight of not to exceed 36,000 pounds and used only for the transportation of bulk fertilizer,and farm wagon type tank trailers of not to exceed 3,000 gallons capacity, used during the liquid fertilizerseason as field-storage "nurse tanks" supplying the fertilizer to a field applicator and moved on highways only for bringing the fertilizer from a local source of supply to farm or field or from one farm or field toanother, or used during the lime season and moved on the highways only for bringing from a local sourceof supply to farm or field or from one farm or field to another, shall be registered upon the filing of a properapplication and the payment of a registration fee of $13 per 2-year registration period. This registration fee of $13 shall be paid in full and shall not be reduced even though such registration is made after thebeginning of the registration period. (b) Vehicles exempt from registration under the provisions of Section 3-402.A of this Act, as amended, except those vehicles required to be registered under paragraph (c) of this Section, may, at the option of theowner, be identified as exempt vehicles by displaying registration plates issued by the Secretary of State.The owner thereof may apply for such permanent, non-transferable registration plates upon the filing of a proper application and the payment of a registration fee of $13. The application for and display of suchregistration plates for identification purposes by vehicles exempt from registration shall not be deemed as awaiver or recision of its exempt status, nor make such vehicle subject to registration. Nothing in this Section prohibits the towing of another vehicle by the exempt vehicle if the towed vehicle: (i) does not exceed the registered weight of 8,000 pounds; (ii) is used exclusively for transportation to and from the work site; (iii) is not used for carrying counter weights or other material related to the operation of the exemptvehicle while under tow; and (iv) displays proper and current registration plates. (c) Any single unit self-propelled agricultural fertilizer implement, designed for both on and off road use,equipped with flotation tires and otherwise specially adapted for the application of plant food materials oragricultural chemicals, desiring to be operated upon the highways ladened with load shall be registeredupon the filing of a proper application and payment of a registration fee of $250. The registration fee shallbe paid in full and shall not be reduced even though such registration is made during the second half of the registration year. These vehicles shall, whether loaded or unloaded, be limited to a maximum gross weightof 36,000 pounds, restricted to a highway speed of not more than 30 miles per hour and a legal width of not more than 12 feet. Such vehicles shall be limited to the furthering of agricultural or horticultural pursuitsand in furtherance of these pursuits, such vehicles may be operated upon the highway, within a 50 mileradius of their point of loading as indicated on the written or printed statement required by the "IllinoisFertilizer Act of 1961", as amended, for the purpose of moving plant food materials or agriculturalchemicals to the field, or from field to field, for the sole purpose of application. No single unit self-propelled agricultural fertilizer implement, designed for both on and off road use,equipped with flotation tires and otherwise specially adapted for the application of plant food materials oragricultural chemicals, having a width of more than 12 feet or a gross weight in excess of 36,000 pounds,shall be permitted to operate upon the highways ladened with load. Whenever any vehicle is operated in violation of Section 3-809 (c) of this Act, the owner or the driver of such vehicle shall be deemed guilty of a petty offense and either may be prosecuted for such violation. (Source: P.A. 92-15, eff. 7-1-01; 93-312, eff. 1-1-04.)". AMENDMENT NO. 3 . Amend House Bill 797, AS AMENDED, with reference to page and linenumbers of Senate Amendment No. 1 on page 1, by replacing line 5 with "Sections 3-684 and 3-713 and by changing Section 3-809 as follows:"; and on page 2, by inserting below line 22 the following:

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[May 20, 2009] 30 "(625 ILCS 5/3-713 new) Sec. 3-713. Relief from fines for certain offenses against registration. (a) Except as provided in subsection (b) of this Section, the owner of a motor vehicle, subject toregistration under this Chapter, who is charged with a violation of Sections 3-401, 3-413(f) and 3-701 of this Code, shall be required to pay any fines for a violation upon conviction. (b) If a person charged with a violation of Sections 3-401, 3-413(f), and 3-701 of this Code for a first time provides proof of a current and valid registration sticker dated within 30 days of the expiration of the registration for which the citation was issued, that person may, upon presenting acceptable proof of currentregistration, request and receive relief from the penalties imposed for a violation. Acceptable proof shall include, but not be limited to, proof of payment of all applicable registration fees, as well as delinquentregistration renewal fees under Section 3-821.2 of this Code. A person charged with a second or subsequentviolation of Sections 3-401, 3-413(f), and 3-701 of this Code or a person who registers a motor vehicleafter 30 days of the day from which the person was required by this Code to register a motor vehicle shallnot be eligible for relief under this Section. (c) The chief judge of any circuit may designate an officer of the court to review the documentationdemonstrating eligibility for relief from fines imposed for a violation of Sections 3-401, 3-413 (f) and 3-701 of this Code as provided in subsection (b) of this Section. The officer of the court, upon confirmation of the violator's compliance with the conditions set forth in this Section, may submit a recommendation fordismissal of the instant citation to the prosecuting authority.". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 3 to HOUSE BILL 797 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 800

A bill for AN ACT concerning criminal law. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 800 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 800 by replacing everything after the enacting clausewith the following: "Section 5. The Rights of Crime Victims and Witnesses Act is amended by changing Sections 3 and 4.5as follows: (725 ILCS 120/3) (from Ch. 38, par. 1403) Sec. 3. The terms used in this Act, unless the context clearly requires otherwise, shall have the following meanings: (a) "Crime victim" and "victim" mean means (1) a person physically injured in this State as a result of a violent crime perpetrated or attempted against that person or (2) a person who suffers injury to or loss ofproperty as a result of a violent crime perpetrated or attempted against that person or (3) a singlerepresentative who may be the spouse, parent, child or sibling of a person killed as a result of a violentcrime perpetrated against the person killed or the spouse, parent, child or sibling of any person granted rights under this Act who is physically or mentally incapable of exercising such rights, except where thespouse, parent, child or sibling is also the defendant or prisoner or (4) any person against whom a violent crime has been committed or (5) any person who has suffered personal injury as a result of a violation ofSection 11-501 of the Illinois Vehicle Code, or of a similar provision of a local ordinance, or of Section 9-3 of the Criminal Code of 1961, as amended or (6) in proceedings under the Juvenile Court Act of 1987, bothparents, legal guardians, foster parents, or a single adult representative of a minor or disabled person who isa crime victim. (b) "Witness" means any person who personally observed the commission of a violent crime and who

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31 [May 20, 2009] will testify on behalf of the State of Illinois in the criminal prosecution of the violent crime. (c) "Violent Crime" means any felony in which force or threat of force was used against the victim, or any offense involving sexual exploitation, sexual conduct or sexual penetration, domestic battery, violationof an order of protection, stalking, or any misdemeanor which results in death or great bodily harm to thevictim or any violation of Section 9-3 of the Criminal Code of 1961, or Section 11-501 of the Illinois Vehicle Code, or a similar provision of a local ordinance, if the violation resulted in personal injury ordeath, and includes any action committed by a juvenile that would be a violent crime if committed by an adult. For the purposes of this paragraph, "personal injury" shall include any Type A injury as indicated onthe traffic accident report completed by a law enforcement officer that requires immediate professionalattention in either a doctor's office or medical facility. A type A injury shall include severely bleedingwounds, distorted extremities, and injuries that require the injured party to be carried from the scene. (d) "Sentencing Hearing" means any hearing where a sentence is imposed by the court on a convicted defendant and includes hearings conducted pursuant to Sections 5-6-4, 5-6-4.1, 5-7-2 and 5-7-7 of the Unified Code of Corrections except those cases in which both parties have agreed to the imposition of aspecific sentence. (e) "Court proceedings" includes the preliminary hearing, any hearing the effect of which may be therelease of the defendant from custody or to alter the conditions of bond, the trial, sentencing hearing, noticeof appeal, any modification of sentence, probation revocation hearings or parole hearings. (f) "Concerned citizen" includes relatives of the victim, friends of the victim, witnesses to the crime, orany other person associated with the victim or prisoner. (Source: P.A. 94-271, eff. 1-1-06; 95-591, eff. 6-1-08; 95-876, eff. 8-21-08.) (725 ILCS 120/4.5) Sec. 4.5. Procedures to implement the rights of crime victims. To afford crime victims their rights, lawenforcement, prosecutors, judges and corrections will provide information, as appropriate of the following procedures: (a) At the request of the crime victim, law enforcement authorities investigating the case shall providenotice of the status of the investigation, except where the State's Attorney determines that disclosure of such information would unreasonably interfere with the investigation, until such time as the allegedassailant is apprehended or the investigation is closed. (b) The office of the State's Attorney: (1) shall provide notice of the filing of information, the return of an indictment by

which a prosecution for any violent crime is commenced, or the filing of a petition to adjudicate a minoras a delinquent for a violent crime;

(2) shall provide notice of the date, time, and place of trial; (3) or victim advocate personnel shall provide information of social services and

financial assistance available for victims of crime, including information of how to apply for theseservices and assistance;

(4) shall assist in having any stolen or other personal property held by law

enforcement authorities for evidentiary or other purposes returned as expeditiously as possible, pursuantto the procedures set out in Section 115-9 of the Code of Criminal Procedure of 1963;

(5) or victim advocate personnel shall provide appropriate employer intercession

services to ensure that employers of victims will cooperate with the criminal justice system in order tominimize an employee's loss of pay and other benefits resulting from court appearances;

(6) shall provide information whenever possible, of a secure waiting area during court

proceedings that does not require victims to be in close proximity to defendant or juveniles accused of a violent crime, and their families and friends;

(7) shall provide notice to the crime victim of the right to have a translator present

at all court proceedings and, in compliance with the federal Americans with Disabilities Act of 1990, the right to communications access through a sign language interpreter or by other means;

(8) in the case of the death of a person, which death occurred in the same transaction

or occurrence in which acts occurred for which a defendant is charged with an offense, shall notify the spouse, parent, child or sibling of the decedent of the date of the trial of the person or persons allegedlyresponsible for the death;

(9) shall inform the victim of the right to have present at all court proceedings,

subject to the rules of evidence, an advocate or other support person of the victim's choice, and the rightto retain an attorney, at the victim's own expense, who, upon written notice filed with the clerk of thecourt and State's Attorney, is to receive copies of all notices, motions and court orders filed thereafter in

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[May 20, 2009] 32

the case, in the same manner as if the victim were a named party in the case; (10) at the sentencing hearing shall make a good faith attempt to explain the minimum

amount of time during which the defendant may actually be physically imprisoned. The Office of theState's Attorney shall further notify the crime victim of the right to request from the Prisoner ReviewBoard information concerning the release of the defendant under subparagraph (d)(1) of this Section;

(11) shall request restitution at sentencing and shall consider restitution in any plea negotiation, as provided by law; and (12) shall, upon the court entering a verdict of not guilty by reason of insanity,

inform the victim of the notification services available from the Department of Human Services,including the statewide telephone number, under subparagraph (d)(2) of this Section.

(c) At the written request of the crime victim, the office of the State's Attorney shall: (1) provide notice a reasonable time in advance of the following court proceedings:

preliminary hearing, any hearing the effect of which may be the release of defendant from custody, or to alter the conditions of bond and the sentencing hearing. The crime victim shall also be notified of thecancellation of the court proceeding in sufficient time, wherever possible, to prevent an unnecessaryappearance in court;

(2) provide notice within a reasonable time after receipt of notice from the custodian,

of the release of the defendant on bail or personal recognizance or the release from detention of a minorwho has been detained for a violent crime;

(3) explain in nontechnical language the details of any plea or verdict of a defendant, or any adjudication of a juvenile as a delinquent for a violent crime; (4) where practical, consult with the crime victim before the Office of the State's

Attorney makes an offer of a plea bargain to the defendant or enters into negotiations with the defendantconcerning a possible plea agreement, and shall consider the written victim impact statement, if preparedprior to entering into a plea agreement;

(5) provide notice of the ultimate disposition of the cases arising from an indictment or an information, or a petition to have a juvenile adjudicated as a delinquent for a violent crime; (6) provide notice of any appeal taken by the defendant and information on how to contact the appropriate agency handling the appeal; (7) provide notice of any request for post-conviction review filed by the defendant

under Article 122 of the Code of Criminal Procedure of 1963, and of the date, time and place of anyhearing concerning the petition. Whenever possible, notice of the hearing shall be given in advance;

(8) forward a copy of any statement presented under Section 6 to the Prisoner Review

Board to be considered by the Board in making its determination under subsection (b) of Section 3-3-8 of the Unified Code of Corrections.

(d) (1) The Prisoner Review Board shall inform a victim or any other concerned citizen, upon written request, of the prisoner's release on parole, mandatory supervised release, electronic detention, workrelease, international transfer or exchange, or by the custodian of the discharge of any individual who wasadjudicated a delinquent for a violent crime from State custody and by the sheriff of the appropriate countyof any such person's final discharge from county custody. The Prisoner Review Board, upon writtenrequest, shall provide to a victim or any other concerned citizen a recent photograph of any person convicted of a felony, upon his or her release from custody. The Prisoner Review Board, upon writtenrequest, shall inform a victim or any other concerned citizen when feasible at least 7 days prior to theprisoner's release on furlough of the times and dates of such furlough. Upon written request by the victim orany other concerned citizen, the State's Attorney shall notify the person once of the times and dates ofrelease of a prisoner sentenced to periodic imprisonment. Notification shall be based on the most recent information as to victim's or other concerned citizen's residence or other location available to the notifyingauthority. For purposes of this paragraph (1) of subsection (d), "concerned citizen" includes relatives of thevictim, friends of the victim, witnesses to the crime, or any other person associated with the victim orprisoner. (2) When the defendant has been committed to the Department of Human Services pursuant

to Section 5-2-4 or any other provision of the Unified Code of Corrections, the victim may request to benotified by the releasing authority of the defendant's furloughs, temporary release, or final dischargefrom State custody. The Department of Human Services shall establish and maintain a statewide telephone number to be used by victims to make notification requests under these provisions, and shall publicize this telephone number on its website and to the State's Attorney of each county.

(3) In the event of an escape from State custody, the Department of Corrections or the

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33 [May 20, 2009]

Department of Juvenile Justice immediately shall notify the Prisoner Review Board of the escape and thePrisoner Review Board shall notify the victim. The notification shall be based upon the most recentinformation as to the victim's residence or other location available to the Board. When no suchinformation is available, the Board shall make all reasonable efforts to obtain the information and makethe notification. When the escapee is apprehended, the Department of Corrections or the Department of Juvenile Justice immediately shall notify the Prisoner Review Board and the Board shall notify thevictim.

(4) The victim of the crime for which the prisoner has been sentenced shall receive

reasonable written notice not less than 30 15 days prior to the parole interview hearing and may submit, in writing, on film, videotape or other electronic means or in the form of a recording or in person at theparole interview hearing or if a victim of a violent crime, by calling the toll-free number established in subsection (f) of this Section, information for consideration by the Prisoner Review Board. The victimshall be notified within 7 days after the prisoner has been granted parole and shall be informed of the right to inspect the registry of parole decisions, established under subsection (g) of Section 3-3-5 of the Unified Code of Corrections. The provisions of this paragraph (4) are subject to the Open ParoleHearings Act.

(5) If a statement is presented under Section 6, the Prisoner Review Board shall inform

the victim of any order of discharge entered by the Board pursuant to Section 3-3-8 of the Unified Code of Corrections.

(6) At the written request of the victim of the crime for which the prisoner was

sentenced or the State's Attorney of the county where the person seeking parole was prosecuted, the Prisoner Review Board shall notify the victim and the State's Attorney of the county where the person seeking parole was prosecuted of the death of the prisoner if the prisoner died while on parole ormandatory supervised release.

(7) When a defendant who has been committed to the Department of Corrections, the

Department of Juvenile Justice, or the Department of Human Services is released or discharged andsubsequently committed to the Department of Human Services as a sexually violent person and thevictim had requested to be notified by the releasing authority of the defendant's discharge from State custody, the releasing authority shall provide to the Department of Human Services such information thatwould allow the Department of Human Services to contact the victim.

(8) When a defendant has been convicted of a sex offense as defined in Section 2 of the

Sex Offender Registration Act and has been sentenced to the Department of Corrections or theDepartment of Juvenile Justice, the Prisoner Review Board shall notify the victim of the sex offense ofthe prisoner's eligibility for release on parole, mandatory supervised release, electronic detention, workrelease, international transfer or exchange, or by the custodian of the discharge of any individual whowas adjudicated a delinquent for a sex offense from State custody and by the sheriff of the appropriate county of any such person's final discharge from county custody. The notification shall be made to thevictim at least 30 days, whenever possible, before release of the sex offender.

(e) The officials named in this Section may satisfy some or all of their obligations to provide notices andother information through participation in a statewide victim and witness notification system established bythe Attorney General under Section 8.5 of this Act. (f) To permit a victim of a violent crime to provide information to the Prisoner Review Board forconsideration by the Board at a parole hearing of a person who committed the crime against the victim inaccordance with clause (d)(4) of this Section or at a proceeding to determine the conditions of mandatory supervised release of a person sentenced to a determinate sentence or at a hearing on revocation ofmandatory supervised release of a person sentenced to a determinate sentence, the Board shall establish atoll-free number that may be accessed by the victim of a violent crime to present that information to theBoard. (Source: P.A. 94-696, eff. 6-1-06; 95-317, eff. 8-21-07; 95-896, eff. 1-1-09; 95-897, eff. 1-1-09; 95-904, eff. 1-1-09; revised 9-25-08.) Section 10. The Unified Code of Corrections is amended by changing Sections 3-3-2, 3-3-4, and 3-3-5 as follows: (730 ILCS 5/3-3-2) (from Ch. 38, par. 1003-3-2) Sec. 3-3-2. Powers and Duties. (a) The Parole and Pardon Board is abolished and the term "Parole and Pardon Board" as used in any law of Illinois, shall read "Prisoner Review Board." After the effective date of this amendatory Act of 1977, thePrisoner Review Board shall provide by rule for the orderly transition of all files, records, and documents

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[May 20, 2009] 34 of the Parole and Pardon Board and for such other steps as may be necessary to effect an orderly transitionand shall: (1) hear by at least one member and through a panel of at least 3 members decide, cases

of prisoners who were sentenced under the law in effect prior to the effective date of this amendatory Actof 1977, and who are eligible for parole;

(2) hear by at least one member and through a panel of at least 3 members decide, the

conditions of parole and the time of discharge from parole, impose sanctions for violations of parole, andrevoke parole for those sentenced under the law in effect prior to this amendatory Act of 1977; providedthat the decision to parole and the conditions of parole for all prisoners who were sentenced for first degree murder or who received a minimum sentence of 20 years or more under the law in effect prior toFebruary 1, 1978 shall be determined by a majority vote of the Prisoner Review Board. One representative supporting parole and one representative opposing parole will be allowed to speak. Theircomments shall be limited to making corrections and filling in omissions to the Board's presentation anddiscussion;

(3) hear by at least one member and through a panel of at least 3 members decide, the

conditions of mandatory supervised release and the time of discharge from mandatory supervisedrelease, impose sanctions for violations of mandatory supervised release, and revoke mandatorysupervised release for those sentenced under the law in effect after the effective date of this amendatoryAct of 1977;

(3.5) hear by at least one member and through a panel of at least 3 members decide, the

conditions of mandatory supervised release and the time of discharge from mandatory supervised release, to impose sanctions for violations of mandatory supervised release and revoke mandatorysupervised release for those serving extended supervised release terms pursuant to paragraph (4) ofsubsection (d) of Section 5-8-1;

(4) hear by at least 1 member and through a panel of at least 3 members, decide cases

brought by the Department of Corrections against a prisoner in the custody of the Department for allegedviolation of Department rules with respect to good conduct credits pursuant to Section 3-6-3 of this Code in which the Department seeks to revoke good conduct credits, if the amount of time at issue exceeds 30days or when, during any 12 month period, the cumulative amount of credit revoked exceeds 30 days except where the infraction is committed or discovered within 60 days of scheduled release. In suchcases, the Department of Corrections may revoke up to 30 days of good conduct credit. The Board maysubsequently approve the revocation of additional good conduct credit, if the Department seeks to revoke good conduct credit in excess of thirty days. However, the Board shall not be empowered to review theDepartment's decision with respect to the loss of 30 days of good conduct credit for any prisoner or to increase any penalty beyond the length requested by the Department;

(5) hear by at least one member and through a panel of at least 3 members decide, the

release dates for certain prisoners sentenced under the law in existence prior to the effective date of this amendatory Act of 1977, in accordance with Section 3-3-2.1 of this Code;

(6) hear by at least one member and through a panel of at least 3 members decide, all requests for pardon, reprieve or commutation, and make confidential recommendations to the Governor; (7) comply with the requirements of the Open Parole Hearings Act; (8) hear by at least one member and, through a panel of at least 3 members, decide

cases brought by the Department of Corrections against a prisoner in the custody of the Department forcourt dismissal of a frivolous lawsuit pursuant to Section 3-6-3(d) of this Code in which the Department seeks to revoke up to 180 days of good conduct credit, and if the prisoner has not accumulated 180 days of good conduct credit at the time of the dismissal, then all good conduct credit accumulated by theprisoner shall be revoked; and

(9) hear by at least 3 members, and, through a panel of at least 3 members, decide

whether to grant certificates of relief from disabilities or certificates of good conduct as provided inArticle 5.5 of Chapter V.

(a-5) The Prisoner Review Board, with the cooperation of and in coordination with the Department ofCorrections and the Department of Central Management Services, shall implement a pilot project in 3correctional institutions providing for the conduct of hearings under paragraphs (1) and (4) of subsection(a) of this Section through interactive video conferences. The project shall be implemented within 6 months after the effective date of this amendatory Act of 1996. Within 6 months after the implementation of thepilot project, the Prisoner Review Board, with the cooperation of and in coordination with the Departmentof Corrections and the Department of Central Management Services, shall report to the Governor and the

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35 [May 20, 2009] General Assembly regarding the use, costs, effectiveness, and future viability of interactive videoconferences for Prisoner Review Board hearings. (b) Upon recommendation of the Department the Board may restore good conduct credit previouslyrevoked. (c) The Board shall cooperate with the Department in promoting an effective system of parole andmandatory supervised release. (d) The Board shall promulgate rules for the conduct of its work, and the Chairman shall file a copy ofsuch rules and any amendments thereto with the Director and with the Secretary of State. (e) The Board shall keep records of all of its official actions and shall make them accessible in accordance with law and the rules of the Board. (f) The Board or one who has allegedly violated the conditions of his parole or mandatory supervisedrelease may require by subpoena the attendance and testimony of witnesses and the production of documentary evidence relating to any matter under investigation or hearing. The Chairman of the Boardmay sign subpoenas which shall be served by any agent or public official authorized by the Chairman ofthe Board, or by any person lawfully authorized to serve a subpoena under the laws of the State of Illinois.The attendance of witnesses, and the production of documentary evidence, may be required from any placein the State to a hearing location in the State before the Chairman of the Board or his designated agent or agents or any duly constituted Committee or Subcommittee of the Board. Witnesses so summoned shall bepaid the same fees and mileage that are paid witnesses in the circuit courts of the State, and witnesseswhose depositions are taken and the persons taking those depositions are each entitled to the same fees asare paid for like services in actions in the circuit courts of the State. Fees and mileage shall be voucheredfor payment when the witness is discharged from further attendance. In case of disobedience to a subpoena, the Board may petition any circuit court of the State for an orderrequiring the attendance and testimony of witnesses or the production of documentary evidence or both. Acopy of such petition shall be served by personal service or by registered or certified mail upon the personwho has failed to obey the subpoena, and such person shall be advised in writing that a hearing upon thepetition will be requested in a court room to be designated in such notice before the judge hearing motions or extraordinary remedies at a specified time, on a specified date, not less than 10 nor more than 15 daysafter the deposit of the copy of the written notice and petition in the U.S. mails addressed to the person athis last known address or after the personal service of the copy of the notice and petition upon such person.The court upon the filing of such a petition, may order the person refusing to obey the subpoena to appearat an investigation or hearing, or to there produce documentary evidence, if so ordered, or to give evidencerelative to the subject matter of that investigation or hearing. Any failure to obey such order of the circuitcourt may be punished by that court as a contempt of court. Each member of the Board and any hearing officer designated by the Board shall have the power toadminister oaths and to take the testimony of persons under oath. (g) Except under subsection (a) of this Section, a majority of the members then appointed to the Prisoner Review Board shall constitute a quorum for the transaction of all business of the Board. (h) The Prisoner Review Board shall annually transmit to the Director a detailed report of its work forthe preceding calendar year. The annual report shall also be transmitted to the Governor for submission to the Legislature. (Source: P.A. 93-207, eff. 1-1-04; 94-165, eff. 7-11-05.) (730 ILCS 5/3-3-4) (from Ch. 38, par. 1003-3-4) Sec. 3-3-4. Preparation for Parole Hearing. (a) The Prisoner Review Board shall consider the parole of each eligible person committed to the AdultDivision at least 30 days prior to the date he shall first become eligible for parole, and shall consider theparole of each person committed to the Department of Juvenile Justice as a delinquent at least 30 days prior to the expiration of the first year of confinement. (b) A person eligible for parole shall, no less than 30 days in advance of his parole interview hearing, prepare a parole plan in accordance with the rules of the Prisoner Review Board. The person shall beassisted in preparing his parole plan by personnel of the Department of Corrections, or the Department ofJuvenile Justice in the case of a person committed to that Department, and may, for this purpose, be released on furlough under Article 11 or on authorized absence under Section 3-9-4. The appropriate Department shall also provide assistance in obtaining information and records helpful to the individual forhis parole hearing. If the person eligible for parole has a petition, parole plan, or any written submissionsprepared on his or her behalf by an attorney or other representative, the person eligible for parole mustserve by certified mail the State's Attorney of the county where he or she was prosecuted with the petition,

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[May 20, 2009] 36 parole plan, or any written submissions 15 days after his or her parole interview. (c) Any member The members of the Board shall have access at all reasonable times to any committedperson and to his master record file within the Department, and the Department shall furnish such a reportreports to the Board as the Board may require concerning the conduct and character of any such person prior to his or her parole interview. (d) In making its determination of parole, the Board shall consider: (1) material transmitted to the Department of Juvenile Justice by the clerk of the

committing court under Section 5-4-1 or Section 5-10 of the Juvenile Court Act or Section 5-750 of the Juvenile Court Act of 1987;

(2) the report under Section 3-8-2 or 3-10-2; (3) a report by the Department and any report by the chief administrative officer of the institution or facility; (4) a parole progress report; (5) a medical and psychological report, if requested by the Board; (6) material in writing, or on film, video tape or other electronic means in the form of a recording submitted by the person whose parole is being considered; and (7) material in writing, or on film, video tape or other electronic means in the form

of a recording or testimony submitted by the State's Attorney and the victim or a concerned citizenpursuant to the Rights of Crime Victims and Witnesses Act.

(e) The prosecuting State's Attorney's office shall receive from the Board reasonable written notice not less than 30 15 days prior to the parole interview hearing and may submit relevant information by oral argument or testimony of victims and concerned citizens, or both, in writing, or on film, video tape or other electronic means or in the form of a recording to the Board for its consideration. Upon written request of the State's Attorney's office, the Prisoner Review Board shall hear protests to parole. This hearing shall take place the month following the inmate's parole interview. If the inmate's parole interview is rescheduled thenthe Prisoner Review Board shall promptly notify the State's Attorney of the new date. The person eligiblefor parole shall be heard at the next scheduled en banc hearing date. If the case is to be continued, theState's Attorney's office will be notified of any continuance within 5 business days. The State's Attorney may waive the written notice. (f) The victim of the violent crime for which the prisoner has been sentenced shall receive notice of aparole hearing as provided in paragraph (4) of subsection (d) of Section 4.5 of the Rights of Crime Victimsand Witnesses Act. (g) Any recording considered under the provisions of subsection (d)(6), (d)(7) or (e) of this Section shall be in the form designated by the Board. Such recording shall be both visual and aural. Every voice on therecording and person present shall be identified and the recording shall contain either a visual or aural statement of the person submitting such recording, the date of the recording and the name of the personwhose parole eligibility is being considered. Such recordings shall be , if retained by the Board and shall be deemed to be submitted at any subsequent parole hearing if the victim or State's Attorney submits inwriting a declaration clearly identifying such recording as representing the present position of the victim orState's Attorney regarding the issues to be considered at the parole hearing. (Source: P.A. 94-696, eff. 6-1-06.) (730 ILCS 5/3-3-5) (from Ch. 38, par. 1003-3-5) Sec. 3-3-5. Hearing and Determination. (a) The Prisoner Review Board shall meet as often as need requires to consider the cases of personseligible for parole. Except as otherwise provided in paragraph (2) of subsection (a) of Section 3-3-2 of this Act, the Prisoner Review Board may meet and order its actions in panels of 3 or more members. The actionof a majority of the panel shall be the action of the Board. In consideration of persons committed to the Department of Juvenile Justice, the panel shall have at least a majority of members experienced in juvenilematters. (b) If the person under consideration for parole is in the custody of the Department, at least one member of the Board shall interview him, and a report of that interview shall be available for the Board'sconsideration. However, in the discretion of the Board, the interview need not be conducted if a psychiatricexamination determines that the person could not meaningfully contribute to the Board's consideration. TheBoard may in its discretion parole a person who is then outside the jurisdiction on his record without aninterview. The Board need not hold a hearing or interview a person who is paroled under paragraphs (d) or (e) of this Section or released on Mandatory release under Section 3-3-10. (c) The Board shall not parole a person eligible for parole if it determines that:

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37 [May 20, 2009] (1) there is a substantial risk that he will not conform to reasonable conditions of parole; or (2) his release at that time would deprecate the seriousness of his offense or promote disrespect for the law; or (3) his release would have a substantially adverse effect on institutional discipline. (d) A person committed under the Juvenile Court Act or the Juvenile Court Act of 1987 who has notbeen sooner released shall be paroled on or before his 20th birthday to begin serving a period of paroleunder Section 3-3-8. (e) A person who has served the maximum term of imprisonment imposed at the time of sentencing lesstime credit for good behavior shall be released on parole to serve a period of parole under Section 5-8-1. (f) The Board shall render its decision within a reasonable time after hearing and shall state the basistherefor both in the records of the Board and in written notice to the person on whose application it hasacted. In its decision, the Board shall set the person's time for parole, or if it denies parole it shall provide for a rehearing not less frequently than once every year, except that the Board may, after denying parole,schedule a rehearing no later than 3 years from the date of the parole denial, if the Board finds that it is notreasonable to expect that parole would be granted at a hearing prior to the scheduled rehearing date. If theBoard shall parole a person, and, if he is not released within 90 days from the effective date of the ordergranting parole, the matter shall be returned to the Board for review. (g) The Board shall maintain a registry of decisions in which parole has been granted, which shallinclude the name and case number of the prisoner, the highest charge for which the prisoner was sentenced,the length of sentence imposed, the date of the sentence, the date of the parole, and the basis for the decision of the Board to grant parole and the vote of the Board on any such decisions. The registry shall bemade available for public inspection and copying during business hours and shall be a public record pursuant to the provisions of the Freedom of Information Act. (h) The Board shall promulgate rules regarding the exercise of its discretion under this Section. (Source: P.A. 94-696, eff. 6-1-06.) Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 800 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 809

A bill for AN ACT concerning education. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 809 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 809 by replacing everything after the enacting clausewith the following: "Section 3. The Local Government Property Transfer Act is amended by changing Section 1 as follows: (50 ILCS 605/1) (from Ch. 30, par. 156) Sec. 1. When used in this Act: (a) The term "transferor municipality" shall mean a municipal corporation transferring real estate or anyinterest therein, under the provisions of this Act. (b) The term "transferee municipality" shall mean a municipal corporation or 2 or more school districts operating a cooperative or joint educational program pursuant to Section 10-22.31 of the School Codereceiving a transfer of real estate or any interest therein under provisions of this Act. (c) The term "municipality" whether used by itself or in conjunction with other words, as in (a) or (b)above, shall mean and include any municipal corporation or political subdivision organized and existing

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[May 20, 2009] 38 under the laws of the State of Illinois and including, but without limitation, any city, village, or incorporated town, whether organized under a special charter or under the General Act, or whetheroperating under the commission or managerial form of government, county, school districts, trustees of schools, boards of education, 2 or more school districts operating a cooperative or joint educationalprogram pursuant to Section 10-22.31 of the School Code, sanitary district or sanitary district trustees, forest preserve district or forest preserve district commissioner, park district or park commissioners, airportauthority and township. (d) The term "restriction" shall mean any condition, limitation, qualification, reversion, possibility ofreversion, covenant, agreement or restraint of whatever kind or nature, the effect of which is to restrict the use or ownership of real estate by a municipality as defined in (c) above. (e) The term "corporate authorities" shall mean the members of the legislative body of any municipalityas defined in (c) above. (f) The term "held" or any form thereof, when used in reference to the interest of a municipality in realestate shall be taken and construed to refer to and include all of the right, title and interest of suchmunicipality of whatever kind or nature, in and to such real estate. (g) Each of the terms above defined and the terms contained in the definition of each of said terms shallbe taken and construed to include the plural form thereof. (h) The term "Local Improvement Act" shall mean an Act of the General Assembly of the State of Illinois entitled "An Act concerning local improvements," approved June 14, 1897, and the amendmentsthereto. (i) The term "State of Illinois" shall mean the State of Illinois or any department, commission, board or other agency of the State. (Source: P.A. 82-783.) Section 5. The School Code is amended by changing Section 10-22.31 as follows: (105 ILCS 5/10-22.31) (from Ch. 122, par. 10-22.31) Sec. 10-22.31. Special education. (a) To enter into joint agreements with other school boards to provide the needed special educationalfacilities and to employ a director and other professional workers as defined in Section 14-1.10 and to establish facilities as defined in Section 14-1.08 for the types of children described in Sections 14-1.02 and 14-1.03a through 14-1.07. The director (who may be employed under a multi-year contract as provided in subsection (c) of this Section) and other professional workers may be employed by one district, which shall be reimbursed on a mutually agreed basis by other districts that are parties to the joint agreement. Suchagreements may provide that one district may supply professional workers for a joint program conducted inanother district. Such agreement shall provide that any full-time professional worker school psychologistwho is employed by a joint agreement program and spends over 50% of his or her time in one schooldistrict shall not be required to work a different teaching schedule than the other professional worker school psychologists in that district. Such agreement shall include, but not be limited to, provisions foradministration, staff, programs, financing, housing, transportation, an advisory body, and the method or methods to be employed for disposing of property upon the withdrawal of a school district or dissolution ofthe joint agreement and shall specify procedures for the withdrawal of districts from the joint agreement as long as these procedures are consistent with subsection (g) of this Section. Except as otherwise provided in Section 10-22.31.1, the withdrawal of districts from the joint agreement shall be by petition to the regionalboard of school trustees. Such agreement may be amended at any time , provided that no later than 6 months after the effective date of this amendatory Act of the 96th General Assembly, all existingagreements shall be amended to be consistent with this amendatory Act of the 96th General Assembly. as provided in the joint agreement or, if the joint agreement does not so provide, then such agreement may be amended at any time upon the adoption of concurring resolutions by the school boards of all memberdistricts. A fully executed copy of any such agreement or amendment entered into on or after January 1,1989 shall be filed with the State Board of Education. Such petitions for withdrawal shall be made to theregional board of school trustees of all counties having jurisdiction over one or more of the districts in thejoint agreement. Upon receipt of a petition for withdrawal, the regional boards of school trustees havingjurisdiction over the cooperating districts shall publish notice of and conduct a joint hearing on the issue asprovided in Section 7-6. No such petition may be considered, however, unless in compliance with Section 7-8. If approved by a 2/3 vote of all trustees of those regional boards, at a joint meeting, the withdrawaltakes effect as provided in Section 7-9 of this Act. (b) To either (1) designate an administrative district to act as fiscal and legal agent for the districts that are parties to the joint agreement, or (2) designate a governing board composed of one member of the

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39 [May 20, 2009] school board of each cooperating district and designated by such boards to act in accordance with the joint agreement. No such governing board may levy taxes and no such governing board may incur anyindebtedness except within an annual budget for the joint agreement approved by the governing board andby the boards of at least a majority of the cooperating school districts or a number of districts greater than a majority if required by the joint agreement. The governing board may appoint an executive board of at least7 members to administer the joint agreement in accordance with its terms. However, if 7 or more school districts are parties to a joint agreement that does not have an administrative district: (i) at least a majorityof the members appointed by the governing board to the executive board shall be members of the schoolboards of the cooperating districts; or (ii) if the governing board wishes to appoint members who are notschool board members, they shall be superintendents from the cooperating districts. (c) To employ a full-time director of special education of the a joint agreement program under a one-year or multi-year contract. No such contract can be offered or accepted for less than one year. or more than 3 years, except for a person serving as a director of a special education joint agreement for the first time inIllinois. In such a case, the initial contract shall be for a 2 year period. Such contract may be discontinued at any time by mutual agreement of the contracting parties, or may be extended for an additional one-year or multi-year period 3 years at the end of any year. The contract year is July 1 through the following June 30th, unless the contract specifically providesotherwise. Notice of intent not to renew a contract when given by a controlling board or administrativedistrict must be in writing stating the specific reason therefor. Notice of intent not to renew the contract must be given by the controlling board or the administrative district at least 90 days before the contractexpires. Failure to do so will automatically extend the contract for one additional year. By accepting the terms of the multi-year contract, the director of a special education joint agreementwaives all rights granted under Sections 24-11 through 24-16 for the duration of his or her employment as a director of a special education joint agreement. (d) To designate a district that is a party to the joint agreement as the issuer of bonds or notes for thepurposes and in the manner provided in this Section. It is not necessary for such district to also be theadministrative district for the joint agreement, nor is it necessary for the same district to be designated asthe issuer of all series of bonds or notes issued hereunder. Any district so designated may, from time totime, borrow money and, in evidence of its obligation to repay the borrowing, issue its negotiable bonds or notes for the purpose of acquiring, constructing, altering, repairing, enlarging and equipping any buildingor portion thereof, together with any land or interest therein, necessary to provide special educationalfacilities and services as defined in Section 14-1.08. Title in and to any such facilities shall be held in accordance with the joint agreement. Any such bonds or notes shall be authorized by a resolution of the board of education of the issuingdistrict. The resolution may contain such covenants as may be deemed necessary or advisable by the districtto assure the payment of the bonds or notes. The resolution shall be effective immediately upon itsadoption. Prior to the issuance of such bonds or notes, each school district that is a party to the joint agreement shall agree, whether by amendment to the joint agreement or by resolution of the board of education, to bejointly and severally liable for the payment of the bonds and notes. The bonds or notes shall be payable solely and only from the payments made pursuant to such agreement. Neither the bonds or notes nor the obligation to pay the bonds or notes under any joint agreement shallconstitute an indebtedness of any district, including the issuing district, within the meaning of any constitutional or statutory limitation. As long as any bonds or notes are outstanding and unpaid, the agreement by a district to pay the bondsand notes shall be irrevocable notwithstanding the district's withdrawal from membership in the joint special education program. (e) If a district whose employees are on strike was, prior to the strike, sending students with disabilitiesto special educational facilities and services in another district or cooperative, the district affected by the strike shall continue to send such students during the strike and shall be eligible to receive appropriate Statereimbursement. (f) With respect to those joint agreements that have a governing board composed of one member of the school board of each cooperating district and designated by those boards to act in accordance with the jointagreement, the governing board shall have, in addition to its other powers under this Section, the authorityto issue bonds or notes for the purposes and in the manner provided in this subsection. The governing boardof the joint agreement may from time to time borrow money and, in evidence of its obligation to repay theborrowing, issue its negotiable bonds or notes for the purpose of acquiring, constructing, altering, repairing,

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[May 20, 2009] 40 enlarging and equipping any building or portion thereof, together with any land or interest therein,necessary to provide special educational facilities and services as defined in Section 14-1.08 and including also facilities for activities of administration and educational support personnel employees. Title in and toany such facilities shall be held in accordance with the joint agreement. Any such bonds or notes shall be authorized by a resolution of the governing board. The resolution may contain such covenants as may be deemed necessary or advisable by the governing board to assure thepayment of the bonds or notes and interest accruing thereon. The resolution shall be effective immediatelyupon its adoption. Each school district that is a party to the joint agreement shall be automatically liable, by virtue of itsmembership in the joint agreement, for its proportionate share of the principal amount of the bonds andnotes plus interest accruing thereon, as provided in the resolution. Subject to the joint and several liabilityhereinafter provided for, the resolution may provide for different payment schedules for different districtsexcept that the aggregate amount of scheduled payments for each district shall be equal to its proportionate share of the debt service in the bonds or notes based upon the fraction that its equalized assessed valuationbears to the total equalized assessed valuation of all the district members of the joint agreement as adjustedin the manner hereinafter provided. In computing that fraction the most recent available equalized assessedvaluation at the time of the issuance of the bonds and notes shall be used, and the equalized assessedvaluation of any district maintaining grades K to 12 shall be doubled in both the numerator and denominator of the fraction used for all of the districts that are members of the joint agreement. In case ofdefault in payment by any member, each school district that is a party to the joint agreement shall automatically be jointly and severally liable for the amount of any deficiency. The bonds or notes andinterest thereon shall be payable solely and only from the funds made available pursuant to the proceduresset forth in this subsection. No project authorized under this subsection may require an annual contributionfor bond payments from any member district in excess of 0.15% of the value of taxable property asequalized or assessed by the Department of Revenue in the case of districts maintaining grades K-8 or 9-12 and 0.30% of the value of taxable property as equalized or assessed by the Department of Revenue in thecase of districts maintaining grades K-12. This limitation on taxing authority is expressly applicable totaxing authority provided under Section 17-9 and other applicable Sections of this Act. Nothing containedin this subsection shall be construed as an exception to the property tax limitations contained in Section17-2, 17-2.2a, 17-5, or any other applicable Section of this Act. Neither the bonds or notes nor the obligation to pay the bonds or notes under any joint agreement shallconstitute an indebtedness of any district within the meaning of any constitutional or statutory limitation. As long as any bonds or notes are outstanding and unpaid, the obligation of a district to pay itsproportionate share of the principal of and interest on the bonds and notes as required in this Section shallbe a general obligation of the district payable from any and all sources of revenue designated for that purpose by the board of education of the district and shall be irrevocable notwithstanding the district'swithdrawal from membership in the joint special education program. (g) A member district wishing to withdraw from a joint agreement must obtain from its school board a written resolution approving the withdrawal. The withdrawing district must then present a written petitionfor withdrawal from the joint agreement to the other member districts within such timelines designated bythe joint agreement. Upon approval by school board written resolution of all of the remaining memberdistricts, the petitioning member district shall be withdrawn from the joint agreement effective thefollowing July 1 and shall notify the State Board of Education of the approved withdrawal in writing. If the petitioning district has not received the approval of all of the remaining member districts, then thewithdrawing district may present a petition for withdrawal to the State Board of Education and shall be given the opportunity to present documents and testimony to the State Board of Education in support of itspetition. A dissolution of a joint agreement comprised of 3 or more school boards may be accomplished by filinga joint petition with the State Board of Education by not less than two-thirds of the member school districts after adoption of a written resolution to that effect by the school board of each of the districts seeking thedissolution. The State Board of Education shall conduct a hearing on the petition. A withdrawal or dissolution shall take effect on July 1 following the final decision of the State Board ofEducation or a court of competent jurisdiction upon review. The State Board of Education shall take such action in approving or disapproving a district withdrawal or joint agreement dissolution as the State Board deems in the best interests of the petitioning school districtand of the State as a whole in the provision of special education services for students with disabilities; provided that the State Board of Education may approve the petition for withdrawal only if it has already

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41 [May 20, 2009] approved or concurrently does approve the district's comprehensive plan required by Section 14-4.01 of this Code. The State Board of Education may adopt rules governing the processes for withdrawal and dissolution required by this Section. A hearing pursuant to this Section does not constitute a contested case, as that term is defined in theIllinois Administrative Procedures Act, and, consequently, State Board of Education rules for contested cases do not apply. The decision of the State Board of Education shall be deemed to be an administrativedecision, as defined in Section 3-101 of the Code of Civil Procedure, and any party appearing at the hearing who is adversely affected by the administrative decision may file a complaint for judicial review inaccordance with the Administrative Review Law. The commencement of an action for judicial review shalloperate as a stay of enforcement, and no further proceedings shall be had until final disposition of the review by a court of competent jurisdiction. With respect to any right is has pursuant to this Section, theState Board of Education may delegate such right to the State Superintendent of Education. (h) The changes to this Section made by this amendatory Act of the 96th General Assembly apply towithdrawals from or dissolutions of special education joint agreements initiated after the effective date ofthis amendatory Act of the 96th General Assembly. (Source: P.A. 89-397, eff. 8-20-95; 89-613, eff. 8-9-96; 89-626, eff. 8-9-96; 90-103, eff. 7-11-97; 90-515, eff. 8-22-97; 90-637, eff. 7-24-98; 90-655, eff. 7-30-98.) (105 ILCS 5/10-22.31.1 rep.) Section 10. The School Code is amended by repealing Section 10-22.31.1. Section 99. Effective date. This Act takes effect July 1, 2009.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 809 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 849

A bill for AN ACT concerning local government. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 849 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 849 by replacing everything after the enacting clausewith the following: "Section 5. The Illinois Municipal Code is amended by changing Sections 10-1-16 and 10-2.1-8 as follows: (65 ILCS 5/10-1-16) (from Ch. 24, par. 10-1-16) Sec. 10-1-16. Veteran's preference. Persons who were engaged in the active military or naval service ofthe United States for a period of at least one year and who were honorably discharged therefrom and all persons who were engaged in such military or naval service who are now or may hereafter be on inactive orreserve duty in such military or naval service, not including, however, persons who were convicted bycourt-martial of disobedience of orders, where such disobedience consisted in the refusal to performmilitary service on the ground of alleged religious or conscientious objections against war, shall bepreferred for appointments to civil offices, positions, and places of employment in the classified service of any municipality coming under the provisions of this Division 1, provided they are found to possess thebusiness capacity necessary for the proper discharge of the duties of such office, position, or place ofemployment as determined by examination. For purposes of this Section, if a person has been deployed,then "active duty military or naval service of the United States" includes training and service schoolattendance, as defined in 10 U.S.C. 101(d), which is ordered pursuant to 10 U.S.C. 12301(d). The civil service commission shall give preference points for original appointment to qualified veteranswhose names appear on any register of eligibles resulting from an examination for original entrance in the

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[May 20, 2009] 42 classified service of any municipality coming under the provisions of this Division 1 by adding to the finalgrade average that they receive or will receive as the result of any examination held for original entrance, 5points. The numerical result thus attained shall be applied by the civil service commission in determiningthe position of those persons on any eligibility list that has been created as the result of any examination fororiginal entrance for purposes of preference in certification and appointment from that eligibility list. Persons who were engaged in the active military or naval service of the United States for a period of atleast one year and who were honorably discharged therefrom or who are now or who may hereafter be oninactive or reserve duty in such military or naval service, not including, however, persons who wereconvicted by court martial of disobedience of orders where such disobedience consisted in the refusal toperform military service on the ground of alleged religious or conscientious objections against war, and whose names appear on existing promotional eligible registers or any promotional eligible register that mayhereafter be created, as provided for by this Division 1, shall be preferred for promotional appointment tocivil offices, positions and places of employment in the classified civil service of any municipality comingunder the provisions of this Division 1. The civil service commission shall give preference for promotional appointment to persons ashereinabove designated whose names appear on existing promotional eligible registers or promotionaleligible registers that may hereafter be created by adding to the final grade average which they received orwill receive as the result of any promotional examination seven-tenths of one point for each 6 months or fraction thereof of active military or naval service not exceeding 30 months. The numerical result thusattained shall be applied by the civil service commission in determining the position of such persons on any eligible list which has been created or will be created as the result of any promotional examination heldhereunder for purposes of preference in certification and appointment from such eligible list. No person shall receive the preference for a promotional appointment granted by this Section after he or she has received one promotion from an eligible list on which he or she was allowed such preference. No person entitled to preference or credit for military or naval service hereunder shall be required to furnish evidence or record of honorable discharge from the armed forces before the publication or postingof any eligible register or list resulting from the examination. Such preference shall be given after theposting or publication of any eligible list or register resulting from such examination and before anycertifications or appointments are made from such list or register. (Source: P.A. 94-483, eff. 8-8-05.) (65 ILCS 5/10-2.1-8) (from Ch. 24, par. 10-2.1-8) Sec. 10-2.1-8. Veteran's and educational preference. Persons who have successfully obtained anassociate's degree in the field of law enforcement, criminal justice, fire service, or emergency medicalservices, or a bachelor's degree from an accredited college or university; persons who have been awarded a certificate attesting to the successful completion of the Minimum Standards Basic Law EnforcementTraining Course as provided in the Illinois Police Training Act and are currently serving as a lawenforcement officer on a part-time or full-time basis within the State of Illinois; and persons who wereengaged in the active military or naval service of the United States for a period of at least one year and whowere honorably discharged therefrom, or who are now or may hereafter be on inactive or reserve duty in such military or naval service (not including, however, in the case of offices, positions and places ofemployment in the police department, persons who were convicted by court-martial of disobedience of orders, where such disobedience consisted in the refusal to perform military service on the ground ofreligious or conscientious objections against war) shall be preferred for appointments to offices, positions,and places of employment in the fire and police departments of the municipality coming under the provisions of this Division 2.1. For purposes of this Section, if a person has been deployed, then "activeduty military or naval service of the United States" includes training and service school attendance, asdefined in 10 U.S.C. 101(d), which is ordered pursuant to 10 U.S.C. 12301(d). The preference points awarded under this Section shall not be cumulative. This amendatory Act of 1973 does not apply to any municipality which is a home rule unit. (Source: P.A. 90-445, eff. 8-16-97.)". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 849 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary:

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43 [May 20, 2009]

Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has concurred with the House of Representatives in the passage of a bill of the following title to-wit:

HOUSE BILL 853 A bill for AN ACT concerning transportation. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 853 Senate Amendment No. 2 to HOUSE BILL NO. 853 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 853 on page 1, by replacing lines 4 through 6 with thefollowing: "Section 5. The Illinois Vehicle Code is amended by changing Sections 3-414, 3-415, and 3-806 and by adding Sections 3-684 and 3-806.7 as follows: (625 ILCS 5/3-414) (from Ch. 95 1/2, par. 3-414) Sec. 3-414. Expiration of registration. (a) Every vehicle registration under this Chapter and every registration card and registration plate orregistration sticker issued hereunder to a vehicle shall be for the periods specified in this Chapter and shallexpire at midnight on the day and date specified in this Section as follows: 1. When registered on a calendar year basis commencing January 1, expiration shall be

on the 31st day of December or at such other date as may be selected in the discretion of the Secretary ofState; however, through December 31, 2004, registrations of apportionable vehicles, motorcycles, motordriven cycles and pedalcycles shall commence on the first day of April and shall expire March 31st ofthe following calendar year;

1.1. Beginning January 1, 2005, registrations of motorcycles and motor driven cycles

shall commence on January 1 and shall expire on December 31 or on another date that may be selected by the Secretary; registrations of apportionable vehicles and pedalcycles, however, shall commence onthe first day of April and shall expire March 31 of the following calendar year;

2. When registered on a 2 calendar year basis commencing January 1 of an even-numbered

year, expiration shall be on the 31st day of December of the ensuing odd-numbered year, or at such other later date as may be selected in the discretion of the Secretary of State not beyond March 1 next;

3. When registered on a fiscal year basis commencing July 1, expiration shall be on the

30th day of June or at such other later date as may be selected in the discretion of the Secretary of Statenot beyond September 1 next;

4. When registered on a 2 fiscal year basis commencing July 1 of an even-numbered year,

expiration shall be on the 30th day of June of the ensuing even-numbered year, or at such other later date as may be selected in the discretion of the Secretary of State not beyond September 1 next;

5. When registered on a 4 fiscal year basis commencing July 1 of an even-numbered year,

expiration shall be on the 30th day of June of the second ensuing even-numbered year, or at such other later date as may be selected in the discretion of the Secretary of State not beyond September 1 next;

(b) Vehicle registrations of vehicles of the first division shall be for a calendar year, or 2 calendar year , or 3 calendar year basis as provided for in this Chapter. Vehicle registrations of vehicles under Sections 3-807, 3-808 and 3-809 shall be on an indefinite term basis or a 2 calendar year basis as provided for in this Chapter. Vehicle registrations for vehicles of the second division shall be for a fiscal year, 2 fiscal year or calendar year basis as provided for in this Chapter. Motor vehicles registered under the provisions of Sections 3-402.1 and 3-405.3 shall be issued multi-year registration plates with a new registration card issued annually or pursuant to subsection (g) of this Section upon payment of the appropriate fees. Apportionable trailers and apportionable semitrailersregistered under the provisions of Section 3-402.1 shall be issued multi-year registration plates and cards that will be subject to revocation for failure to pay annual fees required by Section 3-814.1. The Secretary shall determine when these vehicles shall be issued new registration plates. (c) Every vehicle registration specified in Section 3-810 and every registration card and registration plate or registration sticker issued thereunder shall expire on the 31st day of December of each year or at suchother date as may be selected in the discretion of the Secretary of State.

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[May 20, 2009] 44 (d) Every vehicle registration for a vehicle of the second division weighing over 8,000 pounds, except asprovided in paragraph (g) of this Section, and every registration card and registration plate or registrationsticker, where applicable, issued hereunder to such vehicles shall be issued for a fiscal year commencing onJuly 1st of each registration year. However, the Secretary of State may, pursuant to an agreement orarrangement or declaration providing for apportionment of a fleet of vehicles with other jurisdictions, provide for registration of such vehicles under apportionment or for all of the vehicles registered in Illinoisby an applicant who registers some of his vehicles under apportionment on a calendar year basis instead,and the fees or taxes to be paid on a calendar year basis shall be identical to those specified in this Act for afiscal year registration. Provision for installment payment may also be made. (e) Semitrailer registrations under apportionment may be on a calendar year under a reciprocal agreement or arrangement and all other semitrailer registrations shall be on fiscal year or 2 fiscal year or 4fiscal year basis as provided for in this Chapter. (f) The Secretary of State may convert annual registration plates or 2-year registration plates, whether registered on a calendar year or fiscal year basis, to multi-year plates. The determination of which plate categories and when to convert to multi-year plates is solely within the discretion of the Secretary of State. (g) After January 1, 1975, each registration, registration card and registration plate or registration sticker,where applicable, issued for a recreational vehicle or recreational or camping trailer, except a house trailer,used exclusively by the owner for recreational purposes, and not used commercially nor as a truck or bus,nor for hire, shall be on a calendar year basis; except that the Secretary of State shall provide forregistration and the issuance of registration cards and plates or registration stickers, where applicable, for one 6-month period in order to accomplish an orderly transition from a fiscal year to a calendar year basis.Fees and taxes due under this Act for a registration year shall be appropriately reduced for such 6-month transitional registration period. (h) The Secretary of State may, in order to accomplish an orderly transition for vehicles registered underSection 3-402.1 of this Code from a calendar year registration to a March 31st expiration, requireapplicants to pay fees and taxes due under this Code on a 15 month registration basis. However, if in thediscretion of the Secretary of State this creates an undue hardship on any applicant the Secretary may allowthe applicant to pay 3 month fees and taxes at the time of registration and the additional 12 month fees and taxes to be payable no later than March 31 of the year after this amendatory Act of 1991 takes effect. (i) The Secretary of State may stagger registrations, or change the annual expiration date, as necessaryfor the convenience of the public and the efficiency of his Office. In order to appropriately and effectivelyaccomplish any such staggering, the Secretary of State is authorized to prorate all required registration fees,rounded to the nearest dollar, but in no event for a period longer than 18 months, at a monthly rate for a 12month registration fee. (g) The Secretary of State may enter into an agreement with a rental owner, as defined in Section 3-400 of this Code, who registers a fleet of motor vehicles of the first division pursuant to Section 3-405.3 of this Code to provide for the registration of the rental owner's vehicles on a 2 or 3 calendar year basis and theissuance of multi-year registration plates with a new registration card issued up to every 3 years. (Source: P.A. 95-287, eff. 1-1-08.) (625 ILCS 5/3-415) (from Ch. 95 1/2, par. 3-415) Sec. 3-415. Application for and renewal of registration. (a) Calendar year. Application for renewal of avehicle registration shall be made by the owner, as to those vehicles required to be registered on a calendarregistration year, not later than December 1 of each year, upon proper application and by payment of theregistration fee and tax for such vehicle, as provided by law except that application for renewal of a vehicle registration, as to those vehicles required to be registered on a staggered calendar year basis, shall be madeby the owner in the form and manner prescribed by the Secretary of State. (b) Fiscal year. Application for renewal of a vehicle registration shall be made by the owner, as to thosevehicles required to be registered on a fiscal registration year, not later than June 1 of each year, uponproper application and by payment of the registration fee and tax for such vehicle as provided by law, except that application for renewal of a vehicle registration, as to those vehicles required to be registered ona staggered fiscal year basis, shall be made by the owner in the form and manner prescribed by theSecretary of State. (c) Two calendar years. Application for renewal of a vehicle registration shall be made by the owner, asto those vehicles required to be registered for 2 calendar years, not later than December 1 of the yearpreceding commencement of the 2-year registration period, except that application for renewal of a vehicleregistration, as to those vehicles required to be registered for 2 years on a staggered registration basis, shallbe made by the owner in the form and manner prescribed by the Secretary of State.

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45 [May 20, 2009] (d) Two fiscal years. Application for renewal of a vehicle registration shall be made by the owner, as tothose vehicles required to be registered for 2 fiscal years, not later than June 1 immediately precedingcommencement of the 2-year registration period, except that application for renewal of a vehicleregistration, as to those vehicles required to be registered for 2 fiscal years on a staggered registration basis,shall be made by the owner in the form and manner prescribed by the Secretary of State. (d-5) Three calendar years. Application for renewal of a vehicle registration shall be made by the owner,as to those vehicles required to be registered for 3 calendar years, not later than December 1 of the yearpreceding commencement of the 3-year registration period. (e) Time of application. The Secretary of State may receive applications for renewal of registration andgrant the same and issue new registration cards and plates or registration stickers at any time prior toexpiration of registration. No person shall display upon a vehicle, the new registration plates or registrationstickers prior to the dates the Secretary of State in his discretion may select. (f) Verification. The Secretary of State may further require, as to vehicles for-hire, that applications be accompanied by verification that fees due under the Illinois Motor Carrier of Property Law, as amended,have been paid. (g) Applications for registration renewal shall include information relating to the insurance policy for the motor vehicle, including the name of the insurer that issued the policy, the policy number, and theexpiration date of the policy. (Source: P.A. 93-723, eff. 1-1-05.)". AMENDMENT NO. 2 . Amend House Bill 853, AS AMENDED, with reference to page and line numbers of Senate Amendment No. 1, on page 3, by replacing lines 17 through 21 with the following: "Motor vehicles registered under the provisions of Section Sections 3-402.1 and 3-405.3 shall be issued multi-year registration plates with a new registration card issued annually upon payment of the appropriatefees. Motor vehicles registered under the provisions of Section 3-405.3 shall be issued mutli-year registration plates with a new multi-year registration card issued pursuant to subsections (j) and (k) of this Section upon payment of the appropriate fees. Apportionable trailers and apportionable"; and on page 6, by replacing lines 14 through 20 with the following: "(j) The Secretary of State may enter into an agreement with a rental owner, as defined in Section 3-400 of this Code, who registers a fleet of motor vehicles of the first division pursuant to Section 3-405.3 of this Code to provide for the registration of the rental owner's vehicles on a 2 or 3 calendar year basis and the issuance of multi-year registration plates with a new registration card issued up to every 3 years. (k) The Secretary of State may provide mutli-year registration cards for any registered fleet of motor vehicles of the first or second division that are registered pursuant to Section 3-405.3 of this Code. Each motor vehicle of the registered fleet must carry an unique multi-year registration card that displays vehicle identification number of the registered motor vehicle. The Secretary of State shall promulgate rules in order to implement multi-year registrations.". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 2 to HOUSE BILL 853 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 880

A bill for AN ACT concerning regulation. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 880 Senate Amendment No. 2 to HOUSE BILL NO. 880 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 880 by replacing everything after the enacting clause with

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[May 20, 2009] 46 the following: "Section 5. The Professional Geologist Licensing Act is amended by changing Sections 15, 20, 25, 30, 35, 40, 45, 50, 60, 65, 70, 75, 80, 85, 90, 105, 110, 115, 120, 125, 135, 140, 145, and 160 and by addingSections 17 and 51 as follows: (225 ILCS 745/15) (Section scheduled to be repealed on January 1, 2016) Sec. 15. Definitions. In this Act: "Board" means the Board of Licensing for Professional Geologists. "Department" means the Department of Financial and Professional Regulation. "Director" means the Director of Professional Regulation. "Enrollment" means the recording by the Department of those individuals who have met therequirements specified in this Act for a Geologist Intern and the issuance of a certificate of enrollment tosuch individuals. "Geologist" means an individual who, by reason of his or her knowledge of geology, mathematics, andthe physical and life sciences, acquired by education and practical experience as defined by this Act, iscapable of practicing the science of geology. "Geologist Intern" means an individual enrolled with the Department who has knowledge of geology,mathematics, and the physical and life sciences, obtained by education, as defined in this Act, and haspassed the examination on the fundamentals of geology administered by the Department with the advice and consent of the Board. "Geology" means the science that includes the treatment of the earth and its origin and history including,but not limited to, (i) the investigation of the earth's crust and interior and the solids and fluids, including all surface and underground waters, gases, and other materials that compose the earth as they may relate togeologic processes; (ii) the study of the natural agents, forces, and processes that cause changes in theearth; and (iii) the utilization of this knowledge of the earth and its solids, fluids, and gases, and theircollective properties and processes, for the benefit of humankind. "Person" or "individual" means a natural person. "Practice of professional geology" means the performance of, or the offer to perform, the services of a geologist, including consultation, investigation, evaluation, planning, mapping, inspection of geologicwork, and other services that require extensive knowledge of geologic laws, formulas, principles, practice,and methods of data interpretation. A person shall be construed to practice or offer to practice professional geology, within the meaning andintent of this Act, if that person (i) by verbal claim, sign, advertisement, letterhead, card, or any othermeans, represents himself or herself to be a Licensed Professional Geologist professional geologist or through the use of some title implies that he or she is a Licensed Professional Geologist professional geologist or is licensed under this Act or (ii) holds himself or herself out as able to perform or does perform services or work defined in this Act as the practice of professional geology. Examples of the practice of professional geology include, but are not limited to, the conduct of, orresponsible charge for, the following types of activities: (i) mapping, sampling, and analysis of earthmaterials, interpretation of data, and the preparation of oral or written testimony regarding the probablegeological causes of events; (ii) planning, review, and supervision of data gathering activities, interpretation of geological data gathered by direct and indirect means, preparation of geological maps,cross-sections, interpretive maps and reports for the purpose of evaluating regional or site specificgeological conditions; (iii) the planning, review, and supervision of data gathering activities andinterpretation of data on regional or site specific geological characteristics affecting groundwater; (iv) theinterpretation of geological conditions on the surface and at depth at a specific site on the Earth's surface for the purpose of determining whether those conditions correspond to a geologic map of the site; and (v)the conducting of environmental property audits. "Licensed Professional Geologist professional geologist" means an individual who is licensed under this Act to engage in the practice of professional geology in Illinois. "Responsible charge" means the independent control and direction, by use of initiative, skill, andindependent judgment, of geological work or the supervision of that work. "Secretary" means the Secretary of Financial and Professional Regulation. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/17 new) (Section scheduled to be repealed on January 1, 2016) Sec. 17. References to Department or Director of Professional Regulation. References in this Act (i) to

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47 [May 20, 2009] the Department of Professional Regulation are deemed, in appropriate contexts, to be references to theDepartment of Financial and Professional Regulation and (ii) to the Director of Professional Regulation are deemed, in appropriate contexts, to be references to the Secretary of Financial and Professional Regulation. (225 ILCS 745/20) (Section scheduled to be repealed on January 1, 2016) Sec. 20. Exemptions. Nothing in this Act shall be construed to restrict the use of the title "geologist" orsimilar words by any person engaged in a practice of geology exempted under this Act, provided the persondoes not hold himself or herself out as being a Licensed Professional Geologist licensed professional geologist or does not practice professional geology in a manner requiring licensure under this Act.Performance of the following activities does not require licensure as a Licensed Professional Geologistlicensed professional geologist under this Act: (a) The practice of professional geology by an employee or a subordinate of a licensee under this Act,provided the work does not include responsible charge of geological work and is performed under the direct supervision of a Licensed Professional Geologist licensed professional geologist who is responsible for the work. (b) The practice of professional geology by officers and employees of the United States governmentwithin the scope of their employment. (c) The practice of professional geology as geologic research to advance basic knowledge for the purposeof offering scientific papers, publications, or other presentations (i) before meetings of scientific societies,(ii) internal to a partnership, corporation, proprietorship, or government agency, or (iii) for publication inscientific journals, or in books. (d) The teaching of geology in schools, colleges, or universities, as defined by rule. (d-5) The practice of professional geology by any person pursuing a course of study leading to a degreein geology from an accredited college or university, as set forth in this Act and by rule, provided that (i)such practice constitutes a part of a supervised course of study, (ii) the person is under the supervision of a geologist licensed under this Act, and (iii) the person is designated by a title that clearly indicates his or herstatus as a student or trainee. (e) The practice of professional geology exclusively in the exploration for or development of energy resources or base, precious and nonprecious minerals, including sand, gravel, and aggregate, that does notrequire, by law, rule, or ordinance, the submission of reports, documents, or oral or written testimony topublic agencies. Public agencies may, by law or by rule, allow required oral or written testimony, reports,permit applications, or other documents based on the science of geology to be submitted to them by personsnot licensed under this Act. Unless otherwise required by State or federal law, public agencies may not require that the geology-based aspects of testimony, reports, permits, or other documents so exempted bereviewed by, approved, or otherwise certified by any person who is not a Licensed Professional Geologistlicensed professional geologist. Licensure is not required for the submission and review of reports ordocuments or the provision of oral or written testimony made under the Well Abandonment Act, the IllinoisOil and Gas Act, the Surface Coal Mining Land Conservation and Reclamation Act, or the Surface-Mined Land Conservation and Reclamation Act. (f) The practice of professional engineering as defined in the Professional Engineering Practice Act of1989. (g) The practice of structural engineering as defined in the Structural Engineering Practice Act of 1989. (h) The practice of architecture as defined in the Illinois Architecture Practice Act of 1989. (i) The practice of land surveying as defined in the Illinois Professional Land Surveyor Act of 1989. (j) The practice of landscape architecture as defined in the Illinois Landscape Architecture Act of 1989. (k) The practice of professional geology for a period not to exceed 9 months by any person pursuing acourse of study leading to a degree in geology from an accredited college or university, as set forth in thisAct and as established by rule, provided that (i) such practice constitutes a part of a supervised course ofstudy, (ii) the person is under the supervision of a geologist licensed under this Act, and (iii) the person is designated by a title that clearly indicates his or her status as a student or trainee. (Source: P.A. 91-91, eff. 1-1-00.) (225 ILCS 745/25) (Section scheduled to be repealed on January 1, 2016) Sec. 25. Restrictions and limitations. No person shall, without a valid license issued by the Department(i) in any manner hold himself or herself out to the public as a Licensed Professional Geologist licensed professional geologist; (ii) attach the title "Licensed Professional Geologist" to his or her name; or (iii)render or offer to render to individuals, corporations, or public agencies services constituting the practice of

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[May 20, 2009] 48 professional geology. Individuals practicing geology in Illinois as of the effective date of this amendatory Act of 1997 maycontinue to practice as provided in this Act until the Department has adopted rules implementing this Act.To continue practicing geology after the adoption of rules, individuals shall apply for licensure within 180 days after the effective date of the rules. If an application is received during the 180-day period, the individual may continue to practice until the Department acts to grant or deny licensure. If an application isnot filed within the 180-day period, the individual must cease the practice of geology at the conclusion ofthe 180-day period and until the Department acts to grant a license to the individual. (Source: P.A. 89-366, eff. 7-1-96; 90-61, eff. 12-30-97.) (225 ILCS 745/30) (Section scheduled to be repealed on January 1, 2016) Sec. 30. Powers and duties of the Department. Subject to the provisions of this Act, the Department may: (a) Authorize examinations to ascertain the qualifications and fitness of applicants for licensing or enrollment as Licensed Professional Geologists, Licensed Specialty Geologists, or Geologist Internslicensed professional geologists or as licensed specialty geologists, as defined by the Board, and pass upon the qualifications of applicants for licensure by endorsement. (b) Conduct hearings on proceedings to refuse to issue or renew or to revoke licenses or certificates of enrollment or suspend, place on probation, or reprimand persons licensed or enrolled under this Act, and to refuse to issue or renew or to revoke licenses or certificates of enrollment, or suspend, place on probation, or reprimand persons licensed or enrolled under this Act. (c) Formulate rules required for the administration of this Act. (d) Obtain written recommendations from the Board regarding (i) definitions of curriculum content andapproval of geological curricula, standards of professional conduct, and formal disciplinary actions and theformulation of rules affecting these matters and (ii) when petitioned by the applicant, opinions regarding the qualifications of applicants for licensing or enrolling. (e) Maintain rosters of the names and addresses of all licensees, enrollees, and all persons whose licenses or certificates of enrollment have been suspended, revoked, or denied renewal for cause within the previouscalendar year. These rosters shall be available upon written request and payment of the required fee. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/35) (Section scheduled to be repealed on January 1, 2016) Sec. 35. Board of Licensing for Professional Geologists; members; qualifications; duties. (a) The Director shall appoint a Board of Licensing for Professional Geologists which shall serve in anadvisory capacity to the Director. The Board shall be composed of 8 persons, 7 of whom shall be votingmembers appointed by the Director, who shall give due consideration to recommendations by members ofthe profession of geology and of geology organizations within the State. In addition, the State Geologist or his or her designated representative, shall be an advisory, non-voting member of the Board. (b) Insofar as possible, the geologists appointed to serve on the Board shall be generally representative ofthe occupational and geographical distribution of geologists within this State. (c) Of the 7 appointed voting members of the Board, 6 shall be geologists and one shall be a member ofthe general public with no family or business connection with the practice of geology. (d) Each of the first appointed geologist members of the Board shall have at least 10 years of activegeological experience and shall possess the education and experience required for licensure. Eachsubsequently appointed geologist member of the Board shall be a Licensed Professional Geologistprofessional geologist licensed under this Act. (e) Of the initial appointments, the Director shall appoint 3 voting members for a term of 4 years, 2voting members for a term of 3 years, and 2 voting members for a term of 2 years. Thereafter, votingmembers shall be appointed for 4-year terms. Terms shall commence on the 3rd Monday in January. (f) Members shall hold office until the expiration of their terms or until their successors have been appointed and have qualified. (g) No voting member of the Board shall serve more than 2 consecutive full terms. (h) Vacancies in the membership of the Board shall be filled by appointment for the unexpired term. (i) The Director may remove or suspend any member of the Board for cause at any time before theexpiration of his or her term. (j) The Board shall annually elect one of its members as chairperson. (k) The members of the Board shall be reimbursed for all legitimate and necessary expenses authorized by the Department incurred in attending the meetings of the Board.

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49 [May 20, 2009] (l) The Board may make recommendations to the Director to establish the examinations and their methodof grading. (m) The Board may submit written recommendations to the Director concerning formulation of rules anda Code of Professional Conduct and Ethics. The Board may recommend or endorse revisions andamendments to the Code and to the rules from time to time. (n) The Board may make recommendations on matters relating to continuing education of Licensed Professional Geologists licensed professional geologists, including the number of hours necessary for license renewal, waivers for those unable to meet that requirement, and acceptable course content. These recommendations shall not impose an undue burden on the Department or an unreasonable restriction onthose seeking a license renewal. (o) Four voting Board members constitutes a quorum. A quorum is required for all Board decisions. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/40) (Section scheduled to be repealed on January 1, 2016) Sec. 40. Application for original license or enrollment. (a) Applications for original licensure as a Licensed Professional Geologist licenses shall be made to the Department on forms prescribed by the Department and accompanied by the required fee. All applicationsshall contain the information that, in the judgment of the Department, will enable the Department to pass onthe qualifications of the applicant for a license to practice as a Licensed Professional Geologist licensed professional geologist. (b) Applications for enrollment as a Geologist Intern shall be made to the Department on formsprescribed by the Department and accompanied by the required fee. All applications shall contain theinformation that, in the judgment of the Department, will enable the Department to pass on thequalifications of the applicant to take the examination on the theory and fundamentals of the science of geology and be enrolled as a Geologist Intern. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/45) (Section scheduled to be repealed on January 1, 2016) Sec. 45. Examination; failure or refusal to take the examination. (a) The Department shall authorize examinations of applicants for original Professional Geologist licensure and Geologist Intern enrollment at such times and places as it may determine. The examination for Professional Geologist licensure examinations shall be a 2-part exam, with one part of a character tofairly testing test an applicant's qualifications to practice professional geology and knowledge of the theory and practice of the science of geology, including subjects that are generally taught in curricula of accredited colleges and universities , and the other part fairly testing the applicant's knowledge of the practicalapplication and practice of the theory and science of geology. Applicants for Geologist Intern enrollmentmust take only that part of the examination that fairly tests the knowledge of the theory and fundamentalsof the science of geology. (b) Applicants who are required to take an examination for examinations shall pay, either to the Department or to the designated testing service, a fee covering the cost of providing the examination. Failure to appear for the required examination on the scheduled date at the time and place specified afterthe application for examination has been received and acknowledged by the Department or the designated testing service shall result in forfeiture of the examination fee. (c) If the applicant neglects, fails, or refuses to take a required an examination or fails to pass a requiredan examination for a license under this Act within 3 years after filing an application, the application shall be denied. However, the applicant may thereafter submit a new application accompanied by the requiredfee. The applicant shall meet the requirements in force at the time of making the new application. (d) The Department may employ consultants for the purpose of preparing and conducting examinations. (e) The Department shall have the authority to adopt or recognize, in part or in whole, examinationsprepared, administered, or graded by other organizations that are determined appropriate to measure the qualifications of an applicant for licensure as a Licensed Professional Geologist or enrollment as a Geologist Intern professional geologist. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/50) (Section scheduled to be repealed on January 1, 2016) Sec. 50. Qualifications for licensure. (a) The Department may issue a license to practice as a Licensed Professional Geologist licensed

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[May 20, 2009] 50 professional geologist to any applicant who meets the following qualifications: (1) The applicant has completed an application form and paid submitted the required fees. (2) The applicant is of good ethical character, including compliance with the Code of

Professional Conduct and Ethics under this Act, and has not committed any act or offense in anyjurisdiction that would constitute the basis for disciplining a Licensed Professional Geologistprofessional geologist licensed under this Act.

(3) The applicant has earned a degree in geology from an accredited college or

university, as established by rule, with a minimum of 30 semester or 45 quarter hours of course credits ingeology, of which 24 semester or 36 quarter hours are in upper level courses. The Department may, upon the recommendation of the Board, allow the substitution of appropriate experience as a geologist forprescribed educational requirements as established by rule.

(4) The applicant has a documented record of a minimum of 4 years of professional

experience, obtained after completion of the education requirements specified in this Section, in geologicor directly related work, demonstrating that the applicant is qualified to assume responsible charge ofsuch work upon licensure as a Licensed Professional Geologist professional geologist or such specialty of professional geology that the Board may recommend and the Department may recognize. TheDepartment may require evidence acceptable to it that up to 2 years of professional experience have been gained under the supervision of a person licensed under this Act or similar Acts in any other state, orunder the supervision of others who, in the opinion of the Department, are qualified to have responsiblecharge of geological work under this Act.

(5) The applicant has passed an examination authorized by the Department for the practice as a Licensed Professional Geologist of professional geology. (6) The applicant has complied with all other requirements of this Act and rules established for the implementation of this Act. (b) Professional Geologist licensure A license to practice professional geology shall not be denied any applicant because of the applicant's race, religion, creed, national origin, political beliefs or activities, age, sex, sexual orientation, or physical impairment. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/51 new) (Section scheduled to be repealed on January 1, 2016) Sec. 51. Qualifications for Geologist Intern enrollment; final expiration of enrollment; Department powers and duties. (a) The Department may enroll as a Geologist Intern any applicant who meets the followingqualifications: (1) The applicant has completed an application form and paid the required fees. (2) The applicant has (i) earned a degree in geology from an accredited college or university, with aminimum of 30 semester or 45 quarter hours of course credits in geology, of which 24 semester or 36quarter hours are in upper level courses or (ii) is in the final semester of a program leading to a degree asset forth in item (i) of this subparagraph (2). The Department may not issue a certificate of enrollmentunder this Section unless and until an applicant provides proof acceptable to the Department of having obtained the required degree within 12 months after having passed the required enrollment examination. (3) The applicant has passed the required examination on the theory and fundamentals of the scienceof geology, as required under Section 45 of this Act. (b) A Geologist Intern in good standing may renew his or her certificate of enrollment upon payment tothe Department of the required fee; however, the life of a certificate of enrollment issued under this Section may not extend past a period of 10 years and shall automatically and permanently expire upon the end ofthe 10-year period if the enrollee fails to apply for and successfully meet the requirements for licensure as aLicensed Professional Geologist, including the successful passage of that part of the Licensed ProfessionalGeologist examination that fairly tests the practical application and practice of the science of geology, asset forth in Section 45 of this Act. (c) Geologist Intern enrollment shall not be denied any applicant because of the applicant's race, religion,creed, national origin, political beliefs or activities, age, sex, sexual orientation, or physical impairment. (225 ILCS 745/60) (Section scheduled to be repealed on January 1, 2016) Sec. 60. Seals. (a) Upon licensure, each licensee shall obtain a seal of a design as required by rule bearing the licensee's

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51 [May 20, 2009] name, license number, and the legend "Licensed Professional Geologist". (b) All preliminary, draft, and final geologic reports, documents, permits, affidavits, maps, boring logs,sections or other records offered to the public and prepared or issued by or under the supervision of aLicensed Professional Geologist licensed professional geologist shall include the full name, signature, and license number of the licensee, and the date of license expiration of the person who prepared the documentor under whose supervision it was prepared, and an impression of the licensee's seal, in accordance withrules issued by the Department. (c) The Licensed Professional Geologist licensed professional geologist who has contract responsibility shall seal a cover sheet of the professional work products and those individual portions of the professionalwork products for which the Licensed Professional Geologist licensed professional geologist is legally and professionally responsible. A Licensed Professional Geologist licensed professional geologist practicing as the support professional shall seal those individual portions of professional work products for which that Licensed Professional Geologist licensed professional geologist is legally and professionally responsible. (d) The use of a Licensed Professional Geologist's licensed professional geologist's seal on professional work products constitutes a representation that the work prepared by or under the personal supervision ofthat Licensed Professional Geologist licensed professional geologist has been prepared and administered in accordance with the standards of reasonable professional skill and diligence. (e) It is unlawful to affix one's seal to professional work products if it masks the true identity of theperson who actually exercised direction, supervision, and responsible charge of the preparation of thatwork. A Licensed Professional Geologist licensed professional geologist who signs and seals professional work products is not responsible for damage caused by subsequent changes to or uses of those professionalwork products, if the subsequent changes or uses, including changes or uses made by State or local government agencies, are not authorized or approved by the Licensed Professional Geologist licensed professional geologist who originally signed and sealed the professional work products. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/65) (Section scheduled to be repealed on January 1, 2016) Sec. 65. Expiration and renewal of license and certificate of enrollment. The expiration date and renewal period for each license and certificate of enrollment shall be set by rule. A Professional Geologistprofessional geologist whose license has expired may reinstate his or her license at any time within 5 yearsafter the expiration thereof, by making a renewal application and by paying the required fee. However, any Professional Geologist or Geologist Intern professional geologist whose license expired while he or she was (i) on active duty with the Armed Forces of the United States or called into service or training by theState militia or (ii) in training or education under the supervision of the United States preliminary toinduction into the military service, may have his or her professional geologist license or certificaterenewed, reinstated, or restored without paying any lapsed renewal fees if within 2 years after termination of the service, training, or education the Professional Geologist or Geologist Intern professional geologistfurnishes the Department with satisfactory evidence of service, training, or education and it has beenterminated under honorable conditions. Any Professional Geologist professional geologist whose license has expired for more than 5 years may have it restored by making application to the Department, paying the required fee, and filing acceptableproof of fitness to have the license restored. The proof may include sworn evidence certifying activepractice in another jurisdiction. If the geologist has not practiced for 5 years or more, the Board shalldetermine by an evaluation program established by rule, whether that individual is fit to resume active status . The Board and may require the Professional Geologist professional geologist to complete a period of evaluated professional experience and may require successful completion of an examination. The Department may refuse to issue or may suspend the license or certificate of enrollment of any person who fails to file a return, or to pay the tax, penalty or interest shown in a filed return, or to pay any finalassessment of tax, penalty, or interest, as required by any tax Act administered by the Illinois Departmentof Revenue, until such time as the requirements of any such tax Act are satisfied. (Source: P.A. 89-366, eff. 7-1-96; 90-61, eff. 12-30-97.) (225 ILCS 745/70) (Section scheduled to be repealed on January 1, 2016) Sec. 70. Fees. (a) Except as provided in subsection (b), the fees for the administration and enforcement of this Act,including but not limited to original licensure or enrollment, renewal, and restoration fees, shall be set by the Department by rule. The fees shall not be refundable.

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[May 20, 2009] 52 (b) Applicants for examination shall be required to pay, either to the Department or the designatedtesting service, a fee covering the cost of initial screening to determine eligibility and the cost of providing the examination. Failure to appear for the examination on the scheduled date at the time and place specifiedafter the applicant's application for examination has been received and acknowledged by the Department orthe designated testing service shall result in the forfeiture of the examination fee. (c) All fees and other monies collected under this Act shall be deposited in the General ProfessionsDedicated Fund. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/75) (Section scheduled to be repealed on January 1, 2016) Sec. 75. Returned checks; fines. Any person who delivers a check or other payment to the Departmentthat is returned to the Department unpaid by the financial institution upon which it is drawn shall pay to the Department, in addition to the amount already owed to the Department, a fine of $50. The fines imposed bythis Section are in addition to any other discipline provided under this Act for unlicensed or unenrolledpractice or practice on a nonrenewed license or certificate of enrollment. The Department shall notify the person that payment of fees and fines shall be paid to the Department by certified check or money orderwithin 30 calendar days of the notification. If, after the expiration of 30 days from the date of the notification, the person has failed to submit the necessary remittance, the Department shall automaticallyterminate the license or certificate of enrollment or deny the application, without hearing. If, after termination or denial, the person seeks a license or certificate of enrollment, he or she shall apply to the Department for restoration or issuance of the license or certificate of enrollment and pay all fees and fines due to the Department. The Department may establish a fee for the processing of an application for restoration of a license or certificate of enrollment to pay all expenses of processing this application. The Director may waive the fines due under this Section in individual cases where the Director finds that the fines would be unreasonable or unnecessarily burdensome. (Source: P.A. 92-146, eff. 1-1-02.) (225 ILCS 745/80) (Section scheduled to be repealed on January 1, 2016) Sec. 80. Disciplinary actions. (a) The Department may refuse to issue or renew, or may revoke, suspend, place on probation,reprimand, or take other disciplinary action as the Department may deem appropriate, including fines not toexceed $5,000 for each violation, with regard to any license or certificate of enrollment for any one or combination of the following: (1) Material misstatement in furnishing information to the Department. (2) Violations of this Act, or of the rules promulgated under this Act. (3) Conviction of any crime under the laws of the United States or any state or

territory of the United States that is a felony or that is a misdemeanor, an essential element of which isdishonesty, or of any crime that is directly related to the practice of the profession.

(4) Making any misrepresentation for the purpose of obtaining licensure or enrollment or violating any provision of this Act or the rules promulgated under this Act pertaining to advertising. (5) Professional incompetence. (6) Gross malpractice. (7) Aiding or assisting another person in violating any provision of this Act or rules promulgated under this Act. (8) Failing, within 60 days, to provide information in response to a written request made by the Department. (9) Engaging in dishonorable, unethical, or unprofessional conduct of a character likely to deceive, defraud, or harm the public. (10) Habitual or excessive use or addiction to alcohol, narcotics, stimulants, or any

other chemical agent or drug that results in the inability to practice with reasonable judgment, skill, orsafety.

(11) Discipline by another state, District of Columbia, territory, or foreign nation,

if at least one of the grounds for the discipline is the same or substantially equivalent to those set forth inthis Section.

(12) Directly or indirectly giving to or receiving from any person, firm, corporation,

partnership, or association any fee, commission, rebate or other form of compensation for professional services not actually or personally rendered.

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53 [May 20, 2009] (13) A finding by the Department that the licensee or enrollee, after having his or her license or certificate of enrollment placed on probationary status, has violated the terms of probation. (14) Willfully making or filing false records or reports in his or her practice, including but not limited to, false records filed with State agencies or departments. (15) Physical illness, including but not limited to, deterioration through the aging

process, or loss of motor skill that results in the inability to practice the profession with reasonablejudgment, skill, or safety.

(16) Solicitation of professional services other than permitted advertising. (17) Conviction of or cash compromise of a charge or violation of the Illinois Controlled Substances Act regulating narcotics. (18) Failure to (i) file a return, (ii) pay the tax, penalty, or interest shown in a

filed return, or (iii) pay any final assessment of tax, penalty, or interest, as required by any tax Actadministered by the Illinois Department of Revenue, until the requirements of that tax Act are satisfied.

(19) Conviction by any court of competent jurisdiction, either within or outside this

State, of any violation of any law governing the practice of professional geology, if the Departmentdetermines, after investigation, that the person has not been sufficiently rehabilitated to warrant the public trust.

(20) Gross, willful, or continued overcharging for professional services, including filing false statements for collection of fees for which services are not rendered. (21) Practicing under a false or, except as provided by law, an assumed name. (22) Fraud or misrepresentation in applying for, or procuring, a license or certificate of enrollmentunder this Act or in connection with applying for renewal of a license or certificate of enrollment under this Act. (23) Cheating on or attempting to subvert the licensing or enrollment examination administered under this Act. (b) The determination by a circuit court that a licensee or enrollee is subject to involuntary admission or judicial admission as provided in the Mental Health and Developmental Disabilities Code operates as anautomatic suspension. The suspension will end only upon a finding by a court that the licensee or enrolleeis no longer subject to the involuntary admission or judicial admission and issues an order so finding anddischarging the licensee or enrollee; and upon the recommendation of the Board to the Director that thelicensee or enrollee be allowed to resume his or her practice. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/85) (Section scheduled to be repealed on January 1, 2016) Sec. 85. Injunctive action; cease and desist order. (a) If any person violates the provisions of this Act, the Director, in the name of the People of the State of Illinois, through the Attorney General or the State's Attorney of the county in which the violation isalleged to have occurred, may petition for an order enjoining the violation or for an order enforcing compliance with this Act. Upon the filing of a verified petition, the court with appropriate jurisdiction mayissue a temporary restraining order, without notice or bond, and may preliminarily and permanently enjointhe violation. If it is established that the person has violated or is violating the injunction, the court maypunish the offender for contempt of court. Proceedings under this Section are in addition to, and not in lieuof, all other remedies and penalties provided by this Act. (b) If a person practices as a Licensed Professional Geologist licensed professional geologist or holds himself or herself out as a Licensed Professional Geologist licensed professional geologist in Illinois, without being licensed to do so under this Act, then any Licensed Professional Geologist licensed professional geologist, interested party, or any person injured thereby may petition for relief as provided insubsection (a) of this Section. (c) Whenever, in the opinion of the Department, a person violates any provision of this Act, the Department may issue a rule to show cause why an order to cease and desist should not be entered againstthat person. The rule shall clearly set forth the grounds relied upon by the Department and shall allow atleast 7 days from the date of the rule to file an answer satisfactory to the Department. Failure to answer tothe satisfaction of the Department shall cause an order to cease and desist to be issued. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/90) (Section scheduled to be repealed on January 1, 2016)

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[May 20, 2009] 54 Sec. 90. Investigations; notice and hearing. The Department may investigate the actions of any applicantor of any person or persons rendering or offering to render geological services or any person holding or claiming to hold a license as a Licensed Professional Geologist licensed professional geologist. The Department shall, before revoking, suspending, placing on probation, reprimanding, or taking any otherdisciplinary action under Section 80 of this Act, at least 30 days before the date set for the hearing, (i)notify the accused in writing of the charges made and the time and place for the hearing on the charges, (ii)direct him or her to file a written answer to the charges with the Board under oath within 20 days after the service on him or her of the notice, and (iii) inform the accused that, if he or she fails to answer, default willbe taken against him or her or that his or her license may be suspended, revoked, placed on probationary status, or other disciplinary action taken with regard to the license, including limiting the scope, nature, orextent of his or her practice, as the Department may consider proper. At the time and place fixed in thenotice, the Board shall proceed to hear the charges and the parties or their counsel shall be accorded ampleopportunity to present any pertinent statements, testimony, evidence, and arguments. The Board maycontinue the hearing from time to time. In case the person, after receiving the notice, fails to file an answer, his or her license may, in the discretion of the Department, be suspended, revoked, placed on probationarystatus, or the Department may take whatever disciplinary action considered proper, including limiting thescope, nature, or extent of the person's practice or the imposition of a fine, without a hearing, if the act oracts charged constitute sufficient grounds for that action under this Act. The written notice may be servedby personal delivery or by certified mail to the address specified by the accused in his or her last notification with the Department. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/105) (Section scheduled to be repealed on January 1, 2016) Sec. 105. Compelling testimony. Any circuit court, upon application of the Department, designated hearing officer, or the applicant, or licensee , or enrollee against whom proceedings under Section 80 of this Act are pending, may enter an order requiring the attendance of witnesses and their testimony, and the production of documents, papers, files, books, and records in connection with any hearing or investigation.The court may compel obedience to its order by proceedings for contempt. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/110) (Section scheduled to be repealed on January 1, 2016) Sec. 110. Findings and recommendations. At the conclusion of the hearing, the Board shall present to theDirector a written report of its findings of fact, conclusions of law, and recommendations. The report shall contain a finding whether or not the accused person violated this Act or its rules or failed to comply withthe conditions required in this Act or its rules. The Board shall specify the nature of any violations orfailure to comply and shall make its recommendations to the Director. In making recommendations for anydisciplinary actions, the Board may take into consideration all facts and circumstances bearing upon thereasonableness of the conduct of the accused and the potential for future harm to the public, including but not limited to previous discipline of the accused by the Department, intent, degree of harm to the public andlikelihood of harm in the future, any restitution made by the accused, and whether the incident or incidentscontained in the complaint appear to be isolated or represent a continuing pattern of conduct. In making itsrecommendations for discipline, the Board shall endeavor to ensure that the severity of the disciplinerecommended is reasonably related to the severity of the violation. The report of findings of fact, conclusions of law, and recommendation of the Board shall be the basisfor the Department's order refusing to issue, restore, or renew a license or certificate of enrollment, or otherwise disciplining a licensee or enrollee. If the Director disagrees with the recommendations of theBoard, the Director may issue an order in contravention of the Board recommendations. The Director shallprovide a written report to the Board on any disagreement and shall specify the reasons for the action in the final order. The finding is not admissible in evidence against the person in a criminal prosecution broughtfor a violation of this Act, but the hearing and finding are not a bar to a criminal prosecution brought for a violation of this Act. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/115) (Section scheduled to be repealed on January 1, 2016) Sec. 115. Board; rehearing. At the conclusion of the hearing, a copy of the Board's report shall be served upon the applicant, or licensee , or enrollee by the Department, either personally or as provided in this Actfor the service of a notice of hearing. Within 20 days after service, the applicant, or licensee , or enrollee

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55 [May 20, 2009] may present to the Department a motion in writing for a rehearing, which shall specify the particulargrounds for rehearing. The Department may respond to the motion for rehearing within 20 days after itsservice on the Department. If no motion for rehearing is filed, then upon the expiration of the time specified for filing such a motion, or if a motion for rehearing is denied, then upon denial, the Director may enter anorder in accordance with recommendations of the Board except as provided in Section 120 of this Act. Ifthe applicant, or licensee , or enrollee orders from the reporting service and pays for a transcript of therecord within the time for filing a motion for rehearing, the 20-day period within which a motion may be filed shall commence upon the delivery of the transcript to the applicant, or licensee , or enrollee. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/120) (Section scheduled to be repealed on January 1, 2016) Sec. 120. Director; rehearing. Whenever the Director believes that justice has not been done in the revocation, suspension, or refusal to issue, restore, or renew a license or certificate of enrollment, or other discipline of an applicant, or licensee, or enrollee he or she may order a rehearing by the same or other examiners. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/125) (Section scheduled to be repealed on January 1, 2016) Sec. 125. Appointment of a hearing officer. The Director has the authority to appoint any attorneylicensed to practice law in the State of Illinois to serve as the hearing officer in any action for refusal toissue, restore, or renew a license or certificate of enrollment or to discipline a licensee or enrollee. The hearing officer has full authority to conduct the hearing. At least one member of the Board shall attend each hearing. The hearing officer shall report his or her findings of fact, conclusions of law, andrecommendations to the Board and the Director. The Board shall have 60 calendar days from receipt of thereport to review the report of the hearing officer and present its findings of fact, conclusions of law, andrecommendations to the Director. If the Board does not present its report within the 60-day period, the Director may issue an order based on the report of the hearing officer. If the Director disagrees with the recommendation of the Board or of the hearing officer, the Director may issue an order in contravention ofthe recommendation. The Director shall promptly provide a written report to the Board on any deviation,and shall specify the reasons for the action in the final order. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/135) (Section scheduled to be repealed on January 1, 2016) Sec. 135. Restoration of suspended or revoked license. At any time after the suspension or revocation of a license or certificate of enrollment, the Department may restore it to the licensee or enrollee, upon the written recommendation of the Board, unless after an investigation and a hearing the Board determines thatrestoration is not in the public interest. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/140) (Section scheduled to be repealed on January 1, 2016) Sec. 140. Surrender of license. Upon the revocation or suspension of a license or certificate of enrollment, the licensee or enrollee shall immediately surrender his or her license or certificate of enrollment to the Department. If the licensee or enrollee fails to do so, the Department has the right to seize the license or certificate of enrollment. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/145) (Section scheduled to be repealed on January 1, 2016) Sec. 145. Summary suspension of a license. The Director may summarily suspend the license of aLicensed Professional Geologist licensed professional geologist without a hearing, simultaneously with the institution of proceedings for a hearing provided for in Section 90 of this Act, if the Director finds thatevidence in the Director's possession indicates that the continuation of practice by a Licensed Professional Geologist licensed professional geologist would constitute an imminent danger to the public. In the eventthat the Director summarily suspends the license of a Licensed Professional Geologist licensed professional geologist without a hearing, a hearing must be commenced within 30 days after the suspension hasoccurred and concluded as expeditiously as practical. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/160)

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[May 20, 2009] 56 (Section scheduled to be repealed on January 1, 2016) Sec. 160. Violations. (a) Using or attempting to use an expired license is a Class A misdemeanor. (b) Each of the following acts is a Class A misdemeanor for the first offense and a Class 4 felony for asecond or subsequent offense: (1) A violation of any provision of this Act or its rules, except as noted in subsection (a) of this Section. (2) The making of any wilfully false oath or affirmation in any matter or proceeding where an oath or affirmation is required by this Act. (3) Using or attempting to use an inactive, suspended, or revoked license or the

license or seal of another, or impersonating another licensee, or practicing geology as a Licensed Professional Geologist licensed professional geologist in Illinois while one's license is inactive, suspended, or revoked.

(4) The practice, attempt to practice, or offer to practice professional geology in

Illinois without a license as a Licensed Professional Geologist licensed professional geologist. Each day of practicing professional geology or attempting to practice professional geology, and each instance ofoffering to practice professional geology, without a license as a Licensed Professional Geologist licensed professional geologist constitutes a separate offense.

(5) Advertising or displaying any sign or card or other device that might indicate to

the public that the person or entity is entitled to practice as a Licensed Professional Geologist licensed professional geologist, unless that person holds an active license as a Licensed Professional Geologistlicensed professional geologist in the State of Illinois.

(6) Obtaining or attempting to obtain a license by fraud. (Source: P.A. 89-366, eff. 7-1-96.) Section 99. Effective date. This Act takes effect upon becoming law.". AMENDMENT NO. 2 . Amend House Bill 880, AS AMENDED, by replacing everything after theenacting clause with the following: "Section 5. The Professional Geologist Licensing Act is amended by changing Sections 15, 20, 35, and50 and by adding Section 17 as follows: (225 ILCS 745/15) (Section scheduled to be repealed on January 1, 2016) Sec. 15. Definitions. In this Act: "Board" means the Board of Licensing for Professional Geologists. "Department" means the Department of Financial and Professional Regulation. "Director" means the Director of Professional Regulation. "Geologist" means an individual who, by reason of his or her knowledge of geology, mathematics, and the physical and life sciences, acquired by education and practical experience as defined by this Act, iscapable of practicing the science of geology. "Geology" means the science that includes the treatment of the earth and its origin and history including, but not limited to, (i) the investigation of the earth's crust and interior and the solids and fluids, including allsurface and underground waters, gases, and other materials that compose the earth as they may relate to geologic processes; (ii) the study of the natural agents, forces, and processes that cause changes in theearth; and (iii) the utilization of this knowledge of the earth and its solids, fluids, and gases, and theircollective properties and processes, for the benefit of humankind. "Person" or "individual" means a natural person. "Practice of professional geology" means the performance of, or the offer to perform, the services of ageologist, including consultation, investigation, evaluation, planning, mapping, inspection of geologicwork, and other services that require extensive knowledge of geologic laws, formulas, principles, practice,and methods of data interpretation. A person shall be construed to practice or offer to practice professional geology, within the meaning andintent of this Act, if that person (i) by verbal claim, sign, advertisement, letterhead, card, or any othermeans, represents himself or herself to be a professional geologist or through the use of some title implies that he or she is a professional geologist or is licensed under this Act or (ii) holds himself or herself out asable to perform or does perform services or work defined in this Act as the practice of professionalgeology. Examples of the practice of professional geology include, but are not limited to, the conduct of, or

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57 [May 20, 2009] responsible charge for, the following types of activities: (i) mapping, sampling, and analysis of earthmaterials, interpretation of data, and the preparation of oral or written testimony regarding the probable geological causes of events; (ii) planning, review, and supervision of data gathering activities,interpretation of geological data gathered by direct and indirect means, preparation of geological maps,cross-sections, interpretive maps and reports for the purpose of evaluating regional or site specificgeological conditions; (iii) the planning, review, and supervision of data gathering activities andinterpretation of data on regional or site specific geological characteristics affecting groundwater; (iv) the interpretation of geological conditions on the surface and at depth at a specific site on the Earth's surfacefor the purpose of determining whether those conditions correspond to a geologic map of the site; and (v) the conducting of environmental property audits. "Licensed professional geologist" means an individual who is licensed under this Act to engage in thepractice of professional geology in Illinois. "Responsible charge" means the independent control and direction, by use of initiative, skill, andindependent judgment, of geological work or the supervision of that work. "Secretary" means the Secretary of Financial and Professional Regulation. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/17 new) (Section scheduled to be repealed on January 1, 2016) Sec. 17. References to Department or Director of Professional Regulation. References in this Act (i) tothe Department of Professional Regulation are deemed, in appropriate contexts, to be references to the Department of Financial and Professional Regulation and (ii) to the Director of Professional Regulation aredeemed, in appropriate contexts, to be references to the Secretary of Financial and Professional Regulation. (225 ILCS 745/20) (Section scheduled to be repealed on January 1, 2016) Sec. 20. Exemptions. Nothing in this Act shall be construed to restrict the use of the title "geologist" orsimilar words by any person engaged in a practice of geology exempted under this Act, provided the person does not hold himself or herself out as being a licensed professional geologist or does not practiceprofessional geology in a manner requiring licensure under this Act. Performance of the following activitiesdoes not require licensure as a licensed professional geologist under this Act: (a) The practice of professional geology by an employee or a subordinate of a licensee under this Act,provided the work does not include responsible charge of geological work and is performed under the direct supervision of a licensed professional geologist who is responsible for the work. (b) The practice of professional geology by officers and employees of the United States governmentwithin the scope of their employment. (c) The practice of professional geology as geologic research to advance basic knowledge for the purposeof offering scientific papers, publications, or other presentations (i) before meetings of scientific societies,(ii) internal to a partnership, corporation, proprietorship, or government agency, or (iii) for publication inscientific journals, or in books. (d) The teaching of geology in schools, colleges, or universities, as defined by rule. (e) The practice of professional geology exclusively in the exploration for or development of energyresources or base, precious and nonprecious minerals, including sand, gravel, and aggregate, that does notrequire, by law, rule, or ordinance, the submission of reports, documents, or oral or written testimony to public agencies. Public agencies may, by law or by rule, allow required oral or written testimony, reports,permit applications, or other documents based on the science of geology to be submitted to them by personsnot licensed under this Act. Unless otherwise required by State or federal law, public agencies may notrequire that the geology-based aspects of testimony, reports, permits, or other documents so exempted bereviewed by, approved, or otherwise certified by any person who is not a licensed professional geologist. Licensure is not required for the submission and review of reports or documents or the provision of oral orwritten testimony made under the Well Abandonment Act, the Illinois Oil and Gas Act, the Surface CoalMining Land Conservation and Reclamation Act, or the Surface-Mined Land Conservation and Reclamation Act. (f) The practice of professional engineering as defined in the Professional Engineering Practice Act of1989. (g) The practice of structural engineering as defined in the Structural Engineering Practice Act of 1989. (h) The practice of architecture as defined in the Illinois Architecture Practice Act of 1989. (i) The practice of land surveying as defined in the Illinois Professional Land Surveyor Act of 1989. (j) The practice of landscape architecture as defined in the Illinois Landscape Architecture Act of 1989.

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[May 20, 2009] 58 (k) The practice of professional geology for a period not to exceed 9 months by any person pursuing acourse of study leading to a degree in geology from an accredited college or university, as set forth in thisAct and as established by rule, provided that (i) such practice constitutes a part of a supervised course ofstudy, (ii) the person is under the supervision of a geologist licensed under this Act, and (iii) the person is designated by a title that clearly indicates his or her status as a student or trainee. (Source: P.A. 91-91, eff. 1-1-00.) (225 ILCS 745/35) (Section scheduled to be repealed on January 1, 2016) Sec. 35. Board of Licensing for Professional Geologists; members; qualifications; duties. (a) The Director shall appoint a Board of Licensing for Professional Geologists which shall serve in anadvisory capacity to the Director. The Board shall be composed of 8 persons, 7 of whom shall be voting members appointed by the Director, who shall give due consideration to recommendations by members ofthe profession of geology and of geology organizations within the State. In addition, the State Geologist or his or her designated representative, shall be an advisory, non-voting member of the Board. (b) Insofar as possible, the geologists appointed to serve on the Board shall be generally representative ofthe occupational and geographical distribution of geologists within this State. (c) Of the 7 appointed voting members of the Board, 6 shall be geologists and one shall be a member ofthe general public with no family or business connection with the practice of geology. (d) Each of the first appointed geologist members of the Board shall have at least 10 years of activegeological experience and shall possess the education and experience required for licensure. Eachsubsequently appointed geologist member of the Board shall be a professional geologist licensed under this Act. (e) Of the initial appointments, the Director shall appoint 3 voting members for a term of 4 years, 2voting members for a term of 3 years, and 2 voting members for a term of 2 years. Thereafter, votingmembers shall be appointed for 4-year terms. Terms shall commence on the 3rd Monday in January. (f) Members shall hold office until the expiration of their terms or until their successors have beenappointed and have qualified. (g) No voting member of the Board shall serve more than 2 consecutive full terms. (h) Vacancies in the membership of the Board shall be filled by appointment for the unexpired term. (i) The Director may remove or suspend any member of the Board for cause at any time before the expiration of his or her term. (j) The Board shall annually elect one of its members as chairperson. (k) The members of the Board shall be reimbursed for all legitimate and necessary expenses authorizedby the Department incurred in attending the meetings of the Board. (l) The Board may make recommendations to the Director to establish the examinations and their methodof grading. (m) The Board may submit written recommendations to the Director concerning formulation of rules anda Code of Professional Conduct and Ethics. The Board may recommend or endorse revisions andamendments to the Code and to the rules from time to time. (n) The Board may make recommendations on matters relating to continuing education of licensedprofessional geologists, including the number of hours necessary for license renewal, waivers for thoseunable to meet that requirement, and acceptable course content. These recommendations shall not imposean undue burden on the Department or an unreasonable restriction on those seeking a license renewal. (o) Four voting Board members constitutes a quorum. A quorum is required for all Board decisions. (Source: P.A. 89-366, eff. 7-1-96.) (225 ILCS 745/50) (Section scheduled to be repealed on January 1, 2016) Sec. 50. Qualifications for licensure. (a) The Department may issue a license to practice as a licensed professional geologist to any applicantwho meets the following qualifications: (1) The applicant has completed an application form and paid submitted the required fees. (2) The applicant is of good ethical character, including compliance with the Code of

Professional Conduct and Ethics under this Act, and has not committed any act or offense in anyjurisdiction that would constitute the basis for disciplining a professional geologist licensed under thisAct.

(3) The applicant has earned a degree in geology from an accredited college or university, as established by rule, with a minimum of 30 semester or 45 quarter hours of course credits in

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59 [May 20, 2009]

geology, of which 24 semester or 36 quarter hours are in upper level courses. The Department may, uponthe recommendation of the Board, allow the substitution of appropriate experience as a geologist forprescribed educational requirements as established by rule.

(4) The applicant has a documented record of a minimum of 4 years of professional

experience, obtained after completion of the education requirements specified in this Section, in geologic or directly related work, demonstrating that the applicant is qualified to assume responsible charge ofsuch work upon licensure as a professional geologist or such specialty of professional geology that theBoard may recommend and the Department may recognize. The Department may require evidence acceptable to it that up to 2 years of professional experience have been gained under the supervision of aperson licensed under this Act or similar Acts in any other state, or under the supervision of others who, in the opinion of the Department, are qualified to have responsible charge of geological work under thisAct.

(5) The applicant has passed an examination authorized by the Department for the practice of professional geology. (6) The applicant has complied with all other requirements of this Act and rules established for the implementation of this Act. (b) A license to practice professional geology shall not be denied any applicant because of the applicant's race, religion, creed, national origin, political beliefs or activities, age, sex, sexual orientation, or physicalimpairment. (Source: P.A. 89-366, eff. 7-1-96.) Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 2 to HOUSE BILL 880 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 415

A bill for AN ACT concerning public aid. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 415 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 415 by replacing everything after the enacting clause with the following: "Section 5. The Illinois Public Aid Code is amended by adding Sections 5-5.4d and 5-5.4e as follows: (305 ILCS 5/5-5.4d new) Sec. 5-5.4d. MDS payment methodology; quarterly rate adjustments. On and after July 1, 2009, the nursing component of the nursing facility medical assistance rate computed under the Minimum Data Set(MDS) payment methodology shall be calculated and adjusted quarterly. The Department of Healthcareand Family Services may adopt rules necessary to implement this amendatory Act of the 96th GeneralAssembly through the use of emergency rulemaking in accordance with Section 5-45 of the Illinois Administrative Procedure Act, except that the 24-month limitation on the adoption of emergency rules under Section 5-45 and the provisions of Sections 5-115 and 5-125 of that Act do not apply to rules adopted under this Section. For purposes of that Act, the General Assembly finds that the adoption of rules toimplement this amendatory Act of the 96th General Assembly is deemed an emergency and necessary forthe public interest, safety, and welfare. (305 ILCS 5/5-5.4e new) Sec. 5-5.4e. Nursing facilities; ventilator rates. On and after October 1, 2009, the Department ofHealthcare and Family Services shall adopt rules to provide medical assistance reimbursement under thisArticle for the care of persons on ventilators in skilled nursing facilities licensed under the Nursing Home

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[May 20, 2009] 60 Care Act and certified to participate under the medical assistance program. Accordingly, necessary amendments to the rules implementing the Minimum Data Set (MDS) payment methodology shall also bemade to provide a separate per diem ventilator rate based on days of service. The Department may adoptrules necessary to implement this amendatory Act of the 96th General Assembly through the use ofemergency rulemaking in accordance with Section 5-45 of the Illinois Administrative Procedure Act, except that the 24-month limitation on the adoption of emergency rules under Section 5-45 and the provisions of Sections 5-115 and 5-125 of that Act do not apply to rules adopted under this Section. Forpurposes of that Act, the General Assembly finds that the adoption of rules to implement this amendatoryAct of the 96th General Assembly is deemed an emergency and necessary for the public interest, safety,and welfare. Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 415 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 496

A bill for AN ACT concerning regulation. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 496 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 496 on page 16, by replacing lines 11 and 12 with thefollowing: "and to divide the fee for such service, provided that the patient has full"; and on page 18, by deleting lines 24 through 26; and on page 19, by deleting lines 1 through 4; and on page 28, by replacing line 19 with the following: "part by Illinois-licensed physicians or in accordance with Section 8 of this Act; or"; and on page 30, by replacing lines 10 through 16 with the following: "(g) Nothing contained in this Section prohibits the payment of rent or other remunerations paid to anindividual, partnership, or corporation by a licensee for the lease, rental, or use of space, owned or controlled by the individual, partnership, corporation, or association. (h) Nothing contained in this Section prohibits the payment, at no more than fair market value, to anindividual, partnership, or corporation by a licensee for the use of staff, administrative services, franchiseagreements, marketing required by franchise agreements, or equipment owned or controlled by theindividual, partnership, or corporation, or the receipt thereof by a licensee.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 496 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 563

A bill for AN ACT concerning professional regulation.

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61 [May 20, 2009]

Together with the attached amendment thereto (which amendment has been printed by the Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit:

Senate Amendment No. 1 to HOUSE BILL NO. 563 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 563 on page 3, line 22, after "service.", by inserting the following: "(f) The Secretary of the Department may suspend a regional testing service under subsection (e) of thisSection if, after proper notice and hearing, it is established that (i) the integrity of the examination has been breached so as to make future test results unreliable or (ii) the test is fundamentally deficient in testingclinical competency."; and on page 5, line 21, after "service.", by inserting the following: "The Secretary of the Department may suspend a regional testing service under this item (6) if, after propernotice and hearing, it is established that (i) the integrity of the examination has been breached so as to makefuture test results unreliable or (ii) the examination is fundamentally deficient in testing clinical competency.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 563 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 574

A bill for AN ACT concerning education. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 574 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 574 by replacing everything after the enacting clausewith the following: "Section 1. Short title. This Act may be cited as the Public Interest Attorney Assistance Act. Section 5. Legislative findings. The General Assembly finds the following: (1) Equal access to justice is a basic right that is fundamental to democracy in this

State, and the integrity of this State and this State's justice system depends on protecting and enforcingthe rights of all people and quality enforcement of the laws of this State.

(2) Equal access to justice and quality enforcement of State laws are integral parts of the general public welfare. (3) Vulnerable and disadvantaged citizens of this State are unable to protect or enforce their rights without legal assistance from public interest attorneys. (4) Graduating law students and practicing attorneys are increasingly unable to continue in public interest attorney positions because of high student loan debt. (5) Assisting public interest attorneys with loan forgiveness is a major step toward

ensuring quality legal representation for this State's most vulnerable citizens and quality enforcement ofState law.

(6) The collection and distribution of funds under this Act promotes justice and is in the public interest. (7) The use of funds for the purposes prescribed by this Act are in the public interest and consistent with providing equal access to justice and quality enforcement of State law. Section 10. Purpose. The purpose of this Act is to encourage qualified individuals to enter into and

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[May 20, 2009] 62 continue in employment in this State as assistant State's Attorneys, assistant Public Defenders, civil legal aid attorneys, assistant Attorneys General, assistant public guardians, IGAC attorneys, and legislativeattorneys in a manner that protects the rights of this State's most vulnerable citizens or promotes the qualityenforcement of State law. Section 15. Definitions. For the purposes of this Act: "Assistant State's Attorney" means a full-time employee of a State's Attorney in Illinois or the State'sAttorneys Appellate Prosecutor who is continually licensed to practice law and prosecutes or defends cases on behalf of the State or a county. "Assistant Attorney General" means a full-time employee of the Illinois Attorney General who is continually licensed to practice law and prosecutes or defends cases on behalf of the State. "Assistant Public Defender" means a full-time employee of a Public Defender in Illinois or the StateAppellate Defender who is continually licensed to practice law and provides legal representation toindigent persons, as provided by statute. "Assistant public guardian" means a full-time employee of a public guardian in Illinois who is continually licensed to practice law and provides legal representation pursuant to court appointment. "Civil legal aid" means free or reduced-cost legal representation or advice to low-income clients in non-criminal matters. "Civil legal aid attorney" means an attorney who is continually licensed to practice law and is employedfull time as an attorney at a civil legal aid organization in Illinois. "Civil legal aid organization" means a not-for-profit corporation in Illinois that (i) is exempt from the payment of federal income tax pursuant to Section 501(c)(3) of the Internal Revenue Code, (ii) isestablished for the purpose of providing legal services that include civil legal aid, (iii) employs 2 or more full-time attorneys who are licensed to practice law in this State and who directly provide civil legal aid,and (iv) is in compliance with registration and filing requirements that are applicable under the Charitable Trust Act and the Solicitation for Charity Act. "Commission" means the Illinois Student Assistance Commission. "Committee" means the advisory committee created under Section 20 of this Act. "Eligible debt" means outstanding principal, interest, and related fees from loans obtained forundergraduate, graduate, or law school educational expenses made by government or commercial lendinginstitutions or educational institutions. "Eligible debt" excludes loans made by a private individual or family member. "IGAC attorney" means a full-time employee of the Illinois Guardianship and Advocacy Commission,including the Office of State Guardian, the Legal Advocacy Service, and the Human Rights Authority, whois continually licensed to practice law and provides legal representation to carry out the responsibilities ofthe Illinois Guardianship and Advocacy Commission. "Legislative attorney" means a full-time employee of the Illinois Senate, the Illinois House ofRepresentatives, or the Illinois Legislative Reference Bureau who is continually licensed to practice lawand provides legal advice to members of the General Assembly. "Program" means the Public Interest Attorney Loan Repayment Assistance Program. "Public interest attorney" means an attorney practicing in Illinois who is an assistant State's Attorney,assistant Public Defender, civil legal aid attorney, assistant Attorney General, assistant public guardian,IGAC attorney, or legislative attorney. "Qualifying employer" means (i) an Illinois State's Attorney or the State's Attorneys AppellateProsecutor, (ii) an Illinois Public Defender or the State Appellate Defender, (iii) an Illinois civil legal aidorganization, (iv) the Illinois Attorney General, (v) an Illinois public guardian, (vi) the Illinois Guardianship and Advocacy Commission, (vii) the Illinois Senate, (viii) the Illinois House ofRepresentatives, or (ix) the Illinois Legislative Reference Bureau. Section 20. Public Interest Attorney Loan Repayment Assistance Program. (a) The Commission shall establish and administer the Program for the primary purpose of providingloan repayment assistance to practicing attorneys to encourage them to pursue careers as public interestattorneys to protect the rights of this State's most vulnerable citizens or provide quality enforcement ofState law. The Commission shall create an advisory committee composed of representatives fromorganizations with relevant expertise, including one person from each of the following entities: (1) The Illinois State's Attorneys Association. (2) An office of an Illinois Public Defender. (3) An office of an Illinois public guardian. (4) The Office of the Illinois Attorney General.

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63 [May 20, 2009] (5) An Illinois metropolitan bar association. (6) An Illinois statewide bar association. (7) A public law school in this State. (b) The Public Interest Attorney Loan Repayment Assistance Fund is created as a special fund in theState treasury. The Fund shall consist of all moneys remitted to the Commission under the terms of thisAct. All money in the Fund shall be used, subject to appropriation, by the Commission for the purposes ofthis Act. (c) Subject to the availability of appropriations and subsections (d) and (e) of this Section, the Commission shall distribute funds to eligible applicants. (d) The Commission is authorized to prescribe all rules, policies, and procedures necessary or convenientfor the administration of the Program and all terms and conditions applicable to payments made under thisAct. This shall be done with the guidance and assistance of the Committee. (e) The Commission shall administer the Program, including, but not limited to, establishing andimplementing the following: (1) An application process. Subject to the availability of appropriations, the

Commission shall, each year, consider applications by eligible public interest attorneys for loanrepayment assistance under the Program.

(2) Eligibility requirements. The Commission shall, on an annual basis, receive and

consider applications for loan repayment assistance under the Program if the Commission finds that theapplicant:

(i) is a citizen or permanent resident of the United States; (ii) is a licensed member of the Illinois Bar in good standing; (iii) has eligible debt in grace or repayment status; and (iv) is employed as a public interest attorney with a qualifying employer in Illinois. (3) A maximum amount of loan repayment assistance for each participant, which shall be $6,000 per year, up to a maximum of $30,000 during the participant's career. (4) Prioritization. The Commission shall develop criteria for prioritization among

eligible applicants in the event that there are insufficient funds available to make payments to all eligibleapplicants under this Act. The prioritization criteria shall include the timeliness of the application, the applicant's salary level, the amount of the applicant's eligible debt, the availability of other loanrepayment assistance to the applicant, the applicant's length of service as a public interest attorney, andthe applicant's prior participation in the Program.

(f) The distribution of funds available after administrative costs must be made by the Commission to eligible public interest attorneys in the following manner: (1) Loan repayment assistance must be in the form of a forgivable loan. (2) To have the loan forgiven, the participant shall (i) complete a year of

employment with a qualifying employer and (ii) make educational debt payments (interest or principal orboth) that equal at least the amount of assistance received under the Program during the assistance year.

(3) Each loan must be documented by means of a promissory note executed by the

borrower in a form provided by the Commission and shall be forgiven when an eligible participant meets the requirements set forth by the Commission.

Section 25. Ineligibility and termination of funds; procedures. (a) If a participant becomes ineligible during the term of a loan, he or she must repay the outstandingamount of any loan received from the Commission. (b) The Commission may in its discretion forgive the loan of a participant in whole or in part in certaincircumstances as set forth in its written policies and guidelines. Section 30. Other powers. The Commission may make, enter into, and execute contracts, agreements,leases, and other instruments with any person, including without limitation any federal, State, or localgovernmental agency, and may take other actions that may be necessary or convenient to accomplish any purpose authorized by this Act. Section 90. The State Finance Act is amended by adding Section 5.719 as follows: (30 ILCS 105/5.719 new) Sec. 5.719. The Public Interest Attorney Loan Repayment Assistance Fund.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 574 was placed on the Calendar on the order of Concurrence.

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[May 20, 2009] 64

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 628

A bill for AN ACT concerning education. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 628 Passed the Senate, as amended, May 19, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 628 by replacing everything after the enacting clause with the following: "Section 5. The School Code is amended by changing Section 14-8.02 as follows: (105 ILCS 5/14-8.02) (from Ch. 122, par. 14-8.02) Sec. 14-8.02. Identification, Evaluation and Placement of Children. (a) The State Board of Education shall make rules under which local school boards shall determine theeligibility of children to receive special education. Such rules shall ensure that a free appropriate publiceducation be available to all children with disabilities as defined in Section 14-1.02. The State Board of Education shall require local school districts to administer non-discriminatory procedures or tests to limited English proficiency students coming from homes in which a language other than English is used to determine their eligibility to receive special education. The placement of low English proficiency studentsin special education programs and facilities shall be made in accordance with the test results reflecting thestudent's linguistic, cultural and special education needs. For purposes of determining the eligibility ofchildren the State Board of Education shall include in the rules definitions of "case study", "staffconference", "individualized educational program", and "qualified specialist" appropriate to each category of children with disabilities as defined in this Article. For purposes of determining the eligibility of childrenfrom homes in which a language other than English is used, the State Board of Education shall include inthe rules definitions for "qualified bilingual specialists" and "linguistically and culturally appropriateindividualized educational programs". For purposes of this Section, as well as Sections 14-8.02a, 14-8.02b, and 14-8.02c of this Code, "parent" means a parent as defined in the federal Individuals with Disabilities Education Act (20 U.S.C. 1401(23)). (b) No child shall be eligible for special education facilities except with a carefully completed case studyfully reviewed by professional personnel in a multidisciplinary staff conference and only upon the recommendation of qualified specialists or a qualified bilingual specialist, if available. At the conclusion ofthe multidisciplinary staff conference, the parent of the child shall be given a copy of the multidisciplinary conference summary report and recommendations, which includes options considered, and be informed oftheir right to obtain an independent educational evaluation if they disagree with the evaluation findingsconducted or obtained by the school district. If the school district's evaluation is shown to be inappropriate,the school district shall reimburse the parent for the cost of the independent evaluation. The State Board ofEducation shall, with advice from the State Advisory Council on Education of Children with Disabilities on the inclusion of specific independent educational evaluators, prepare a list of suggested independenteducational evaluators. The State Board of Education shall include on the list clinical psychologistslicensed pursuant to the Clinical Psychologist Licensing Act. Such psychologists shall not be paid fees inexcess of the amount that would be received by a school psychologist for performing the same services.The State Board of Education shall supply school districts with such list and make the list available to parents at their request. School districts shall make the list available to parents at the time they are informedof their right to obtain an independent educational evaluation. However, the school district may initiate an impartial due process hearing under this Section within 5 days of any written parent request for anindependent educational evaluation to show that its evaluation is appropriate. If the final decision is that theevaluation is appropriate, the parent still has a right to an independent educational evaluation, but not atpublic expense. An independent educational evaluation at public expense must be completed within 30

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65 [May 20, 2009] days of a parent written request unless the school district initiates an impartial due process hearing or the parent or school district offers reasonable grounds to show that such 30 day time period should beextended. If the due process hearing decision indicates that the parent is entitled to an independenteducational evaluation, it must be completed within 30 days of the decision unless the parent or the schooldistrict offers reasonable grounds to show that such 30 day period should be extended. If a parent disagreeswith the summary report or recommendations of the multidisciplinary conference or the findings of any educational evaluation which results therefrom, the school district shall not proceed with a placement basedupon such evaluation and the child shall remain in his or her regular classroom setting. No child shall be eligible for admission to a special class for the educable mentally disabled or for the trainable mentallydisabled except with a psychological evaluation and recommendation by a school psychologist. Consentshall be obtained from the parent of a child before any evaluation is conducted. If consent is not given bythe parent or if the parent disagrees with the findings of the evaluation, then the school district may initiatean impartial due process hearing under this Section. The school district may evaluate the child if that is the decision resulting from the impartial due process hearing and the decision is not appealed or if the decisionis affirmed on appeal. The determination of eligibility shall be made and the IEP meeting shall becompleted within 60 school days from the date of written parental consent. In those instances when writtenparental consent is obtained with fewer than 60 pupil attendance days left in the school year, the eligibilitydetermination shall be made and the IEP meeting shall be completed prior to the first day of the following school year. After a child has been determined to be eligible for a special education class, such child mustbe placed in the appropriate program pursuant to the individualized educational program by or no later than the beginning of the next school semester. The appropriate program pursuant to the individualizededucational program of students whose native tongue is a language other than English shall reflect thespecial education, cultural and linguistic needs. No later than September 1, 1993, the State Board ofEducation shall establish standards for the development, implementation and monitoring of appropriatebilingual special individualized educational programs. The State Board of Education shall further incorporate appropriate monitoring procedures to verify implementation of these standards. The districtshall indicate to the parent and the State Board of Education the nature of the services the child will receivefor the regular school term while waiting placement in the appropriate special education class. If the child is deaf, hard of hearing, blind, or visually impaired and he or she might be eligible to receiveservices from the Illinois School for the Deaf or the Illinois School for the Visually Impaired, the school district shall notify the parents, in writing, of the existence of these schools and the services they provideand shall make a reasonable effort to inform the parents of the existence of other, local schools that providesimilar services and the services that these other schools provide. This notification shall include withoutlimitation information on school services, school admissions criteria, and school contact information. In the development of the individualized education program for a student who has a disability on theautism spectrum (which includes autistic disorder, Asperger's disorder, pervasive developmental disordernot otherwise specified, childhood disintegrative disorder, and Rett Syndrome, as defined in the Diagnostic and Statistical Manual of Mental Disorders, fourth edition (DSM-IV, 2000)), the IEP team shall consider all of the following factors: (1) The verbal and nonverbal communication needs of the child. (2) The need to develop social interaction skills and proficiencies. (3) The needs resulting from the child's unusual responses to sensory experiences. (4) The needs resulting from resistance to environmental change or change in daily routines. (5) The needs resulting from engagement in repetitive activities and stereotyped movements. (6) The need for any positive behavioral interventions, strategies, and supports to address any behavioral difficulties resulting from autism spectrum disorder. (7) Other needs resulting from the child's disability that impact progress in the general curriculum, including social and emotional development. Public Act 95-257 does not create any new entitlement to a service, program, or benefit, but must not affect any entitlement to a service, program, or benefit created by any other law. If the student may be eligible to participate in the Home-Based Support Services Program for Mentally Disabled Adults authorized under the Developmental Disability and Mental Disability Services Act uponbecoming an adult, the student's individualized education program shall include plans for (i) determiningthe student's eligibility for those home-based services, (ii) enrolling the student in the program of home-based services, and (iii) developing a plan for the student's most effective use of the home-based

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[May 20, 2009] 66 services after the student becomes an adult and no longer receives special educational services under thisArticle. The plans developed under this paragraph shall include specific actions to be taken by specifiedindividuals, agencies, or officials. (c) In the development of the individualized education program for a student who is functionally blind, itshall be presumed that proficiency in Braille reading and writing is essential for the student's satisfactoryeducational progress. For purposes of this subsection, the State Board of Education shall determine thecriteria for a student to be classified as functionally blind. Students who are not currently identified as functionally blind who are also entitled to Braille instruction include: (i) those whose vision loss is sosevere that they are unable to read and write at a level comparable to their peers solely through the use of vision, and (ii) those who show evidence of progressive vision loss that may result in functional blindness.Each student who is functionally blind shall be entitled to Braille reading and writing instruction that issufficient to enable the student to communicate with the same level of proficiency as other students ofcomparable ability. Instruction should be provided to the extent that the student is physically andcognitively able to use Braille. Braille instruction may be used in combination with other special education services appropriate to the student's educational needs. The assessment of each student who is functionallyblind for the purpose of developing the student's individualized education program shall includedocumentation of the student's strengths and weaknesses in Braille skills. Each person assisting in thedevelopment of the individualized education program for a student who is functionally blind shall receiveinformation describing the benefits of Braille instruction. The individualized education program for each student who is functionally blind shall specify the appropriate learning medium or media based on theassessment report. (d) To the maximum extent appropriate, the placement shall provide the child with the opportunity to be educated with children who are not disabled; provided that children with disabilities who are recommendedto be placed into regular education classrooms are provided with supplementary services to assist thechildren with disabilities to benefit from the regular classroom instruction and are included on the teacher'sregular education class register. Subject to the limitation of the preceding sentence, placement in specialclasses, separate schools or other removal of the disabled child from the regular educational environment shall occur only when the nature of the severity of the disability is such that education in the regular classeswith the use of supplementary aids and services cannot be achieved satisfactorily. The placement of limitedEnglish proficiency students with disabilities shall be in non-restrictive environments which provide for integration with non-disabled peers in bilingual classrooms. Annually, each January, school districts shallreport data on students from non-English speaking backgrounds receiving special education and related services in public and private facilities as prescribed in Section 2-3.30. If there is a disagreement between parties involved regarding the special education placement of any child, either in-state or out-of-state, the placement is subject to impartial due process procedures described in Article 10 of the Rules andRegulations to Govern the Administration and Operation of Special Education. (e) No child who comes from a home in which a language other than English is the principal language used may be assigned to any class or program under this Article until he has been given, in the principallanguage used by the child and used in his home, tests reasonably related to his cultural environment. All testing and evaluation materials and procedures utilized for evaluation and placement shall not belinguistically, racially or culturally discriminatory. (f) Nothing in this Article shall be construed to require any child to undergo any physical examination or medical treatment whose parents object thereto on the grounds that such examination or treatment conflictswith his religious beliefs. (g) School boards or their designee shall provide to the parents of a child prior written notice of anydecision (a) proposing to initiate or change, or (b) refusing to initiate or change, the identification,evaluation, or educational placement of the child or the provision of a free appropriate public education totheir child, and the reasons therefor. Such written notification shall also inform the parent of theopportunity to present complaints with respect to any matter relating to the educational placement of thestudent, or the provision of a free appropriate public education and to have an impartial due process hearing on the complaint. The notice shall inform the parents in the parents' native language, unless it is clearly notfeasible to do so, of their rights and all procedures available pursuant to this Act and the federal Individualswith Disabilities Education Improvement Act of 2004 (Public Law 108-446); it shall be the responsibility of the State Superintendent to develop uniform notices setting forth the procedures available under this Actand the federal Individuals with Disabilities Education Improvement Act of 2004 (Public Law 108-446) to be used by all school boards. The notice shall also inform the parents of the availability upon request of alist of free or low-cost legal and other relevant services available locally to assist parents in initiating an

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67 [May 20, 2009] impartial due process hearing. Any parent who is deaf, or does not normally communicate using spokenEnglish, who participates in a meeting with a representative of a local educational agency for the purposesof developing an individualized educational program shall be entitled to the services of an interpreter. (g-5) For purposes of this subsection (g-5), "qualified professional" means an individual who holdscredentials to evaluate the child in the domain or domains for which an evaluation is sought or an intern working under the direct supervision of a qualified professional, including a master's or doctoral degreecandidate. To ensure that a parent can participate fully and effectively with school personnel in the development ofappropriate educational and related services for his or her child, the parent, an independent educationalevaluator, or a qualified professional retained by or on behalf of a parent or child must be affordedreasonable access to educational facilities, personnel, classrooms, and buildings and to the child as provided in this subsection (g-5). The requirements of this subsection (g-5) apply to any public school facility, building, or program and to any facility, building, or program supported in whole or in part by public funds. Prior to visiting a school, school building, or school facility, the parent, independenteducational evaluator, or qualified professional may be required by the school district to inform thebuilding principal or supervisor in writing of the proposed visit, the purpose of the visit, and the approximate duration of the visit. The visitor and the school district shall arrange the visit or visits at timesthat are mutually agreeable. Visitors shall comply with school safety, security, and visitation policies at all times. School district visitation policies must not conflict with this subsection (g-5). Visitors shall be required to comply with the requirements of applicable privacy laws, including those laws protecting theconfidentiality of education records such as the federal Family Educational Rights and Privacy Act and theIllinois School Student Records Act. The visitor shall not disrupt the educational process. (1) A parent must be afforded reasonable access of sufficient duration and scope for the purpose of observing his or her child in the child's current educational placement, services, or program or for thepurpose of visiting an educational placement or program proposed for the child. (2) An independent educational evaluator or a qualified professional retained by or on behalf of aparent or child must be afforded reasonable access of sufficient duration and scope for the purpose ofconducting an evaluation of the child, the child's performance, the child's current educational program, placement, services, or environment, or any educational program, placement, services, or environmentproposed for the child, including interviews of educational personnel, child observations, assessments, testsor assessments of the child's educational program, services, or placement or of any proposed educationalprogram, services, or placement. If one or more interviews of school personnel are part of the evaluation,the interviews must be conducted at a mutually agreed upon time, date, and place that do not interfere with the school employee's school duties. The school district may limit interviews to personnel havinginformation relevant to the child's current educational services, program, or placement or to a proposededucational service, program, or placement. (h) (Blank). (i) (Blank). (j) (Blank). (k) (Blank). (l) (Blank). (m) (Blank). (n) (Blank). (o) (Blank). (Source: P.A. 94-376, eff. 7-29-05; 94-1100, eff. 2-2-07; 95-257, eff. 1-1-08; 95-876, eff. 8-21-08.) Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 628 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 719

A bill for AN ACT concerning local government.

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[May 20, 2009] 68

HOUSE BILL NO. 721 A bill for AN ACT concerning civil law.

HOUSE BILL NO. 725 A bill for AN ACT concerning education.

HOUSE BILL NO. 737 A bill for AN ACT concerning education.

HOUSE BILL NO. 743 A bill for AN ACT concerning local government.

HOUSE BILL NO. 748 A bill for AN ACT concerning regulation.

HOUSE BILL NO. 760 A bill for AN ACT concerning government.

HOUSE BILL NO. 791 A bill for AN ACT concerning local government.

HOUSE BILL NO. 804 A bill for AN ACT concerning State government.

HOUSE BILL NO. 805 A bill for AN ACT concerning public health.

HOUSE BILL NO. 808 A bill for AN ACT concerning finance.

HOUSE BILL NO. 813 A bill for AN ACT concerning aging.

HOUSE BILL NO. 820 A bill for AN ACT concerning State government.

HOUSE BILL NO. 838 A bill for AN ACT concerning regulation.

HOUSE BILL NO. 862 A bill for AN ACT concerning education.

HOUSE BILL NO. 866 A bill for AN ACT concerning labor.

HOUSE BILL NO. 869 A bill for AN ACT concerning criminal law.

HOUSE BILL NO. 872 A bill for AN ACT concerning fish.

HOUSE BILL NO. 900 A bill for AN ACT concerning schools.

HOUSE BILL NO. 942 A bill for AN ACT concerning environmental safety.

HOUSE BILL NO. 973 A bill for AN ACT concerning education.

HOUSE BILL NO. 986 A bill for AN ACT concerning finance.

HOUSE BILL NO. 999 A bill for AN ACT concerning education.

HOUSE BILL NO. 1002 A bill for AN ACT concerning finance.

HOUSE BILL NO. 1013 A bill for AN ACT concerning State buildings.

HOUSE BILL NO. 1086 A bill for AN ACT concerning local government.

HOUSE BILL NO. 1112 A bill for AN ACT concerning State government.

HOUSE BILL NO. 1122 A bill for AN ACT concerning State government.

HOUSE BILL NO. 1131 A bill for AN ACT concerning elections.

HOUSE BILL NO. 1132

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69 [May 20, 2009]

A bill for AN ACT concerning families and children. HOUSE BILL NO. 1292

A bill for AN ACT concerning State government. HOUSE BILL NO. 1294

A bill for AN ACT concerning professional regulation. HOUSE BILL NO. 1307

A bill for AN ACT concerning State government. HOUSE BILL NO. 1332

A bill for AN ACT concerning civil law. HOUSE BILL NO. 1793

A bill for AN ACT concerning liquor. HOUSE BILL NO. 2244

A bill for AN ACT concerning public health. HOUSE BILL NO. 2251

A bill for AN ACT concerning waterways. HOUSE BILL NO. 2275

A bill for AN ACT concerning insurance. HOUSE BILL NO. 2284

A bill for AN ACT concerning warehouses. HOUSE BILL NO. 2285

A bill for AN ACT concerning regulation. HOUSE BILL NO. 2294

A bill for AN ACT concerning wildlife. HOUSE BILL NO. 2295

A bill for AN ACT concerning government. HOUSE BILL NO. 2318

A bill for AN ACT concerning regulation. HOUSE BILL NO. 2337

A bill for AN ACT concerning state government. HOUSE BILL NO. 2362

A bill for AN ACT concerning education. HOUSE BILL NO. 2370

A bill for AN ACT concerning property. HOUSE BILL NO. 2395

A bill for AN ACT concerning professional regulation. HOUSE BILL NO. 2396

A bill for AN ACT concerning regulation. HOUSE BILL NO. 2429

A bill for AN ACT concerning health. HOUSE BILL NO. 2439

A bill for AN ACT concerning safety. HOUSE BILL NO. 2442

A bill for AN ACT concerning agriculture. HOUSE BILL NO. 2451

A bill for AN ACT concerning local government. HOUSE BILL NO. 2481

A bill for AN ACT concerning State government, which may be referred to as Lilly's Law. HOUSE BILL NO. 2505

A bill for AN ACT concerning State government. HOUSE BILL NO. 2506

A bill for AN ACT concerning government. Passed by the Senate, May 19, 2009.

Jillayne Rock, Secretary of the Senate

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[May 20, 2009] 70

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 39

A bill for AN ACT concerning public aid. HOUSE BILL NO. 49

A bill for AN ACT concerning finance. HOUSE BILL NO. 61

A bill for AN ACT concerning local government. HOUSE BILL NO. 68

A bill for AN ACT concerning regulation. HOUSE BILL NO. 70

A bill for AN ACT concerning insurance. HOUSE BILL NO. 77

A bill for AN ACT concerning government. HOUSE BILL NO. 163

A bill for AN ACT concerning employment. HOUSE BILL NO. 184

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 185

A bill for AN ACT concerning health. HOUSE BILL NO. 192

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 208

A bill for AN ACT concerning public health. HOUSE BILL NO. 211

A bill for AN ACT concerning libraries. HOUSE BILL NO. 238

A bill for AN ACT concerning revenue. HOUSE BILL NO. 253

A bill for AN ACT concerning transportation. HOUSE BILL NO. 265

A bill for AN ACT concerning civil law. HOUSE BILL NO. 281

A bill for AN ACT concerning education. HOUSE BILL NO. 282

A bill for AN ACT concerning police. HOUSE BILL NO. 301

A bill for AN ACT concerning local government. HOUSE BILL NO. 325

A bill for AN ACT concerning education. HOUSE BILL NO. 380

A bill for AN ACT concerning education. HOUSE BILL NO. 396

A bill for AN ACT concerning employment. HOUSE BILL NO. 399

A bill for AN ACT concerning public aid. HOUSE BILL NO. 416

A bill for AN ACT concerning public aid. HOUSE BILL NO. 457

A bill for AN ACT concerning transportation. HOUSE BILL NO. 461

A bill for AN ACT concerning education. HOUSE BILL NO. 493

A bill for AN ACT concerning revenue. HOUSE BILL NO. 516

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71 [May 20, 2009]

A bill for AN ACT concerning regulation. HOUSE BILL NO. 546

A bill for AN ACT concerning regulation. HOUSE BILL NO. 548

A bill for AN ACT concerning education. HOUSE BILL NO. 550

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 594

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 604

A bill for AN ACT concerning tobacco. HOUSE BILL NO. 605

A bill for AN ACT concerning education. HOUSE BILL NO. 610

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 615

A bill for AN ACT concerning professional regulation. HOUSE BILL NO. 641

A bill for AN ACT concerning transportation. HOUSE BILL NO. 655

A bill for AN ACT concerning State government. HOUSE BILL NO. 658

A bill for AN ACT concerning safety. HOUSE BILL NO. 696

A bill for AN ACT concerning business. HOUSE BILL NO. 710

A bill for AN ACT concerning State government. Passed by the Senate, May 19, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 241

A bill for AN ACT concerning local government. HOUSE BILL NO. 242

A bill for AN ACT concerning revenue. HOUSE BILL NO. 267

A bill for AN ACT concerning elections. HOUSE BILL NO. 276

A bill for AN ACT concerning government. HOUSE BILL NO. 460

A bill for AN ACT concerning finance. HOUSE BILL NO. 475

A bill for AN ACT concerning education. HOUSE BILL NO. 497

A bill for AN ACT concerning health. HOUSE BILL NO. 557

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 584

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 587

A bill for AN ACT concerning local government.

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[May 20, 2009] 72

HOUSE BILL NO. 645 A bill for AN ACT concerning education.

HOUSE BILL NO. 666 A bill for AN ACT concerning local government.

HOUSE BILL NO. 669 A bill for AN ACT concerning transportation.

HOUSE BILL NO. 745 A bill for AN ACT concerning public aid.

HOUSE BILL NO. 789 A bill for AN ACT concerning safety. Passed by the Senate, May 19, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 2533

A bill for AN ACT concerning warehouses. HOUSE BILL NO. 2536

A bill for AN ACT concerning former prisoners of war. HOUSE BILL NO. 2546

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 2548

A bill for AN ACT concerning professional regulation. HOUSE BILL NO. 2593

A bill for AN ACT concerning State government. HOUSE BILL NO. 2644

A bill for AN ACT concerning government. HOUSE BILL NO. 2661

A bill for AN ACT concerning education. HOUSE BILL NO. 2669

A bill for AN ACT concerning emergency services. HOUSE BILL NO. 2674

A bill for AN ACT concerning education. HOUSE BILL NO. 2680

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 2750

A bill for AN ACT concerning transportation. HOUSE BILL NO. 2845

A bill for AN ACT concerning civil law. HOUSE BILL NO. 2871

A bill for AN ACT concerning education. HOUSE BILL NO. 3635

A bill for AN ACT concerning revenue. HOUSE BILL NO. 3647

A bill for AN ACT concerning State government. HOUSE BILL NO. 3663

A bill for AN ACT concerning government. HOUSE BILL NO. 3670

A bill for AN ACT concerning finance. HOUSE BILL NO. 3721

A bill for AN ACT concerning transportation. HOUSE BILL NO. 3730

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73 [May 20, 2009]

A bill for AN ACT concerning transportation. HOUSE BILL NO. 3731

A bill for AN ACT concerning education. HOUSE BILL NO. 3787

A bill for AN ACT concerning transportation. HOUSE BILL NO. 3828

A bill for AN ACT concerning conservation. HOUSE BILL NO. 3843

A bill for AN ACT concerning civil law. HOUSE BILL NO. 3844

A bill for AN ACT concerning State government. HOUSE BILL NO. 3877

A bill for AN ACT concerning local government. HOUSE BILL NO. 3885

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 3925

A bill for AN ACT concerning children. HOUSE BILL NO. 3967

A bill for AN ACT concerning aging. HOUSE BILL NO. 3995

A bill for AN ACT concerning professional regulation. HOUSE BILL NO. 3999

A bill for AN ACT concerning education. HOUSE BILL NO. 4008

A bill for AN ACT concerning children. HOUSE BILL NO. 4035

A bill for AN ACT concerning finance. HOUSE BILL NO. 4038

A bill for AN ACT concerning education. HOUSE BILL NO. 4049

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 4117

A bill for AN ACT concerning education. HOUSE BILL NO. 4153

A bill for AN ACT concerning highways. HOUSE BILL NO. 4177

A bill for AN ACT concerning criminal law. HOUSE BILL NO. 4197

A bill for AN ACT concerning veterans. HOUSE BILL NO. 4199

A bill for AN ACT concerning government. HOUSE BILL NO. 4242

A bill for AN ACT concerning finance. HOUSE BILL NO. 4327

A bill for AN ACT concerning transportation. Passed by the Senate, May 19, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 336

A bill for AN ACT concerning education.

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[May 20, 2009] 74

HOUSE BILL NO. 361 A bill for AN ACT concerning courts.

HOUSE BILL NO. 366 A bill for AN ACT concerning aging. Passed by the Senate, May 19, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 881

A bill for AN ACT concerning transportation. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 881 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 881 on page 10, line 15, after the period, by inserting"However, the court may waive the fee if full restitution is complied with."; and on page 17, line 9, after the period, by inserting "However, the court may waive the fee if full restitution is complied with."; and on page 18, line 4, after the period, by inserting "However, the court may waive the fee if full restitution is complied with.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 881 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 926

A bill for AN ACT concerning local government. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 926 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 926 by replacing everything after the enacting clause with the following: "Section 5. The Counties Code is amended by changing Section 5-1115 as follows: (55 ILCS 5/5-1115) (from Ch. 34, par. 5-1115) Sec. 5-1115. Retail food Food service establishments. (a) The county board of any county having a population of 2,000,000 1,000,000 or more inhabitants may license and regulate and impose license fees on all retail food service establishments in the county except those retail food service establishments which are located within any city, village or incorporated town insuch county not including, however, establishments where food is sold only as merchandise and notprepared to be consumed on the premises.

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75 [May 20, 2009] (b) The county board of any county having a population of less than 2,000,000 1,000,000 inhabitants and having a health department created under Division 5-25 may license and regulate and impose license fees on all retail food service establishments within both the incorporated and unincorporated areas of the county which fall within the jurisdiction of that health department as set forth in Section 5-25008. (c) The license fees which may be imposed under this Section must be reasonably related to the cost ofinspecting and regulating the retail food service establishments. License fees for food establishments operated by a unit of local government, school district, or not-for-profit organization may be waived by ordinance of the county board. (d) A county and a municipality may enter into an intergovernmental agreement that provides for the county's certified local health department to perform any or all inspection functions for the municipality.The municipality must pay the county's reasonable costs. An intergovernmental agreement shall notpreclude a municipality from continuing to license retail food establishments within its jurisdiction. (e) For the purpose of this Section, "retail food establishment" includes a food service establishment, atemporary food service establishment, and a retail food store as defined in the Food Service Sanitation Code, 77 Ill. Adm. Code Part 750, and the Retail Food Store Sanitation Code, 77 Ill. Adm. Code Part 760. (Source: P.A. 86-962; 86-1028.) Section 10. The Illinois Municipal Code is amended by adding Section 11-20-15 as follows: (65 ILCS 5/11-20-15 new) Sec. 11-20-15. Retail food establishments. (a) A municipality in a county having a population of 2,000,000 or more inhabitants must regulate andinspect retail food establishments in the municipality. A municipality must regulate and inspect retail foodestablishments in accordance with applicable federal and State laws pertaining to the operation of retailfood establishments including but not limited to the Illinois Food Handling Regulation Enforcement Act, the Illinois Food, Drug and Cosmetic Act, the Sanitary Food Preparation Act, the regulations of the IllinoisDepartment of Public Health, and local ordinances and regulations. This subsection shall not apply to amunicipality that is served by a certified local health department other than a county certified local healthdepartment. A home rule unit may not regulate retail food establishments in a less restrictive manner than as providedin this Section. This Section is a limitation of home rules powers under subsection (i) of Section 6 ofArticle VII of the Illinois Constitution on the concurrent exercise by home rule units of the powers andfunctions exercised by the State. (b) A municipality may enter into an intergovernmental agreement with a county that provides for the county's certified local health department to perform any or all inspection functions for the municipality.The municipality must pay the county's reasonable costs. An intergovernmental agreement shall not preclude a municipality from continuing to license retail food establishments within its jurisdiction. (c) For the purpose of this Section, "retail food establishment" includes a food service establishment, atemporary food service establishment, and a retail food store as defined in the Food Service SanitationCode, 77 Ill. Adm. Code Part 750, and the Retail Food Store Sanitation Code, 77 Ill. Adm. Code Part 760. Section 90. The State Mandates Act is amended by adding Section 8.33 as follows: (30 ILCS 805/8.33 new) Sec. 8.33. Exempt mandate. Notwithstanding Sections 6 and 8 of this Act, no reimbursement by the Stateis required for the implementation of any mandate created by this amendatory Act of the 96th GeneralAssembly.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 926 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 921

A bill for AN ACT concerning regulation. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 921

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[May 20, 2009] 76

Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate AMENDMENT NO. 1 . Amend House Bill 921 on page 3, by replacing lines 6 through 8 with the following: "implement a written emergency medical plan, which shall include staff responsibilities and office protocolfor emergency procedures.".

The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 921 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 1142

A bill for AN ACT concerning business. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 1142 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 1142 by replacing everything after the enacting clausewith the following: "Section 1. Short title. This Act may be cited as the Modular Housing Buyer Protection Act. Section 5. Definitions. As used in this Act: "Consumer" means an individual who purchases a new modular housing unit from the seller forprimarily personal, household, or family purposes. "Express warranty" has the meaning given to that term in the Uniform Commercial Code. "Modular home" means factory built housing regulated by the Illinois Department of Public Health thatconsists of a building assembly or system of building sub-assemblies, designed for habitation as a dwelling for one or more persons, including the necessary electrical, plumbing, heating, ventilating, and otherservice systems, which is of closed or open construction and which is made or assembled by amanufacturer, on or off the building site, for installation, or assembly and installation, on the building sitewith a permanent foundation. Section 10. State-approved modular housing units; state-approved seals; construction requirements. (a) The state-approved modular dwelling unit must comply with all applicable Illinois statutes pertainingto modular dwelling units. Failure to comply with any provisions of the prevailing statutes shall constitutesufficient grounds for suspension, revocation, or refusal to grant approval to a manufacturer or an authorized inspection agency. These actions shall be governed by the Department of Public Health's Rulesof Practice and Procedure in Administrative Hearings (77 Ill. Adm. Code 100). (b) An approved modular housing unit shall have a yellow seal on the electrical panel box of the home oron the inside of the kitchen sink cabinet. (c) Unlike manufactured homes, the local building official may require additional items other than theminimum State requirements to be incorporated into the construction. Section 15. Application of Act. This Act shall apply to modular housing sold after the effective date ofthis Act.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 1142 was placed on the Calendar on the order of Concurrence.

A message from the Senate by

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77 [May 20, 2009]

Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 1060

A bill for AN ACT concerning State government. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 1060 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 1060 on page 1, in line 5, by replacing "Section 2" with"Sections 2 and 4"; and on page 3, by inserting below line 25 the following: "(25 ILCS 170/4) (from Ch. 63, par. 174) Sec. 4. Persons not required to register. This Act is not intended and shall not be construed to apply tothe following: (a) Persons who, for the purpose of influencing executive, legislative or administrative action and whodo not make expenditures that are reportable pursuant to Section 6, appear without compensation orpromise thereof only as witnesses before committees of the House and Senate or before boards or commissions described in subsection (c)(3.5) of Section 2 for the purpose of explaining or arguing for or against the passage of or action upon any legislation then pending before such committees or upon any issue or matter over which such board or commission has jurisdiction, or who seek without compensation or promise thereof the approval or veto of any legislation by the Governor. (b) Persons who own, publish, or are employed by a newspaper or other regularly published periodical,or who own or are employed by a radio station, television station, or other bona fide news medium which inthe ordinary course of business disseminates news, editorial or other comment, or paid advertisementswhich directly urge the passage or defeat of legislation. This exemption shall not be applicable to such an individual insofar as he receives additional compensation or expenses from some source other than thebona fide news medium for the purpose of influencing executive, legislative or administrative action. Thisexemption does not apply to newspapers and periodicals owned by or published by trade associations andprofit corporations engaged primarily in endeavors other than dissemination of news. (c) Persons performing professional services in drafting bills or in advising and rendering opinions to clients as to the construction and effect of proposed or pending legislation where such professional servicesare not otherwise, directly or indirectly, connected with executive, legislative or administrative action. (d) Persons who are employees of departments, divisions, or agencies of State government, and whoappear before committees of the House and Senate for the purpose of explaining how the passage of oraction upon any legislation then pending before such committees will affect said departments, divisions or agencies of State government. (e) Employees of the General Assembly legislators, legislative agencies and legislative commissions. (f) Persons who possess technical skills and knowledge relevant to certain areas of executive, legislative or administrative actions, whose skills and knowledge would be helpful to officials when considering suchactions, whose activities are limited to making occasional appearances for or communicating on behalf of a registrant and who do not make expenditures that are reportable pursuant to Section 6 even thoughreceiving expense reimbursement for such occasional appearances. (g) Any full time employee of a bona-fide church or religious organization who represents that organization solely for the purpose of protecting the right of the members thereof to practice the religiousdoctrines of such church or religious organization. (h) Persons who receive no compensation other than reimbursement for expenses of up to $500 per year while engaged in lobbying State government, unless those persons make expenditures that are reportableunder Section 6. (i) Any attorney in the course of representing a client in any administrative or judicial proceeding, or any witness providing testimony in any administrative or judicial proceeding, in which ex partecommunications are not allowed and who does not make expenditures that are reportable pursuant toSection 6. (j) Persons who, in the scope of their employment as a vendor, offer or solicit an official for the purchase

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[May 20, 2009] 78 of any goods or services where (1) said solicitation is limited to either an oral inquiry or writtenadvertisements and informative literature; or (2) said goods and services are subject to competitive bidding requirements of the Illinois Purchasing Act; or (3) said goods and services are for sale at a cost not toexceed $5,000; and (4) such persons do not make expenditures that are reportable under Section 6. (Source: P.A. 88-187.)". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 1060 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 1057

A bill for AN ACT concerning criminal law. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 1057 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 1057 on page 5, by replacing lines 21 through 25 with the following: "an enforcement stop; or (ii) patrol vehicle emergency lights are activated or would otherwise be activatedif not for the need to conceal the presence of law enforcement.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 1057 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 976

A bill for AN ACT concerning regulation. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 976 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 976 on page 9, line 3, by replacing "licensure" with "a Certificate of Need permit"; and on page 9, line 18, by replacing "seek and maintain" with "seek and use its best efforts to maintain". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 976 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit:

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79 [May 20, 2009]

HOUSE BILL 944 A bill for AN ACT concerning education. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 944 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 944 by replacing everything after the enacting clausewith the following: "Section 5. The School Code is amended by changing Section 1A-8 as follows: (105 ILCS 5/1A-8) (from Ch. 122, par. 1A-8) Sec. 1A-8. Powers of the Board in Assisting Districts Deemed in Financial Difficulties. To promote thefinancial integrity of school districts, the State Board of Education shall be provided the necessary powersto promote sound financial management and continue operation of the public schools. The State Superintendent of Education may require a school district, including any district subject toArticle 34A of this Code, to share financial information relevant to a proper investigation of the district's financial condition and the delivery of appropriate State financial, technical, and consulting services to thedistrict if the district (i) has been designated, through the State Board of Education's School DistrictFinancial Profile System, as on financial warning or financial watch status, (ii) has failed to file an annualfinancial report, annual budget, deficit reduction plan, or other financial information as required by law, or(iii) has been identified, through the district's annual audit or other financial and management information,as in serious financial difficulty in the current or next school year. In addition to financial, technical, andconsulting services provided by the State Board of Education, at the request of a school district, the State Superintendent may provide for an independent financial consultant to assist the district review its financialcondition and options. The State Board of Education, after proper investigation of a district's financial condition, may certify that a district, including any district subject to Article 34A, is in financial difficulty when any of thefollowing conditions occur: (1) The district has issued school or teacher orders for wages as permitted in Sections 8-16, 32-7.2 and 34-76 of this Code; (2) The district has issued tax anticipation warrants or tax anticipation notes in

anticipation of a second year's taxes when warrants or notes in anticipation of current year taxes are still outstanding, as authorized by Sections 17-16, 34-23, 34-59 and 34-63 of this Code, or has issued short-term debt against 2 future revenue sources, such as, but not limited to, tax anticipation warrants andgeneral State Aid certificates or tax anticipation warrants and revenue anticipation notes;

(3) The district has for 2 consecutive years shown an excess of expenditures and other

financing uses over revenues and other financing sources and beginning fund balances on its annualfinancial report for the aggregate totals of the Educational, Operations and Maintenance, Transportation,and Working Cash Funds;

(4) The district refuses to provide financial information or cooperate with the State Superintendent in an investigation of the district's financial condition. No school district shall be certified by the State Board of Education to be in financial difficulty solely by reason of any of the above circumstances arising as a result of (i) the failure of the county to make any distribution of property tax money due the district at the time such distribution is due or (ii) the failure of this State to make timely payments of general State aid or any of the mandated categoricals; or if the district clearly demonstrates to the satisfaction of the State Board of Education at the time of itsdetermination that such condition no longer exists. If the State Board of Education certifies that a district ina city with 500,000 inhabitants or more is in financial difficulty, the State Board shall so notify the Governor and the Mayor of the city in which the district is located. The State Board of Education mayrequire school districts certified in financial difficulty, except those districts subject to Article 34A, todevelop, adopt and submit a financial plan within 45 days after certification of financial difficulty. Thefinancial plan shall be developed according to guidelines presented to the district by the State Board ofEducation within 14 days of certification. Such guidelines shall address the specific nature of each district's financial difficulties. Any proposed budget of the district shall be consistent with the financial plansubmitted to and approved by the State Board of Education.

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[May 20, 2009] 80 A district certified to be in financial difficulty, other than a district subject to Article 34A, shall report tothe State Board of Education at such times and in such manner as the State Board may direct, concerningthe district's compliance with each financial plan. The State Board may review the district's operations, obtain budgetary data and financial statements, require the district to produce reports, and have access toany other information in the possession of the district that it deems relevant. The State Board may issuerecommendations or directives within its powers to the district to assist in compliance with the financialplan. The district shall produce such budgetary data, financial statements, reports and other information andcomply with such directives. If the State Board of Education determines that a district has failed to complywith its financial plan, the State Board of Education may rescind approval of the plan and appoint aFinancial Oversight Panel for the district as provided in Section 1B-4. This action shall be taken only after the district has been given notice and an opportunity to appear before the State Board of Education todiscuss its failure to comply with its financial plan. No bonds, notes, teachers orders, tax anticipation warrants or other evidences of indebtedness shall be issued or sold by a school district or be legally binding upon or enforceable against a local board ofeducation of a district certified to be in financial difficulty unless and until the financial plan required underthis Section has been approved by the State Board of Education. Any financial profile compiled and watch list distributed by the State Board of Education in Fiscal Year 2009 or any fiscal year thereafter pursuant to this Section shall incorporate such adjustments as may be needed in the profile scores to reflect the financial effects of the designate those school districts on the watch list that would not otherwise be on the watch list were it not for the inability or refusal of the State of Illinois to make timely disbursements of any general State aid or mandated categorical aid payments due school districts or to fully reimburse school districts for mandated categorical programs pursuant toreimbursement formulas provided in this School Code. (Source: P.A. 94-234, eff. 7-1-06.) Section 99. Effective date. This Act takes effect July 1, 2009.". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 944 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 1087

A bill for AN ACT concerning conservation. HOUSE BILL NO. 1098

A bill for AN ACT concerning government. HOUSE BILL NO. 1148

A bill for AN ACT concerning public employee benefits. HOUSE BILL NO. 1181

A bill for AN ACT concerning transportation. HOUSE BILL NO. 1200

A bill for AN ACT concerning finance. HOUSE BILL NO. 1348

A bill for AN ACT concerning criminal law. Passed by the Senate, May 20, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 1293

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81 [May 20, 2009]

A bill for AN ACT concerning professional regulation. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 1293 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 1293 by replacing everything after the enacting clausewith the following: "Section 5. The Pharmacy Practice Act is amended by changing Sections 3, 9, 9.5, 16a, 25.15, 30, and35.16 as follows: (225 ILCS 85/3) (from Ch. 111, par. 4123) (Section scheduled to be repealed on January 1, 2018) Sec. 3. Definitions. For the purpose of this Act, except where otherwise limited therein: (a) "Pharmacy" or "drugstore" means and includes every store, shop, pharmacy department, or otherplace where pharmacist care is provided by a pharmacist (1) where drugs, medicines, or poisons aredispensed, sold or offered for sale at retail, or displayed for sale at retail; or (2) where prescriptions ofphysicians, dentists, advanced practice nurses, physician assistants, veterinarians, podiatrists, oroptometrists, within the limits of their licenses, are compounded, filled, or dispensed; or (3) which has uponit or displayed within it, or affixed to or used in connection with it, a sign bearing the word or words"Pharmacist", "Druggist", "Pharmacy", "Pharmaceutical Care", "Apothecary", "Drugstore", "Medicine Store", "Prescriptions", "Drugs", "Dispensary", "Medicines", or any word or words of similar or likeimport, either in the English language or any other language; or (4) where the characteristic prescriptionsign (Rx) or similar design is exhibited; or (5) any store, or shop, or other place with respect to which anyof the above words, objects, signs or designs are used in any advertisement. (b) "Drugs" means and includes (l) articles recognized in the official United StatesPharmacopoeia/National Formulary (USP/NF), or any supplement thereto and being intended for andhaving for their main use the diagnosis, cure, mitigation, treatment or prevention of disease in man or otheranimals, as approved by the United States Food and Drug Administration, but does not include devices or their components, parts, or accessories; and (2) all other articles intended for and having for their main usethe diagnosis, cure, mitigation, treatment or prevention of disease in man or other animals, as approved by the United States Food and Drug Administration, but does not include devices or their components, parts,or accessories; and (3) articles (other than food) having for their main use and intended to affect thestructure or any function of the body of man or other animals; and (4) articles having for their main use andintended for use as a component or any articles specified in clause (l), (2) or (3); but does not includedevices or their components, parts or accessories. (c) "Medicines" means and includes all drugs intended for human or veterinary use approved by theUnited States Food and Drug Administration. (d) "Practice of pharmacy" means (1) the interpretation and the provision of assistance in the monitoring,evaluation, and implementation of prescription drug orders; (2) the dispensing of prescription drug orders;(3) participation in drug and device selection; (4) drug administration limited to the administration of oral,topical, injectable, and inhalation as follows: in the context of patient education on the proper use or delivery of medications; vaccination of patients 14 years of age and older pursuant to a valid prescription orstanding order, by a physician licensed to practice medicine in all its branches, upon completion ofappropriate training, including how to address contraindications and adverse reactions set forth by rule,with notification to the patient's physician and appropriate record retention, or pursuant to hospitalpharmacy and therapeutics committee policies and procedures; (5) drug regimen review; (6) drug or drug-related research; (7) the provision of patient counseling; (8) the practice of telepharmacy; (9) theprovision of those acts or services necessary to provide pharmacist care; (10) medication therapymanagement; and (11) the responsibility for compounding and labeling of drugs and devices (exceptlabeling by a manufacturer, repackager, or distributor of non-prescription drugs and commercially packaged legend drugs and devices), proper and safe storage of drugs and devices, and maintenance of required records. A pharmacist who performs any of the acts defined as the practice of pharmacy in thisState must be actively licensed as a pharmacist under this Act. (e) "Prescription" means and includes any written, oral, facsimile, or electronically transmitted order for drugs or medical devices, issued by a physician licensed to practice medicine in all its branches, dentist,

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[May 20, 2009] 82 veterinarian, or podiatrist, or optometrist, within the limits of their licenses, by a physician assistant in accordance with subsection (f) of Section 4, or by an advanced practice nurse in accordance withsubsection (g) of Section 4, containing the following: (l) name of the patient; (2) date when prescriptionwas issued; (3) name and strength of drug or description of the medical device prescribed; and (4) quantity,(5) directions for use, (6) prescriber's name, address and signature, and (7) DEA number where required,for controlled substances. DEA numbers shall not be required on inpatient drug orders. (f) "Person" means and includes a natural person, copartnership, association, corporation, governmententity, or any other legal entity. (g) "Department" means the Department of Financial and Professional Regulation. (h) "Board of Pharmacy" or "Board" means the State Board of Pharmacy of the Department of Financialand Professional Regulation. (i) "Secretary" means the Secretary of Financial and Professional Regulation. (j) "Drug product selection" means the interchange for a prescribed pharmaceutical product in accordance with Section 25 of this Act and Section 3.14 of the Illinois Food, Drug and Cosmetic Act. (k) "Inpatient drug order" means an order issued by an authorized prescriber for a resident or patient of a facility licensed under the Nursing Home Care Act or the Hospital Licensing Act, or "An Act in relation tothe founding and operation of the University of Illinois Hospital and the conduct of University of Illinoishealth care programs", approved July 3, 1931, as amended, or a facility which is operated by theDepartment of Human Services (as successor to the Department of Mental Health and DevelopmentalDisabilities) or the Department of Corrections. (k-5) "Pharmacist" means an individual health care professional and provider currently licensed by this State to engage in the practice of pharmacy. (l) "Pharmacist in charge" means the licensed pharmacist whose name appears on a pharmacy licenseand who is responsible for all aspects of the operation related to the practice of pharmacy. (m) "Dispense" or "dispensing" means the interpretation, evaluation, and implementation of aprescription drug order, including the preparation and delivery of a drug or device to a patient or patient'sagent in a suitable container appropriately labeled for subsequent administration to or use by a patient inaccordance with applicable State and federal laws and regulations. "Dispense" or "dispensing" does notmean the physical delivery to a patient or a patient's representative in a home or institution by a designee of a pharmacist or by common carrier. "Dispense" or "dispensing" also does not mean the physical delivery ofa drug or medical device to a patient or patient's representative by a pharmacist's designee within a pharmacy or drugstore while the pharmacist is on duty and the pharmacy is open. (n) "Nonresident pharmacy" means a pharmacy that is located in a state, commonwealth, or territory ofthe United States, other than Illinois, that delivers, dispenses, or distributes, through the United States Postal Service, commercially acceptable parcel delivery service, or other common carrier, to Illinoisresidents, any substance which requires a prescription. (o) "Compounding" means the preparation and mixing of components, excluding flavorings, (1) as the result of a prescriber's prescription drug order or initiative based on the prescriber-patient-pharmacist relationship in the course of professional practice or (2) for the purpose of, or incident to, research, teaching, or chemical analysis and not for sale or dispensing. "Compounding" includes the preparation ofdrugs or devices in anticipation of receiving prescription drug orders based on routine, regularly observeddispensing patterns. Commercially available products may be compounded for dispensing to individualpatients only if all of the following conditions are met: (i) the commercial product is not reasonablyavailable from normal distribution channels in a timely manner to meet the patient's needs and (ii) the prescribing practitioner has requested that the drug be compounded. (p) (Blank). (q) (Blank). (r) "Patient counseling" means the communication between a pharmacist or a student pharmacistpharmacy intern under the supervision of a pharmacist and a patient or the patient's representative about thepatient's medication or device for the purpose of optimizing proper use of prescription medications ordevices. "Patient counseling" may include without limitation (1) obtaining a medication history; (2) acquiring a patient's allergies and health conditions; (3) facilitation of the patient's understanding of theintended use of the medication; (4) proper directions for use; (5) significant potential adverse events; (6)potential food-drug interactions; and (7) the need to be compliant with the medication therapy. A pharmacytechnician may only participate in the following aspects of patient counseling under the supervision of apharmacist: (1) obtaining medication history; (2) providing the offer for counseling by a pharmacist or student pharmacist intern; and (3) acquiring a patient's allergies and health conditions.

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83 [May 20, 2009] (s) "Patient profiles" or "patient drug therapy record" means the obtaining, recording, and maintenance ofpatient prescription information, including prescriptions for controlled substances, and personalinformation. (t) (Blank). (u) "Medical device" means an instrument, apparatus, implement, machine, contrivance, implant, in vitroreagent, or other similar or related article, including any component part or accessory, required underfederal law to bear the label "Caution: Federal law requires dispensing by or on the order of a physician". Aseller of goods and services who, only for the purpose of retail sales, compounds, sells, rents, or leases medical devices shall not, by reasons thereof, be required to be a licensed pharmacy. (v) "Unique identifier" means an electronic signature, handwritten signature or initials, thumb print, orother acceptable biometric or electronic identification process as approved by the Department. (w) "Current usual and customary retail price" means the price that a pharmacy charges to anon-third-party payor . (x) "Automated pharmacy system" means a mechanical system located within the confines of the pharmacy or remote location that performs operations or activities, other than compounding oradministration, relative to storage, packaging, dispensing, or distribution of medication, and which collects,controls, and maintains all transaction information. (y) "Drug regimen review" means and includes the evaluation of prescription drug orders and patientrecords for (1) known allergies; (2) drug or potential therapy contraindications; (3) reasonable dose,duration of use, and route of administration, taking into consideration factors such as age, gender, andcontraindications; (4) reasonable directions for use; (5) potential or actual adverse drug reactions; (6)drug-drug interactions; (7) drug-food interactions; (8) drug-disease contraindications; (9) therapeutic duplication; (10) patient laboratory values when authorized and available; (11) proper utilization (includingover or under utilization) and optimum therapeutic outcomes; and (12) abuse and misuse. (z) "Electronic transmission prescription" means any prescription order for which a facsimile orelectronic image of the order is electronically transmitted from a licensed prescriber to a pharmacy."Electronic transmission prescription" includes both data and image prescriptions. (aa) "Medication therapy management services" means a distinct service or group of services offered bylicensed pharmacists, physicians licensed to practice medicine in all its branches, advanced practice nursesauthorized in a written agreement with a physician licensed to practice medicine in all its branches, orphysician assistants authorized in guidelines by a supervising physician that optimize therapeutic outcomesfor individual patients through improved medication use. In a retail or other non-hospital pharmacy, medication therapy management services shall consist of the evaluation of prescription drug orders andpatient medication records to resolve conflicts with the following: (1) known allergies; (2) drug or potential therapy contraindications; (3) reasonable dose, duration of use, and route of administration, taking into consideration factors such as age, gender, and contraindications; (4) reasonable directions for use; (5) potential or actual adverse drug reactions; (6) drug-drug interactions; (7) drug-food interactions; (8) drug-disease contraindications; (9) identification of therapeutic duplication; (10) patient laboratory values when authorized and available; (11) proper utilization (including over or under utilization) and optimum therapeutic outcomes; and (12) drug abuse and misuse. "Medication therapy management services" includes the following: (1) documenting the services delivered and communicating the information provided to patients' prescribers within an appropriate time frame, not to exceed 48 hours; (2) providing patient counseling designed to enhance a patient's understanding and the appropriate use of his or her medications; and (3) providing information, support services, and resources designed to enhance a patient's adherence with his or her prescribed therapeutic regimens. "Medication therapy management services" may also include patient care functions authorized by a physician licensed to practice medicine in all its branches for his or her identified patient or groups of

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patients under specified conditions or limitations in a standing order from the physician. "Medication therapy management services" in a licensed hospital may also include the following: (1) reviewing assessments of the patient's health status; and (2) following protocols of a hospital pharmacy and therapeutics committee with respect to the fulfillment of medication orders. (bb) "Pharmacist care" means the provision by a pharmacist of medication therapy management services,with or without the dispensing of drugs or devices, intended to achieve outcomes that improve patient health, quality of life, and comfort and enhance patient safety. (cc) "Protected health information" means individually identifiable health information that, except asotherwise provided, is: (1) transmitted by electronic media; (2) maintained in any medium set forth in the definition of "electronic media" in the federal Health Insurance Portability and Accountability Act; or (3) transmitted or maintained in any other form or medium. "Protected health information" does not include individually identifiable health information found in: (1) education records covered by the federal Family Educational Right and Privacy Act; or (2) employment records held by a licensee in its role as an employer. (dd) "Standing order" means a specific order for a patient or group of patients issued by a physicianlicensed to practice medicine in all its branches in Illinois. (ee) "Address of record" means the address recorded by the Department in the applicant's or licensee'sapplication file or license file, as maintained by the Department's licensure maintenance unit. (ff) "Home pharmacy" means the location of a pharmacy's primary operations. (Source: P.A. 94-459, eff. 1-1-06; 95-689, eff. 10-29-07.) (225 ILCS 85/9) (from Ch. 111, par. 4129) (Section scheduled to be repealed on January 1, 2018) Sec. 9. Registration as pharmacy technician. Any person shall be entitled to registration as a registered pharmacy technician who is of the age of 16 or over, has not engaged in conduct or behavior determined tobe grounds for discipline under this Act, is attending or has graduated from an accredited high school orcomparable school or educational institution or received a GED, and has filed a written application forregistration on a form to be prescribed and furnished by the Department for that purpose. The Departmentshall issue a certificate of registration as a registered pharmacy technician to any applicant who has qualified as aforesaid, and such registration shall be the sole authority required to assist licensedpharmacists in the practice of pharmacy, under the supervision of a licensed pharmacist. A registeredpharmacy technician may, under the supervision of a pharmacist, assist in the practice of pharmacy andperform such functions as assisting in the dispensing process, offering counseling, receiving new verbalprescription orders, and having prescriber contact concerning prescription drug order clarification. A registered pharmacy technician may not engage in patient counseling, drug regimen review, or clinicalconflict resolution. Beginning on January 1, 2010, within 2 years after initial registration being employed as a registered technician, a pharmacy technician must become certified by successfully passing the Pharmacy TechnicianCertification Board (PTCB) examination or another Board-approved pharmacy technician examination and register as a certified pharmacy technician with the Department in order to continue to perform pharmacy technician's duties. This requirement does not apply to pharmacy technicians registered hired prior to January 1, 2008. Any person registered as a pharmacy technician who is also enrolled in a first professional degree program in pharmacy in a school or college of pharmacy or a department of pharmacy of a universityapproved by the Department or has graduated from such a program within the last 18 months, shall be considered a "student pharmacist pharmacy intern" and entitled to use the title " student pharmacist"pharmacy intern". A student pharmacist pharmacy intern must meet all of the requirements for registration as a pharmacy technician set forth in this Section excluding the requirement of certification prior to the second registration renewal and pay the required pharmacy technician registration fees. A student pharmacist may, under the supervision of a pharmacist, assist in the practice of pharmacy and perform anyand all functions delegated to him or her by the pharmacist. Any person seeking licensure as a pharmacist who has graduated from a pharmacy program outside theUnited States must register as a pharmacy technician and shall be considered a "student pharmacist" and be

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85 [May 20, 2009] entitled to use the title "student pharmacist" while completing the 1,200 clinical hours of training approvedby the Board of Pharmacy described and for no more than 18 months after completion of these hours.These individuals are not required to become certified pharmacy technicians while completing their Boardapproved clinical training, but must become licensed as a pharmacist or become a certified pharmacytechnician before the second pharmacy technician registration renewal following completion of the Board approved clinical training. The Department shall not renew the pharmacy technician license of any person who has been registeredas a "student pharmacist" and has dropped out of or been expelled from an ACPE accredited college ofpharmacy, who has failed to complete his or her 1,200 hours of Board approved clinical training within 24months or who has failed the pharmacist licensure examination 3 times and shall require these individualsto meet the requirements of and become registered a certified pharmacy technician. The Department, upon the recommendation of the Board, may take any action set forth in Section 30 of this Act with regard to registrations certificates pursuant to this Section. Any person who is enrolled in a non-traditional Pharm.D. program at an ACPE accredited college ofpharmacy and is a licensed pharmacist under the laws of another United States jurisdiction shall bepermitted to engage in the program of practice experience required in the academic program by virtue of such license. Such person shall be exempt from the requirement of registration as a registered pharmacytechnician while engaged in the program of practice experience required in the academic program. An applicant for registration as a pharmacy technician may assist a pharmacist in the practice ofpharmacy for a period of up to 60 days prior to the issuance of a certificate of registration if the applicanthas submitted the required fee and an application for registration to the Department. The applicant shall keep a copy of the submitted application on the premises where the applicant is assisting in the practice ofpharmacy. The Department shall forward confirmation of receipt of the application with start andexpiration dates of practice pending registration. (Source: P.A. 95-689, eff. 10-29-07.) (225 ILCS 85/9.5) (Section scheduled to be repealed on January 1, 2018) Sec. 9.5. Certified pharmacy technician. (a) An individual registered as a pharmacy technician under this Act may be registered receive certification as a certified pharmacy technician, if he or she meets all of the following requirements: (1) He or she has submitted a written application in the form and manner prescribed by the Department Board. (2) He or she has attained the age of 18. (3) He or she is of good moral character, as determined by the Department. (4) He or she has (i) graduated from pharmacy technician training meeting the

requirements set forth in subsection (a) of Section 17.1 of this Act or (ii) obtained documentation fromthe pharmacist-in-charge of the pharmacy where the applicant is employed verifying that he or she hassuccessfully completed a training program and has successfully completed an objective assessment mechanism prepared in accordance with rules established by the Department Board.

(5) He or she has successfully passed an examination accredited by the National Organization of Certifying Agencies, as approved and required by the Board. (6) He or she has paid the required certification fees. (b) No pharmacist whose license has been denied, revoked, suspended, or restricted for disciplinary purposes may be eligible to be registered as a certified pharmacy technician. (c) The Department Board may, by rule, establish any additional requirements for certification under this Section. (d) A person who is not a registered pharmacy technician and meets the requirements of this Section may register as a certified pharmacy technician without first registering as a pharmacy technician. (Source: P.A. 95-689, eff. 10-29-07.) (225 ILCS 85/16a) (from Ch. 111, par. 4136a) (Section scheduled to be repealed on January 1, 2018) Sec. 16a. (a) The Department shall establish rules and regulations, consistent with the provisions of this Act,governing nonresident pharmacies, including pharmacies providing services via the Internet, which sell, oroffer for sale, drugs, medicines, or other pharmaceutical services in this State. (b) The Department Board shall require and provide for an annual nonresident special pharmacyregistration for all pharmacies located outside of this State that dispense medications for Illinois residents

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[May 20, 2009] 86 and mail, ship, or deliver prescription medications into this State. Nonresident special pharmacyregistration shall be granted by the Department Board upon the disclosure and certification by a pharmacy: (1) that it is licensed in the state in which the dispensing facility is located and from which the drugs are dispensed; (2) of the location, names, and titles of all principal corporate officers and all pharmacists who are dispensing drugs to residents of this State; (3) that it complies with all lawful directions and requests for information from the

board of pharmacy of each state in which it is licensed or registered, except that it shall respond directlyto all communications from the Board or Department concerning any emergency circumstances arising from the dispensing of drugs to residents of this State;

(4) that it maintains its records of drugs dispensed to residents of this State so that the records are readily retrievable from the records of other drugs dispensed; (5) that it cooperates with the Board or Department in providing information to the board of

pharmacy of the state in which it is licensed concerning matters related to the dispensing of drugs toresidents of this State; and

(6) that during its regular hours of operation, but not less than 6 days per week, for

a minimum of 40 hours per week, a toll-free telephone service is provided to facilitate communicationbetween patients in this State and a pharmacist at the pharmacy who has access to the patients' records.The toll-free number must be disclosed on the label affixed to each container of drugs dispensed toresidents of this State.

(Source: P.A. 95-689, eff. 10-29-07.) (225 ILCS 85/25.15) (Section scheduled to be repealed on January 1, 2018) Sec. 25.15. Telepharmacy. (a) In this Section, "telepharmacy" means the provision of pharmacist care by a pharmacist that isaccomplished through the use of telecommunications or other technologies to patients or their agents whoare at a distance and are located within the United States, and which follows all federal and State laws,rules, and regulations with regard to privacy and security. (b) Any pharmacy engaged in the practice of telepharmacy must meet all of the following conditions: (1) All events involving the contents of an automated pharmacy system must be stored in a secure location and may be recorded electronically. (2) An automated pharmacy or prescription dispensing machine system may be used in

conjunction with the pharmacy's practice of telepharmacy after inspection and approval by theDepartment.

(3) The pharmacist in charge shall: (A) be responsible for the practice of telepharmacy performed at a remote pharmacy, including the supervision of any prescription dispensing machine or automated medication system; (B) ensure that the home pharmacy has sufficient pharmacists on duty for the safe operation and supervision of all remote pharmacies; (C) ensure, through the use of a video and auditory communication system, that a

certified pharmacy technician at the remote pharmacy has accurately and correctly prepared any prescription for dispensing according to the prescription;

(D) be responsible for the supervision and training of certified pharmacy technicians at remote pharmacies who shall be subject to all rules and regulations; and (E) ensure that patient counseling at the remote pharmacy is performed by a pharmacist or student pharmacist pharmacist intern. (Source: P.A. 95-689, eff. 10-29-07.) (225 ILCS 85/30) (from Ch. 111, par. 4150) (Section scheduled to be repealed on January 1, 2018) Sec. 30. Refusal, revocation, or suspension. (a) The Department may refuse to issue or renew, or may revoke a license or registration, or may suspend,place on probation, fine, or take any disciplinary or non-disciplinary action as the Department may deem proper, including fines not to exceed $10,000 for each violation, with regard to any licensee or registrant In accordance with Section 11 of this Act, the Department may refuse to issue, restore, or renew, or may revoke, suspend, place on probation, or reprimand as the Department may deem proper with regard to anylicense or certificate of registration or may impose a fine upon a licensee or registrant not to exceed$10,000 per violation for any one or combination of the following causes:

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87 [May 20, 2009] 1. Material misstatement in furnishing information to the Department. 2. Violations of this Act, or the rules promulgated hereunder. 3. Making any misrepresentation for the purpose of obtaining licenses. 4. A pattern of conduct which demonstrates incompetence or unfitness to practice. 5. Aiding or assisting another person in violating any provision of this Act or rules. 6. Failing, within 60 days, to respond to a written request made by the Department for information. 7. Engaging in unprofessional, dishonorable, or unethical conduct of a character likely to deceive, defraud or harm the public. 8. Discipline by another U.S. jurisdiction or foreign nation, if at least one of the grounds for the discipline is the same or substantially equivalent to those set forth herein. 9. Directly or indirectly giving to or receiving from any person, firm, corporation,

partnership or association any fee, commission, rebate or other form of compensation for anyprofessional services not actually or personally rendered.

10. A finding by the Department that the licensee, after having his license placed on probationary status has violated the terms of probation. 11. Selling or engaging in the sale of drug samples provided at no cost by drug manufacturers. 12. Physical illness, including but not limited to, deterioration through the aging

process, or loss of motor skill which results in the inability to practice the profession with reasonablejudgment, skill or safety.

13. A finding that licensure or registration has been applied for or obtained by fraudulent means. 14. The applicant or licensee has been convicted in state or federal court of or

entered a plea of guilty, nolo contendere, or the equivalent in a state or federal court to any crime whichis a felony or any misdemeanor related to the practice of pharmacy or , of which an essential element is dishonesty.

15. Habitual or excessive use or addiction to alcohol, narcotics, stimulants or any

other chemical agent or drug which results in the inability to practice with reasonable judgment, skill or safety.

16. Willfully making or filing false records or reports in the practice of pharmacy,

including, but not limited to false records to support claims against the medical assistance program of the Department of Healthcare and Family Services (formerly Department of Public Aid) under the PublicAid Code.

17. Gross and willful overcharging for professional services including filing false

statements for collection of fees for which services are not rendered, including, but not limited to, filingfalse statements for collection of monies for services not rendered from the medical assistance programof the Department of Healthcare and Family Services (formerly Department of Public Aid) under the Public Aid Code.

18. Dispensing Repetitiously dispensing prescription drugs without receiving a written or oral prescription in violation of law. 19. Upon a finding of a substantial discrepancy in a Department audit of a prescription

drug, including controlled substances, as that term is defined in this Act or in the Illinois ControlledSubstances Act.

20. Physical or mental illness or any other impairment or disability, including without

limitation deterioration through the aging process or loss of motor skills that results in the inability topractice with reasonable judgment, skill or safety, or mental incompetence, as declared by a court ofcompetent jurisdiction.

21. Violation of the Health Care Worker Self-Referral Act. 22. Failing to sell or dispense any drug, medicine, or poison in good faith. "Good

faith", for the purposes of this Section, has the meaning ascribed to it in subsection (u) of Section 102 ofthe Illinois Controlled Substances Act. "Good faith", as used in this item (22), shall not be limited to thesale or dispensing of controlled substances, but shall apply to all prescription drugs.

23. Interfering with the professional judgment of a pharmacist by any registrant under this Act, or his or her agents or employees. 24. Failing to report within 60 days to the Department any adverse final action taken against a pharmacist, pharmacist technician, or certified pharmacist technician by another licensing

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jurisdiction in any other state or any territory of the United States or any foreign jurisdiction, anygovernmental agency, any law enforcement agency, or any court for acts or conduct similar to acts orconduct that would constitute grounds for discipline as defined in this Section.

25. Failing to comply with a subpoena issued in accordance with Section 35.5 of this Act. 26. Disclosing protected health information in violation of any State or federal law. (b) The Department may refuse to issue or may suspend the license or registration of any person whofails to file a return, or to pay the tax, penalty or interest shown in a filed return, or to pay any finalassessment of tax, penalty or interest, as required by any tax Act administered by the Illinois Department ofRevenue, until such time as the requirements of any such tax Act are satisfied. (c) The Department shall revoke the license or certificate of registration issued under the provisions of this Act or any prior Act of this State of any person who has been convicted a second time of committingany felony under the Illinois Controlled Substances Act, or who has been convicted a second time ofcommitting a Class 1 felony under Sections 8A-3 and 8A-6 of the Illinois Public Aid Code. A person whose license or certificate of registration issued under the provisions of this Act or any prior Act of thisState is revoked under this subsection (c) shall be prohibited from engaging in the practice of pharmacy in this State. (d) The Department may adopt rules for the imposition of fines in disciplinary cases, not to exceed$10,000 for each violation of this Act. Fines may be imposed in conjunction with other forms ofdisciplinary action, but shall not be the exclusive disposition of any disciplinary action arising out ofconduct resulting in death or injury to a patient. Fines shall be paid within 60 days or as otherwise agreed to by the Department. Any funds collected from such fines shall be deposited in the Illinois State Pharmacy Disciplinary Fund. (e) The entry of an order or judgment by any circuit court establishing that any person holding a licenseor certificate under this Act is a person in need of mental treatment operates as a suspension of that license. A licensee may resume his or her practice only upon the entry of an order of the Department based upon afinding by the Board that he or she has been determined to be recovered from mental illness by the courtand upon the Board's recommendation that the licensee be permitted to resume his or her practice. (f) The Department shall issue quarterly to the Board a status of all complaints related to the professionreceived by the Department. (g) In enforcing this Section, the Board or the Department, upon a showing of a possible violation, maycompel any licensee or applicant for licensure under this Act to submit to a mental or physical examinationor both, as required by and at the expense of the Department. The examining physician, or multidisciplinary team involved in providing physical and mental examinations led by a physician consisting of one or acombination of licensed physicians, licensed clinical psychologists, licensed clinical social workers,licensed clinical professional counselors, and other professional and administrative staff, shall be those specifically designated by the Department. The Board or the Department may order the examiningphysician or any member of the multidisciplinary team to present testimony concerning this mental or physical examination of the licensee or applicant. No information, report, or other documents in any way related to the examination shall be excluded by reason of any common law or statutory privilege relating tocommunication between the licensee or applicant and the examining physician or any member of the multidisciplinary team. The individual to be examined may have, at his or her own expense, anotherphysician of his or her choice present during all aspects of the examination. Failure of any individual to submit to a mental or physical examination when directed shall be grounds for suspension of his or herlicense until such time as the individual submits to the examination if the Board finds, after notice andhearing, that the refusal to submit to the examination was without reasonable cause. If the Board finds apharmacist, certified pharmacy technician, or pharmacy technician unable to practice because of thereasons set forth in this Section, the Board shall require such pharmacist, certified pharmacy technician, or pharmacy technician to submit to care, counseling, or treatment by physicians or other appropriate health care providers approved or designated by the Board as a condition for continued, reinstated, or renewed licensure to practice. Any pharmacist, certified pharmacy technician, or pharmacy technician whose license was granted, continued, reinstated, renewed, disciplined, or supervised, subject to such terms, conditions, orrestrictions, and who fails to comply with such terms, conditions, or restrictions or to complete a requiredprogram of care, counseling, or treatment, as determined by the chief pharmacy coordinator or a deputypharmacy coordinator, shall be referred to the Secretary for a determination as to whether the licensee shall have his or her license suspended immediately, pending a hearing by the Board. In instances in which theSecretary immediately suspends a license under this subsection (g), a hearing upon such person's license

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89 [May 20, 2009] must be convened by the Board within 15 days after such suspension and completed without appreciabledelay. The Board shall have the authority to review the subject pharmacist's, certified pharmacy technician's, or pharmacy technician's record of treatment and counseling regarding the impairment. (Source: P.A. 95-331, eff. 8-21-07; 95-689, eff. 10-29-07.) (225 ILCS 85/35.16) (from Ch. 111, par. 4155.16) (Section scheduled to be repealed on January 1, 2018) Sec. 35.16. The Secretary Director may temporarily suspend the license of a pharmacist or pharmacy, or the registration of a , pharmacy technician or certified pharmacy technician registration as a distributor, without a hearing, simultaneously with the institution of proceedings for a hearing provided for in Section 35.2 of this Act, if the Secretary Director finds that evidence in his possession indicates that a continuationin practice would constitute an imminent danger to the public. In the event that the Secretary Directorsuspends, temporarily, this license or registration certificate without a hearing, a hearing by the Department must be held within 15 days after such suspension has occurred, and be concluded without appreciabledelay. (Source: P.A. 95-689, eff. 10-29-07.)". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 1293 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 2283

A bill for AN ACT concerning civil law. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 2283 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 2283 by replacing everything after the enacting clause with the following: "Section 5. The Illinois Marriage and Dissolution of Marriage Act is amended by changing Sections 602and 610 as follows: (750 ILCS 5/602) (from Ch. 40, par. 602) Sec. 602. Best Interest of Child. (a) The court shall determine custody in accordance with the best interest of the child. The court shallconsider all relevant factors including: (1) the wishes of the child's parent or parents as to his custody; (2) the wishes of the child as to his custodian; (3) the interaction and interrelationship of the child with his parent or parents, his siblings and any other person who may significantly affect the child's best interest; (4) the child's adjustment to his home, school and community; (5) the mental and physical health of all individuals involved; (6) the physical violence or threat of physical violence by the child's potential custodian, whether directed against the child or directed against another person; (7) the occurrence of ongoing or repeated abuse as defined in Section 103 of the

Illinois Domestic Violence Act of 1986, whether directed against the child or directed against anotherperson;

(8) the willingness and ability of each parent to facilitate and encourage a close and continuing relationship between the other parent and the child; and (9) whether one of the parents is a sex offender; and . (10) the terms of a parent's military family-care plan that a parent must complete before deployment if a parent is a member of the United States armed forces who is being deployed.

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[May 20, 2009] 90 In the case of a custody proceeding in which a stepparent has standing under Section 601, it is presumed to be in the best interest of the minor child that the natural parent have the custody of the minor child unlessthe presumption is rebutted by the stepparent. (b) The court shall not consider conduct of a present or proposed custodian that does not affect his relationship to the child. (c) Unless the court finds the occurrence of ongoing abuse as defined in Section 103 of the IllinoisDomestic Violence Act of 1986, the court shall presume that the maximum involvement and cooperation of both parents regarding the physical, mental, moral, and emotional well-being of their child is in the best interest of the child. There shall be no presumption in favor of or against joint custody. (Source: P.A. 94-377, eff. 7-29-05; 94-643, eff. 1-1-06; 95-331, eff. 8-21-07.) (750 ILCS 5/610) (from Ch. 40, par. 610) Sec. 610. Modification. (a) Unless by stipulation of the parties or except as provided in subsection (a-5), no motion to modify a custody judgment may be made earlier than 2 years after its date, unless the court permits it to be made on the basis of affidavits that there is reason to believe the child's present environment may endanger seriouslyhis physical, mental, moral or emotional health. (a-5) A motion to modify a custody judgment may be made at any time by a party who has beeninformed of the existence of facts requiring notice to be given under Section 609.5. (b) The court shall not modify a prior custody judgment unless it finds by clear and convincing evidence, upon the basis of facts that have arisen since the prior judgment or that were unknown to the court at thetime of entry of the prior judgment, that a change has occurred in the circumstances of the child or hiscustodian, or in the case of a joint custody arrangement that a change has occurred in the circumstances ofthe child or either or both parties having custody, and that the modification is necessary to serve the bestinterest of the child. The existence of facts requiring notice to be given under Section 609.5 of this Act shall be considered a change in circumstance. In the case of joint custody, if the parties agree to a termination ofa joint custody arrangement, the court shall so terminate the joint custody and make any modificationwhich is in the child's best interest. The court shall state in its decision specific findings of fact in support ofits modification or termination of joint custody if either parent opposes the modification or termination. (c) Attorney fees and costs shall be assessed against a party seeking modification if the court finds thatthe modification action is vexatious and constitutes harassment. (d) Notice under this Section shall be given as provided in subsections (c) and (d) of Section 601. (e) A party's absence, relocation, or failure to comply with the court's orders on custody, visitation, orparenting time may not, by itself, be sufficient to justify a modification of a prior order if the reason for theabsence, relocation, or failure to comply is the party's deployment as a member of the United States armedforces. (Source: P.A. 94-643, eff. 1-1-06.)". The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 2283 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 2246

A bill for AN ACT concerning civil law. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 2246 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 2246 on page 8, line 19, by inserting after "Section" the following: "for purposes of maintaining the confidentiality of such information".

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91 [May 20, 2009] The foregoing message from the Senate reporting Senate Amendment No. 1 to HOUSE BILL 2246 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 2400

A bill for AN ACT concerning finance. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 2400 Senate Amendment No. 2 to HOUSE BILL NO. 2400 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 2400 by replacing everything after the enacting clause with the following: "Section 5. The State Finance Act is amended by adding Section 6z-78 as follows: (30 ILCS 105/6z-78 new) Sec. 6z-78. Capital Projects Fund; bonded indebtedness; transfers. Money in the Capital Projects Fund shall, if and when the State of Illinois incurs any bonded indebtedness using the bond authorization enactedin this amendatory Act of the 96th General Assembly, be set aside and used for the purpose of paying anddischarging annually the principal and interest on that bonded indebtedness then due and payable. In addition to other transfers to the General Obligation Bond Retirement and Interest Fund madepursuant to Section 15 of the General Obligation Bond Act, upon each delivery of general obligation bonds using bond authorization enacted in this amendatory Act of the 96th General Assembly the StateComptroller shall compute and certify to the State Treasurer the total amount of principal of, interest on,and premium, if any, on such bonds during the then current and each succeeding fiscal year. With respect tothe interest payable on variable rate bonds, such certifications shall be calculated at the maximum rate ofinterest that may be payable during the fiscal year, after taking into account any credits permitted in the related indenture or other instrument against the amount of such interest required to be appropriated for theperiod. On or before the last day of each month, the State Treasurer and State Comptroller shall transfer from the Capital Projects Fund to the General Obligation Bond Retirement and Interest Fund an amount sufficient topay the aggregate of the principal of, interest on, and premium, if any, on the bonds payable on their nextpayment date, divided by the number of monthly transfers occurring between the last previous paymentdate (or the delivery date if no payment date has yet occurred) and the next succeeding payment date.Interest payable on variable rate bonds shall be calculated at the maximum rate of interest that may be payable for the relevant period, after taking into account any credits permitted in the related indenture orother instrument against the amount of such interest required to be appropriated for that period. Interest forwhich moneys have already been deposited into the capitalized interest account within the GeneralObligation Bond Retirement and Interest Fund shall not be included in the calculation of the amounts to betransferred under this subsection. In addition to other transfers to the Build Illinois Bond Retirement and Interest Fund made pursuant tothe Build Illinois Bond Act, upon each delivery of Build Illinois bonds using bond authorization enacted inthis amendatory Act of the 96th General Assembly the State Comptroller shall compute and certify to the State Treasurer the total amount of principal of, interest on, and premium, if any, on such bonds during thethen current and each succeeding fiscal year. With respect to the interest payable on variable rate bonds, such certifications shall be calculated at the maximum rate of interest that may be payable during the fiscalyear, after taking into account any credits permitted in the related indenture or other instrument against theamount of such interest required to be appropriated for the period. On or before the last day of each month, the State Treasurer and State Comptroller shall transfer from theCapital Projects Fund to the Build Illinois Bond Retirement and Interest Fund an amount sufficient to pay

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[May 20, 2009] 92 the aggregate of the principal of, interest on, and premium, if any, on the bonds payable on their nextpayment date, divided by the number of monthly transfers occurring between the last previous paymentdate (or the delivery date if no payment date has yet occurred) and the next succeeding payment date. Interest payable on variable rate bonds shall be calculated at the maximum rate of interest that may bepayable for the relevant period, after taking into account any credits permitted in the related indenture or other instrument against the amount of such interest required to be appropriated for that period. Interest forwhich moneys have already been deposited into the capitalized interest account within the Build IllinoisBond Retirement and Interest Fund shall not be included in the calculation of the amounts to be transferredunder this subsection. Section 10. The General Obligation Bond Act is amended by changing Sections 2, 3, 4, 5, 6, and 12 asfollows: (30 ILCS 330/2) (from Ch. 127, par. 652) Sec. 2. Authorization for Bonds. The State of Illinois is authorized to issue, sell and provide for theretirement of General Obligation Bonds of the State of Illinois for the categories and specific purposesexpressed in Sections 2 through 8 of this Act, in the total amount of $33,501,777,443 $30,693,149,369. The bonds authorized in this Section 2 and in Section 16 of this Act are herein called "Bonds". Of the total amount of Bonds authorized in this Act, up to $2,200,000,000 in aggregate original principal amount may be issued and sold in accordance with the Baccalaureate Savings Act in the form of GeneralObligation College Savings Bonds. Of the total amount of Bonds authorized in this Act, up to $300,000,000 in aggregate original principal amount may be issued and sold in accordance with the Retirement Savings Act in the form of GeneralObligation Retirement Savings Bonds. Of the total amount of Bonds authorized in this Act, the additional $10,000,000,000 authorized by thisamendatory Act of the 93rd General Assembly shall be used solely as provided in Section 7.2. The issuance and sale of Bonds pursuant to the General Obligation Bond Act is an economical andefficient method of financing the long-term capital needs of the State. This Act will permit the issuance of a multi-purpose General Obligation Bond with uniform terms and features. This will not only lower the costof registration but also reduce the overall cost of issuing debt by improving the marketability of Illinois General Obligation Bonds. (Source: P.A. 95-1026, eff. 1-12-09; 96-5, eff. 4-3-09.) (30 ILCS 330/3) (from Ch. 127, par. 653) Sec. 3. Capital Facilities. The amount of $7,968,463,443 $7,320,235,369 is authorized to be used for the acquisition, development, construction, reconstruction, improvement, financing, architectural planning andinstallation of capital facilities within the State, consisting of buildings, structures, durable equipment, land,and interests in land for the following specific purposes: (a) $2,511,228,000 $2,211,228,000 for educational purposes by State universities and colleges, theIllinois

Community College Board created by the Public Community College Act and for grants to publiccommunity colleges as authorized by Sections 5-11 and 5-12 of the Public Community College Act;

(b) $1,617,420,000 $1,607,420,000 for correctional purposes at State prison and correctional centers; (c) $575,183,000 $531,175,000 for open spaces, recreational and conservation purposes and the protection of land; (d) $664,917,000 $589,917,000 for child care facilities, mental and public health facilities, andfacilities for the care of disabled veterans and their spouses; (e) $1,630,990,000 $1,455,990,000 for use by the State, its departments, authorities, publiccorporations, commissions and agencies; (f) $818,100 for cargo handling facilities at port districts and for breakwaters,

including harbor entrances, at port districts in conjunction with facilities for small boats and pleasurecrafts;

(g) $248,877,074 $204,657,000 for water resource management projects; (h) $16,940,269 for the provision of facilities for food production research and related instructional and public service activities at the State universities and public community colleges; (i) $36,000,000 for grants by the Secretary of State, as State Librarian, for central library facilities authorized by Section 8 of the Illinois Library System Act and for grants by the Capital

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93 [May 20, 2009]

Development Board to units of local government for public library facilities; (j) $25,000,000 for the acquisition, development, construction, reconstruction,

improvement, financing, architectural planning and installation of capital facilities consisting ofbuildings, structures, durable equipment and land for grants to counties, municipalities or public buildingcommissions with correctional facilities that do not comply with the minimum standards of the Department of Corrections under Section 3-15-2 of the Unified Code of Corrections;

(k) $5,000,000 for grants in fiscal year 1988 by the Department of Conservation for improvement or expansion of aquarium facilities located on property owned by a park district; (l) $432,590,000 to State agencies for grants to local governments for the acquisition,

financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land; and

(m) $203,500,000 for the Illinois Open Land Trust Program as defined by the Illinois Open Land Trust Act. The amounts authorized above for capital facilities may be used for the acquisition, installation,alteration, construction, or reconstruction of capital facilities and for the purchase of equipment for thepurpose of major capital improvements which will reduce energy consumption in State buildings or facilities. (Source: P.A. 91-39, 6-15-99; 91-53, eff. 6-30-99; 91-710, eff. 5-17-00; 92-13, eff. 6-22-01; 92-598, eff. 6-28-02.) (30 ILCS 330/4) (from Ch. 127, par. 654) Sec. 4. Transportation. The amount of $9,948,799,000 $8,313,399,000 is authorized for use by the Department of Transportation for the specific purpose of promoting and assuring rapid, efficient, and safehighway, air and mass transportation for the inhabitants of the State by providing monies, including themaking of grants and loans, for the acquisition, construction, reconstruction, extension and improvement ofthe following transportation facilities and equipment, and for the acquisition of real property and interestsin real property required or expected to be required in connection therewith as follows: (a) $5,432,129,000 for State highways, arterial highways, freeways, roads, bridges, structures separatinghighways and railroads and roads, and bridges on roads maintained by counties, municipalities, townships or road districts for the following specific purposes: (1) $3,330,000,000 for use statewide, (2) $3,677,000 for use outside the Chicago urbanized area, (3) $7,543,000 for use within the Chicago urbanized area, (4) $13,060,600 for use within the City of Chicago, (5) $58,987,500 for use within the counties of Cook, DuPage, Kane, Lake, McHenry and Will, (6) $18,860,900 for use outside the counties of Cook, DuPage, Kane, Lake, McHenry and Will, and (7) $2,000,000,000 for use on projects included in either (i) the FY09-14 Proposed

Highway Improvement Program as published by the Illinois Department of Transportation in May 2008or (ii) the FY10-15 Proposed Highway Improvement Program to be published by the Illinois Departmentof Transportation in the spring of 2009; except that all projects must be maintenance projects for theexisting State system with the goal of reaching 90% acceptable condition in the system statewide and further except that all projects must reflect the generally accepted historical distribution of projectsthroughout the State.

(b) $3,130,070,000 $2,529,670,000 for rail facilities and for mass transit facilities, as defined in Section2705-305 of the Department of Transportation Law (20 ILCS 2705/2705-305), including rapid transit, rail, bus and other equipment used in connection therewith by the State or any unit of local government, specialtransportation district, municipal corporation or other corporation or public authority authorized to provide and promote public transportation within the State or two or more of the foregoing jointly, for the followingspecific purposes: (1) $2,034,270,000 $1,433,870,000 statewide, (2) $83,350,000 for use within the counties of Cook, DuPage, Kane, Lake, McHenry and Will, (3) $12,450,000 for use outside the counties of Cook, DuPage, Kane, Lake, McHenry and Will, and (4) $1,000,000,000 for use on projects that shall reflect the generally accepted historical distribution of projects throughout the State.

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[May 20, 2009] 94 (c) $371,600,000 $351,600,000 for airport or aviation facilities and any equipment used in connectiontherewith, including engineering and land acquisition costs, by the State or any unit of local government,special transportation district, municipal corporation or other corporation or public authority authorized toprovide public transportation within the State, or two or more of the foregoing acting jointly, and for the making of deposits into the Airport Land Loan Revolving Fund for loans to public airport owners pursuantto the Illinois Aeronautics Act. (d) $1,015,000,000 for use statewide for State highways, arterial highways, freeways, roads, bridges, structures separating highways and railroads and roads, and bridges on roads maintained by counties,municipalities, townships, or road districts. (Source: P.A. 96-5, eff. 4-3-09.) (30 ILCS 330/5) (from Ch. 127, par. 655) Sec. 5. School Construction. (a) The amount of $58,450,000 is authorized to make grants to local school districts for the acquisition,development, construction, reconstruction, rehabilitation, improvement, financing, architectural planningand installation of capital facilities, including but not limited to those required for special educationbuilding projects provided for in Article 14 of The School Code, consisting of buildings, structures, anddurable equipment, and for the acquisition and improvement of real property and interests in real property required, or expected to be required, in connection therewith. (b) $22,550,000, or so much thereof as may be necessary, for grants to school districts for the making ofprincipal and interest payments, required to be made, on bonds issued by such school districts after January1, 1969, pursuant to any indenture, ordinance, resolution, agreement or contract to provide funds for theacquisition, development, construction, reconstruction, rehabilitation, improvement, architectural planning and installation of capital facilities consisting of buildings, structures, durable equipment and land foreducational purposes or for lease payments required to be made by a school district for principal andinterest payments on bonds issued by a Public Building Commission after January 1, 1969. (c) $10,000,000 for grants to school districts for the acquisition, development, construction,reconstruction, rehabilitation, improvement, architectural planning and installation of capital facilities consisting of buildings structures, durable equipment and land for special education building projects. (d) $9,000,000 for grants to school districts for the reconstruction, rehabilitation, improvement, financingand architectural planning of capital facilities, including construction at another location to replace suchcapital facilities, consisting of those public school buildings and temporary school facilities which, prior toJanuary 1, 1984, were condemned by the regional superintendent under Section 3-14.22 of The School Code or by any State official having jurisdiction over building safety. (e) $3,050,000,000 for grants to school districts for school improvement projects authorized by theSchool Construction Law. The bonds shall be sold in amounts not to exceed the following schedule, exceptany bonds not sold during one year shall be added to the bonds to be sold during the remainder of theschedule: First year...........................................................................................................$200,000,000 Second year.........................................................................................................$450,000,000 Third year...........................................................................................................$500,000,000 Fourth year.........................................................................................................$500,000,000 Fifth year...........................................................................................................$800,000,000 Sixth year and thereafter....................................................................................$600,000,000 (f) $420,000,000 grants to school districts for school implemented projects authorized by the SchoolConstruction Law. (Source: P.A. 91-39, eff. 6-15-99; 92-598, eff. 6-28-02.) (30 ILCS 330/6) (from Ch. 127, par. 656) Sec. 6. Anti-Pollution. (a) The amount of $369,815,000 $319,815,000 is authorized for allocation by the Environmental Protection Agency for grants or loans to units of local government in such amounts, at such times and forsuch purpose as the Agency deems necessary or desirable for the planning, financing, and construction of municipal sewage treatment works and solid waste disposal facilities and for making of deposits into theWater Revolving Fund and the U.S. Environmental Protection Fund to provide assistance in accordancewith the provisions of Title IV-A of the Environmental Protection Act. (b) The amount of $215,500,000 $160,500,000 is authorized for allocation by the Environmental Protection Agency for payment of claims submitted to the State and approved for payment under theLeaking Underground Storage Tank Program established in Title XVI of the Environmental Protection Act.

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95 [May 20, 2009] (Source: P.A. 92-13, eff. 6-22-01; 92-598, eff. 6-28-02; 93-650, eff. 1-8-04.) (30 ILCS 330/12) (from Ch. 127, par. 662) Sec. 12. Allocation of Proceeds from Sale of Bonds. (a) Proceeds from the sale of Bonds, authorized by Section 3 of this Act, shall be deposited in theseparate fund known as the Capital Development Fund. (b) Proceeds from the sale of Bonds, authorized by paragraph (a) of Section 4 of this Act, shall be deposited in the separate fund known as the Transportation Bond, Series A Fund. (c) Proceeds from the sale of Bonds, authorized by paragraphs (b) and (c) of Section 4 of this Act, shallbe deposited in the separate fund known as the Transportation Bond, Series B Fund. (c-1) Proceeds from the sale of Bonds, authorized by paragraph (d) of Section 4 of this Act, shall bedeposited into the Transportation Bond Series D Fund, which is hereby created. (d) Proceeds from the sale of Bonds, authorized by Section 5 of this Act, shall be deposited in theseparate fund known as the School Construction Fund. (e) Proceeds from the sale of Bonds, authorized by Section 6 of this Act, shall be deposited in theseparate fund known as the Anti-Pollution Fund. (f) Proceeds from the sale of Bonds, authorized by Section 7 of this Act, shall be deposited in theseparate fund known as the Coal Development Fund. (f-2) Proceeds from the sale of Bonds, authorized by Section 7.2 of this Act, shall be deposited as set forth in Section 7.2. (f-5) Proceeds from the sale of Bonds, authorized by Section 7.5 of this Act, shall be deposited as setforth in Section 7.5. (g) Proceeds from the sale of Bonds, authorized by Section 8 of this Act, shall be deposited in the Capital Development Fund. (h) Subsequent to the issuance of any Bonds for the purposes described in Sections 2 through 8 of thisAct, the Governor and the Director of the Governor's Office of Management and Budget may provide for the reallocation of unspent proceeds of such Bonds to any other purposes authorized under said Sections ofthis Act, subject to the limitations on aggregate principal amounts contained therein. Upon any suchreallocation, such unspent proceeds shall be transferred to the appropriate funds as determined by referenceto paragraphs (a) through (g) of this Section. (Source: P.A. 93-2, eff. 4-7-03; 94-793, eff. 5-19-06.) Section 15. The Build Illinois Bond Act is amended by changing Sections 2, 4, and 13 as follows: (30 ILCS 425/2) (from Ch. 127, par. 2802) Sec. 2. Authorization for Bonds. The State of Illinois is authorized to issue, sell and provide for theretirement of limited obligation bonds, notes and other evidences of indebtedness of the State of Illinois in the total principal amount of $4,615,509,000 $3,805,509,000 herein called "Bonds". Such authorized amount of Bonds shall be reduced from time to time by amounts, if any, which are equal to the moneysreceived by the Department of Revenue in any fiscal year pursuant to Section 3-1001 of the "Illinois Vehicle Code", as amended, in excess of the Annual Specified Amount (as defined in Section 3 of the"Retailers' Occupation Tax Act", as amended) and transferred at the end of such fiscal year from the General Revenue Fund to the Build Illinois Purposes Fund (now abolished) as provided in Section 3-1001 of said Code; provided, however, that no such reduction shall affect the validity or enforceability of anyBonds issued prior to such reduction. Such amount of authorized Bonds shall be exclusive of any refundingBonds issued pursuant to Section 15 of this Act and exclusive of any Bonds issued pursuant to this Sectionwhich are redeemed, purchased, advance refunded, or defeased in accordance with paragraph (f) of Section 4 of this Act. Bonds shall be issued for the categories and specific purposes expressed in Section 4 of thisAct. (Source: P.A. 94-91, eff. 7-1-05.) (30 ILCS 425/4) (from Ch. 127, par. 2804) Sec. 4. Purposes of Bonds. Bonds shall be issued for the following purposes and in the approximateamounts as set forth below: (a) $2,917,000,000 $2,417,000,000 for the expenses of issuance and sale of Bonds, including bonddiscounts, and for planning, engineering, acquisition, construction, reconstruction, development,improvement and extension of the public infrastructure in the State of Illinois, including: the making ofloans or grants to local governments for waste disposal systems, water and sewer line extensions and water distribution and purification facilities, rail or air or water port improvements, gas and electric utilityextensions, publicly owned industrial and commercial sites, buildings used for public administrationpurposes and other public infrastructure capital improvements; the making of loans or grants to units of

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[May 20, 2009] 96 local government for financing and construction of wastewater facilities; refinancing or retiring bondsissued between January 1, 1987 and January 1, 1990 by home rule municipalities, debt service on which is provided from a tax imposed by home rule municipalities prior to January 1, 1990 on the sale of food anddrugs pursuant to Section 8-11-1 of the Home Rule Municipal Retailers' Occupation Tax Act or Section8-11-5 of the Home Rule Municipal Service Occupation Tax Act; the making of deposits not to exceed$70,000,000 in the aggregate into the Water Pollution Control Revolving Fund to provide assistance inaccordance with the provisions of Title IV-A of the Environmental Protection Act; the planning, engineering, acquisition, construction, reconstruction, alteration, expansion, extension and improvement ofhighways, bridges, structures separating highways and railroads, rest areas, interchanges, access roads toand from any State or local highway and other transportation improvement projects which are related toeconomic development activities; the making of loans or grants for planning, engineering, rehabilitation,improvement or construction of rail and transit facilities; the planning, engineering, acquisition, construction, reconstruction and improvement of watershed, drainage, flood control, recreation and relatedimprovements and facilities, including expenses related to land and easement acquisition, relocation,control structures, channel work and clearing and appurtenant work; the making of grants for improvementand development of zoos and park district field houses and related structures; and the making of grants forimprovement and development of Navy Pier and related structures. (b) $196,000,000 $186,000,000 for fostering economic development and increased employment and thewell being of the citizens of Illinois, including: the making of grants for improvement and development ofMcCormick Place and related structures; the planning and construction of a microelectronics researchcenter, including the planning, engineering, construction, improvement, renovation and acquisition ofbuildings, equipment and related utility support systems; the making of loans to businesses and investments in small businesses; acquiring real properties for industrial or commercial site development; acquiring,rehabilitating and reconveying industrial and commercial properties for the purpose of expandingemployment and encouraging private and other public sector investment in the economy of Illinois; thepayment of expenses associated with siting the Superconducting Super Collider Particle Accelerator inIllinois and with its acquisition, construction, maintenance, operation, promotion and support; the making of loans for the planning, engineering, acquisition, construction, improvement and conversion of facilitiesand equipment which will foster the use of Illinois coal; the payment of expenses associated with thepromotion, establishment, acquisition and operation of small business incubator facilities and agribusinessresearch facilities, including the lease, purchase, renovation, planning, engineering, construction andmaintenance of buildings, utility support systems and equipment designated for such purposes and the establishment and maintenance of centralized support services within such facilities; and the making ofgrants or loans to units of local government for Urban Development Action Grant and Housing Partnershipprograms. (c) $1,352,358,100 $1,052,358,100 for the development and improvement of educational, scientific,technical and vocational programs and facilities and the expansion of health and human services for allcitizens of Illinois, including: the making of construction and improvement grants and loans to public libraries and library systems; the making of grants and loans for planning, engineering, acquisition andconstruction of a new State central library in Springfield; the planning, engineering, acquisition andconstruction of an animal and dairy sciences facility; the planning, engineering, acquisition andconstruction of a campus and all related buildings, facilities, equipment and materials for RichlandCommunity College; the acquisition, rehabilitation and installation of equipment and materials for scientific and historical surveys; the making of grants or loans for distribution to eligible vocationaleducation instructional programs for the upgrading of vocational education programs, school shops andlaboratories, including the acquisition, rehabilitation and installation of technical equipment and materials;the making of grants or loans for distribution to eligible local educational agencies for the upgrading ofmath and science instructional programs, including the acquisition of instructional equipment and materials; miscellaneous capital improvements for universities and community colleges including theplanning, engineering, construction, reconstruction, remodeling, improvement, repair and installation ofcapital facilities and costs of planning, supplies, equipment, materials, services, and all other requiredexpenses; the making of grants or loans for repair, renovation and miscellaneous capital improvements forprivately operated colleges and universities and community colleges, including the planning, engineering,acquisition, construction, reconstruction, remodeling, improvement, repair and installation of capitalfacilities and costs of planning, supplies, equipment, materials, services, and all other required expenses; and the making of grants or loans for distribution to local governments for hospital and other health carefacilities including the planning, engineering, acquisition, construction, reconstruction, remodeling,

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97 [May 20, 2009] improvement, repair and installation of capital facilities and costs of planning, supplies, equipment,materials, services and all other required expenses. (d) $150,150,900 for protection, preservation, restoration and conservation of environmental and naturalresources, including: the making of grants to soil and water conservation districts for the planning andimplementation of conservation practices and for funding contracts with the Soil Conservation Service forwatershed planning; the making of grants to units of local government for the capital development and improvement of recreation areas, including planning and engineering costs, sewer projects, includingplanning and engineering costs and water projects, including planning and engineering costs, and for theacquisition of open space lands, including the acquisition of easements and other property interests of lessthan fee simple ownership; the acquisition and related costs and development and management of naturalheritage lands, including natural areas and areas providing habitat for endangered species and nongame wildlife, and buffer area lands; the acquisition and related costs and development and management ofhabitat lands, including forest, wildlife habitat and wetlands; and the removal and disposition of hazardoussubstances, including the cost of project management, equipment, laboratory analysis, and contractualservices necessary for preventative and corrective actions related to the preservation, restoration andconservation of the environment, including deposits not to exceed $60,000,000 in the aggregate into the Hazardous Waste Fund and the Brownfields Redevelopment Fund for improvements in accordance with theprovisions of Titles V and XVII of the Environmental Protection Act. (e) The amount specified in paragraph (a) above shall include an amount necessary to pay reasonableexpenses of each issuance and sale of the Bonds, as specified in the related Bond Sale Order (hereinafterdefined). (f) Any unexpended proceeds from any sale of Bonds which are held in the Build Illinois Bond Fund may be used to redeem, purchase, advance refund, or defease any Bonds outstanding. (Source: P.A. 91-39, eff. 6-15-99; 91-53, eff. 6-30-99; 91-709, eff. 5-17-00; 92-9, eff. 6-11-01; 92-598, eff. 6-28-02.) (30 ILCS 425/13) (from Ch. 127, par. 2813) Sec. 13. Computation of Principal and Interest; Transfer from Build Illinois Bond Account; Paymentfrom Build Illinois Bond Retirement and Interest Fund. Upon each delivery of Bonds authorized to beissued under this Act, the trustee under the Master Indenture shall compute and certify to the Director of theGovernor's Office of Management and Budget, the Comptroller and the Treasurer (a) the total amount ofthe principal of and the interest and the premium, if any, on the Bonds then being issued and on Bonds previously issued and outstanding that will be payable in order to retire such Bonds at their statedmaturities or mandatory sinking fund payment dates and (b) the amount of principal of and interest andpremium, if any, on such Bonds that will be payable on each principal, interest and mandatory sinking fundpayment date according to the tenor of such Bonds during the then current and each succeeding fiscal year.Such certifications shall include with respect to interest payable on Variable Rate Bonds the maximum amount of interest which may be payable for the relevant period after taking into account any creditspermitted in the related indenture against the amount of such interest required to be appropriated for such period pursuant to subsection (c) of Section 11 of this Act. On or before June 20, 1993 and on or before each June 20 thereafter so long as Bonds remainoutstanding, the trustee under the Master Indenture shall deliver to the Director of the Governor's Office of Management and Budget (formerly Bureau of the Budget), the Comptroller and the Treasurer a certificatesetting forth the "Certified Annual Debt Service Requirement" (hereinafter defined) for the next succeedingfiscal year. If Bonds are issued subsequent to the delivery of any such certificate, upon the issuance of suchBonds the trustee under the Master Indenture shall deliver a supplemental certificate setting forth therevisions, if any, in the Certified Annual Debt Service Requirement resulting from the issuance of such Bonds. The "Certified Annual Debt Service Requirement" for any fiscal year shall be an amount equal to(a) the aggregate amount of principal, interest and premium, if any, payable on outstanding Bonds duringsuch fiscal year plus (b) the amount required to be deposited into any reserve fund securing such Bonds orfor the purpose of retiring or defeasing such Bonds plus (c) the amount of any deficiencies in requiredtransfers of amounts described in clauses (a) and (b) for any prior fiscal year, minus (d) the amount, if any, of such interest to be paid from Bond proceeds on deposit under any indenture; provided, however, thatinterest payable on Variable Rate Bonds shall be calculated at the maximum rate of interest which may be payable during such fiscal year after taking into account any credits permitted in the related indentureagainst the amount of such interest required to be appropriated for such period pursuant to subsection (c) ofSection 11 of this Act. In each month during fiscal years 1986 through 1993, the State Treasurer and Comptroller shall transfer,

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[May 20, 2009] 98 on the last day of such month, from the Build Illinois Bond Account to the Build Illinois Bond Retirementand Interest Fund and shall make payment from the Build Illinois Bond Retirement and Interest Fund to the trustee under the Master Indenture of an amount equal to 1/12 of 150% of the amount set forth below foreach such fiscal year, plus any cumulative deficiency in such transfers and payments for prior months; provided that such transfers shall commence in October, 1985 and such amounts for fiscal year 1986 shallequal 1/9 of 150% of the amount set forth below for such fiscal year: Fiscal Year Amount1986 $15,000,0001987 $25,000,0001988 $40,000,0001989 $54,000,0001990 $85,400,0001991 $133,600,0001992 $164,400,0001993 $188,900,000 provided that payments of such amounts from the Build Illinois Bond Retirement and Interest Fund to thetrustee under the Master Indenture shall commence on the last day of the month in which Bonds are initially issued under this Act; and, further provided, that the first such payment to said trustee shall equalthe entire amount then on deposit in the Build Illinois Bond Retirement and Interest Fund; and, furtherprovided, that the aggregate amount of transfers and payments for any such fiscal year shall not exceed theamount set forth above for such fiscal year. In each month in which Bonds are outstanding during fiscal year 1994 and each fiscal year thereafter, the State Treasurer and Comptroller shall transfer, on the last day of such month, (i) with respect to Bonds constituting bonds issued pursuant to the bond authorization enacted pursuant to this amendatory Act of the96th General Assembly (and any refunding Bonds issued to refund such Bonds), first from the CapitalProjects Fund and second, if needed, from the Build Illinois Bond Account and (ii) with respect to all otherBonds not described in clause (i), from the Build Illinois Bond Account, in each case, from the Build Illinois Bond Account to the Build Illinois Bond Retirement and Interest Fund and shall make paymentfrom the Build Illinois Bond Retirement and Interest Fund to the trustee under the Master Indenture of anamount equal to the greater of (a) 1/12th of 150% of the Certified Annual Debt Service Requirement or (b)the Tax Act Amount (as defined in Section 3 of the "Retailers' Occupation Tax Act", as amended)deposited in the Build Illinois Bond Account during such month, plus any cumulative deficiency in such transfers and payments for prior months; provided that such transfers and payments for any such fiscal yearshall not exceed the greater of (a) the Certified Annual Debt Service Requirement or (b) the Tax ActAmount. (Source: P.A. 94-793, eff. 5-19-06.) Section 99. Effective date. This Act takes effect July 1, 2009.". AMENDMENT NO. 2 . Amend House Bill 2400, AS AMENDED, with reference to page and linenumbers of Senate Amendment No. 1, by deleting lines 5 through 26 of page 3 and lines 1 through 11 of page 4. The foregoing message from the Senate reporting Senate Amendments numbered 1 and 2 to HOUSE BILL 2400 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 2335

A bill for AN ACT concerning business. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 2335 Senate Amendment No. 3 to HOUSE BILL NO. 2335 Passed the Senate, as amended, May 20, 2009.

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Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 2335 by replacing everything after the enacting clausewith the following: "Section 5. The Limited Liability Company Act is amended by adding Section 1-26 as follows: (805 ILCS 180/1-26 new) Sec. 1-26. Certificate of Registration; Department of Financial and Professional Regulation. A limitedliability company shall not open, operate, or maintain an establishment for any of the purposes for which alimited liability company may be organized under this Act without a certificate of registration from theDepartment of Financial and Professional Regulation authorized by law to license individuals to engage inthe profession or related professions concerned, for the professions as provided in paragraphs (3) and (4) of Section 1-25 or in any licensing Act administered by the Department in which any licensee intending toorganize as a limited liability company may incorporate as a professional corporation. Application for such registration shall be made in writing and shall contain the name and address of thelimited liability company and such other information as may be required by the Department. Upon receiptof such application, the Department shall make an investigation of the limited liability company. If the Department finds that the organizers, managers, and members are each licensed pursuant to the laws ofIllinois to engage in the particular profession or related professions involved (except that an initialorganizer may be a licensed attorney) and if no disciplinary action is pending before the Departmentagainst any of them and if it appears that the limited liability company will be conducted in compliancewith the law and the rules and regulations of the Department, the Department shall issue, upon payment of a registration fee of $50, a certificate of registration. Upon written application of the holder, the Department shall renew the certificate if it finds that thelimited liability company has complied with its regulations and the provisions of this Act and the applicablelicensing Act. This fee for the renewal of a certificate of registration shall be calculated at the rate of $40per year. The certificate of registration shall be conspicuously posted upon the premises to which it is applicable, and the limited liability company shall have only those offices which are designated by streetaddress in the articles of organization, or as changed by amendment of such articles. A certificate ofregistration shall not be assignable. Section 99. Effective date. This Act takes effect upon becoming law.". AMENDMENT NO. 3 . Amend House Bill 2335, AS AMENDED, by replacing everything after theenacting clause with the following: "Section 5. The Limited Liability Company Act is amended by adding Section 1-26 as follows: (805 ILCS 180/1-26 new) Sec. 1-26. Certificate of Registration; Department of Financial and Professional Regulation. This Sectionapplies only to a limited liability company that intends to provide, or does provide, professional servicesthat require the individuals engaged in the profession to be licensed by the Department of Financial andProfessional Regulation. A limited liability company covered by this Section shall not open, operate, or maintain an establishment for any of the purposes for which a limited liability company may be organizedunder this Act without obtaining a certificate of registration from the Department. Application for such registration shall be made in writing and shall contain the name and address of thelimited liability company and such other information as may be required by the Department. Upon receiptof such application, the Department shall make an investigation of the limited liability company. If the Department finds that the organizers, managers, and members are each licensed pursuant to the laws ofIllinois to engage in the particular profession or related professions involved (except that an initialorganizer may be a licensed attorney) and if no disciplinary action is pending before the Departmentagainst any of them and if it appears that the limited liability company will be conducted in compliancewith the law and the rules and regulations of the Department, the Department shall issue, upon payment of a registration fee of $50, a certificate of registration. Upon written application of the holder, the Department shall renew the certificate if it finds that thelimited liability company has complied with its regulations and the provisions of this Act and the applicable licensing Act. This fee for the renewal of a certificate of registration shall be calculated at the rate of $40per year. The certificate of registration shall be conspicuously posted upon the premises to which it is applicable, and the limited liability company shall have only those offices which are designated by streetaddress in the articles of organization, or as changed by amendment of such articles. A certificate of

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[May 20, 2009] 100 registration shall not be assignable. Section 99. Effective date. This Act takes effect upon becoming law.". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 3 to HOUSE BILL 2335 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 2394

A bill for AN ACT concerning local government. Together with the attached amendment thereto (which amendment has been printed by the Senate),

in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 2 to HOUSE BILL NO. 2394 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 2 . Amend House Bill 2394 on page 32, line 1, immediately before"Notwithstanding", by inserting "(p-1)"; and on page 32, by replacing line 12 with the following: "(q) "Redevelopment project costs", except for redevelopment project areas created pursuant tosubsection (p-1), mean and include the sum"; and on page 50, immediately below line 1, by inserting the following: "(q-1) For redevelopment project areas created pursuant to subsection (p-1), "redevelopment project costs" are limited to those costs in paragraph (q) that are related to the existing or proposed RegionalTransportation Authority Suburban Transit Access Route (STAR Line) station."; and on page 85, line 16, before "Notwithstanding", by inserting "(p-1)"; and on page 86, by replacing line 1 with the following: "(q) "Redevelopment project costs", except for redevelopment project areas created pursuant tosubsection (p-1), mean and include the sum"; and on page 103, immediately below line 16, by inserting the following: "(q-1) For redevelopment project areas created pursuant to subsection (p-1), "redevelopment project costs" are limited to those costs in paragraph (q) that are related to the existing or proposed RegionalTransportation Authority Suburban Transit Access Route (STAR Line) station.". The foregoing message from the Senate reporting Senate Amendment No. 2 to HOUSE BILL 2394 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 312

A bill for AN ACT making appropriations. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 312 Senate Amendment No. 2 to HOUSE BILL NO. 312 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1. Amend House Bill 312 by deleting everything after the enacting clause and

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101 [May 20, 2009]

inserting in lieu thereof with the following: “ARTICLE 5

ARCHITECT OF THE CAPITOL Section 5. The amount of $3,883, or so much of this amount as may be necessary and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purpose in Section 5 of Article 27 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Office of the Architect of the Capitol for plans, specifications, and continuation of work pursuant to the report and recommendations of the architectural, structural, and mechanical surveys of the State Capitol Building. This is for the continuation of the rehabilitation of the Capitol Building. Section 10. The sum of $553,641, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Section 10 of Article 27 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Office of the Architect of the Capitol for remodeling, planning, relocation, permanent equipment, and other related expenses, including architectural and engineering fees associated with construction, for the remodeling of office space and other support areas under the jurisdiction of the House of Representatives and the Senate. Section 15. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Sections 5 and 10 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 5.........................................................................$557,524

ARTICLE 10 DEPARTMENT OF AGRICULTURE

Section 5. The following named amounts, or so much thereof as may be necessary are appropriated to the Department of Agriculture for repairs, maintenance, and capital improvements including construction, reconstruction, improvement, repair and installation of capital facilities, cost of planning, supplies, materials, equipment, services and all other expenses required to complete the work: Payable from Agricultural Premium Fund: For various projects at the State Fairgrounds ....................................................................................... 600,000 For various projects at the DuQuoin State Fairgrounds ....................................................................................... 250,000 Total.........................................................................................$850,000 Section 15. The amount of $2,612,500, or so much thereof as may be necessary, is appropriated from the Partners for Conservation Projects Fund to the Department of Agriculture for the Conservation Practices Cost-Share program. Section 20. The amount of $2,612,500, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Agriculture for deposit into the Partners for Conservation Projects Fund. Total, Article 10....................................................................$6,075,000

ARTICLE 15 DEPARTMENT OF CENTRAL MANAGEMENT SERVICES

Section 5. The amount of $13,500,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Central Management Services for infrastructure improvement, hardware and related costs. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 15..................................................................$13,500,000

ARTICLE 20 DEPARTMENT OF CENTRAL MANAGEMENT SERVICES

Section 5. The sum of $8,094,074, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 29, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Central Management Services for Information Technology infrastructure expenses including but not limited to related hardware and equipment. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in

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writing by the Governor. Total, Article 20....................................................................$8,094,074

ARTICLE 23 CAPITAL DEVELOPMENT BOARD

Section 5. The sum of $50,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Capital Development Board for grants awarded under the Community Health Center Construction Act.

ARTICLE 25 DEPARTMENT OF COMMERCE AND ECONOMIC OPPORTUNITY

Section 5. The sum of $3,000,000, or so much thereof as may be necessary, is appropriated from the Port Development Revolving Loan Fund to the Department of Commerce and Economic Opportunity for grants and loans associated with the Port Development Revolving Loan Program pursuant to 30 ILCS 750/9-11. Section 20. The sum of $17,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Fermi National Accelerator Laboratory for the Illinois Accelerator Research Center. Section 25. The sum of $13,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the Advanced Protein Crystallization Facility. Section 30. The sum of $60,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to University of Illinois at Urbana/Champaign for all costs associated with design and construction of a Petascale Computing Facility. Section 45. The amount of $25,000,000 or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the redevelopment of brownfield sites. Section 50. No contract shall be entered into or obligation incurred or any expenditure made from any appropriation herein made in this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 25................................................................$118,000,000

ARTICLE 30 DEPARTMENT OF COMMERCE AND ECONOMIC OPPORTUNITY

Section 5. The sum of $50,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 31, Section 10 of Public Act 95-734, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for grants pursuant to 20 ILCS 605/605-332 – Coal Revival Program. Section 10. The sum of $1,975,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 31, Section 40 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the Illinois Renewable Fuels Development Act. Section 15. The sum of $13,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 31, Section 45 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Argonne National Laboratory for the Rare Isotope Accelerator for bondable infrastructure improvements. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 20. The amount of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 75 of Public Act 95-734, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the specific purposes of acquisition, development, construction, reconstruction, improvement, financing, architectural and technical planning and installation of capital facilities consisting of buildings, structures, durable equipment, and land for the purpose of capital development of coal resources within the State. Section 25. The amount of $17,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article

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31, Section 80 of Public Act 95-734, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the specific purposes of acquisition, development, construction, reconstruction, improvement, financing, architectural and technical planning and installation of capital facilities consisting of buildings, structures, durable equipment, and land for the purpose of capital development of coal resources within the State, including but not limited to a grant for a commercial scale project that produces electric power and hydrogen and demonstrates underground storage of up to 1 million metric tons annually of carbon dioxide. Section 30. The amount of $7,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 90 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the Advanced Protein Crystallization Facility. Section 35. The amount of $15,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 95 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant for the Illinois Science and Technology Park. Section 40. The amount of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 105 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Fermi National Accelerator Laboratory for the Illinois Accelerator Research Center. Section 45. The amount of $20,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 120 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the Illinois Renewable Fuels Development Act. Section 50. The amount of $15,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 125 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the redevelopment of brownfield sites. Section 55. The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 1, Section 10 of Public Act 95-1030, is reappropriated from the FY09 Budget Relief Fund to the Department of Commerce and Economic Opportunity for the Illinois Rural HealthNet. Section 60. The amount of $35,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 2, Section 20 of Public Act 95-1030, is reappropriated from the Coal Development Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of facility cost reports prepared pursuant to Section 1-75(d)(4) of the Illinois Power Agency Act. Section 65. No contract shall be entered into or obligation incurred or any expenditure made from any appropriation herein made in this Article in Sections 5 through 50, until after the purpose and amounts have been approved in writing by the Governor. Total, Article 30................................................................$183,975,000

ARTICLE 35 DEPARTMENT OF NATURAL RESOURCES

GRANTS AND REIMBURSEMENTS - GENERAL OFFICE Section 10. The sum of $725,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for the administration and payment of grants to local governmental units for the construction, maintenance, and improvement of boat access areas. Section 15. The sum of $120,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for the purposes of the Snowmobile Registration and Safety Act and for the administration and payment of grants to local governmental units for the construction, land acquisition, lease, maintenance and improvement of snowmobile trails and access areas.

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Section 20. To the extent federal funds including reimbursements are available for such purposes, the sum of $75,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program. Section 25. The sum of $150,000, new appropriation, is appropriated from the State Boating Act Fund to the Department of Natural Resources for a grant to the Chain O’Lakes – Fox River Waterway Management Agency for the Agency’s operational expenses. Section 30. The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources: Payable from State Boating Act Fund: For multiple use facilities and programs for boating purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies and all other expenses required to comply with the intent of this appropriation..............................................................1,500,000 Payable from State Parks Fund: For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ...........................................................150,000 Section 35. The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for acquisition and development, including grants, for the implementation of the North American Waterfowl Management Plan within the Dominion of Canada or the United States which specifically provides waterfowl for the Mississippi Flyway. Section 40. To the extent federal funds including reimbursements are available for such purposes, the sum of $100,000, or so much thereof as may be necessary, is appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for construction and renovation of waste reception facilities for recreational boaters, including grants for such purposes authorized under the Clean Vessel Act. Section 50. The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Forest Reserve Fund: For U.S. Forest Service Program.....................................................500,000 Section 55. The sum of $110,000, or so much thereof as may be necessary, is appropriated from the Plugging and Restoration Fund to the Department of Natural Resources, Office of Mines and Minerals for the Landowner Grant Program authorized under the Oil and Gas Act, as amended by Public Act 90-0260. Section 60. The sum of $1,500,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the Abandoned Mined Lands Set Aside Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines and any other expenses necessary for emergency response. Section 65. The sum of $99,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing

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mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended. Section 70. The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources: Payable from Natural Areas Acquisition Fund: For the acquisition, preservation and stewardship of natural areas, including habitats for endangered and threatened species, high quality natural communities, wetlands and other areas with unique or unusual natural heritage qualities .................................................................3,000,000 Section 75. The sum of $17,000,000, or so much thereof as may be necessary, is appropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments and to distressed communities as provided in the "Open Space Lands Acquisition and Development Act". Section 80. The sum of $495,000, or so much thereof as may be necessary, is appropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended.

FOR ILLINOIS HABITAT FUND PROGRAM Section 85. The sum of $1,215,000, or so much thereof as may be necessary, is appropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended. Section 90. The sum of $225,000, or so much thereof as may be necessary, is appropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates. Section 95. The sum of $800,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources for expenditure by the Office of Water Resources from the Flood Control Land Lease Fund for disbursement of monies received pursuant to Act of Congress dated September 3, 1954 (68 Statutes 1266, same as appears in Section 701c-3, Title 33, United States Code Annotated), provided such disbursement shall be in compliance with 15 ILCS 515/1 Illinois Compiled Statutes. Section 100. The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Land and Water Recreation Fund: For Outdoor Recreation Programs..............................................$6,200,000 Section 105. The sum of $600,000, or so much thereof as may be necessary, is appropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including administration, enforcement, planning and implementation of this Act. Section 110. The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Federal Title IV Fire Protection Assistance Fund: For Rural Community Fire Protection Programs ..........................................................................................$325,000 Section 115. The sum of $80,000, or so much thereof as may be necessary, is appropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration

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and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles. Section 120. The sum of $625,000, or so much thereof as may be necessary, is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended. Section 125. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $300,000, is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance. Section 130. The sum of $144,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the payment of grants for the implementation of the North American Waterfowl Management Plan within the Dominion of Canada or the United States which specifically provides waterfowl to the Mississippi Flyway as provided in the "Wildlife Code", as amended. Section 135. The sum of $144,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the payment of grants for the development of waterfowl propagation areas within the Dominion of Canada or the United States which specifically provide waterfowl for the Mississippi Flyway as provided in the "Wildlife Code", as amended. Section 140. The sum of $500,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of attracting waterfowl and improving public migratory waterfowl areas within the State. Section 145. The sum of $3,000,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths. Section 150. The sum of $750,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths. Section 155. The sum of $2,000,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for the development and maintenance, and other related expenses of recreational trails and trail-related projects authorized under the Intermodal Surface Transportation Efficiency Act of 1991, provided such amount shall not exceed funds to be made available for such purposes from state or federal sources. Section 160. The following named sum, new appropriation, or so much thereof as may be necessary, for the object and purpose hereinafter named, is appropriated to the Department of Natural Resources: Payable from the Park and Conservation Fund: For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ........................................................2,000,000 Section 165. The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources: Payable from the Adeline Jay Geo-Karis Illinois Beach Marina Fund: For rehabilitation, reconstruction, repair, replacing, fixed assets, and improvement of facilities at North Point Marina at Winthrop Harbor..............................................................................$375,000 Section 170. The sum of $6,000,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the Abandoned Mined Lands Reclamation Council Federal

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Trust Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines, and any other expenses necessary for emergency response. Section 175. The sum of $45,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for the non-federal cost share of a Conservation Reserve Enhancement Program to establish long-term contracts and permanent conservation easements in the Illinois River Basin; to fund cost-share assistance to landowners to encourage approved conservation practices in environmentally sensitive and highly erodible areas of the Illinois River Basin; and to fund the monitoring of long-term improvements of these conservation practices as required in the Memorandum of Agreement between the State of Illinois and the United States Department of Agriculture. Section 180. The sum of $42,015,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for water development projects at the approximate cost set forth below: Addison Creek - Cook & Dupage Counties - For construction of the Addison Creek Flood Control Project as developed by the Addison Creek Restoration Commission .......................................................................................500,000 Ashland – Cass County – For construction of a flood control project to relieve flooding......................................................500,000 Blackberry Creek - Kane & Kendall Counties - For assistance in implementation of the Blackberry Creek Watershed Plan........................................................................140,000 County Stormwater Improvements – For funding to assist County Stormwater Programs with implementation of flood relief projects...............................................................................................600,000 Crystal Creek – Cook County – To design and construct the Crystal Creek Flood Control Project in Schiller Park and Franklin Park ..................................................1,100,000 Des Plaines River Phase 1 Big Bend Lake - Cook County – For non-federal cost sharing requirements of the Upper Des Plaines Flood Control Project, Phase 1 ..........................................................................................10,800,000 East St. Louis Ecosystem and IFC - Madison & St. Clair Counties - For the non-federal funding to design and construct this multipurpose ecosystem project ...............................................1,700,000 Edinburg - Christian County – For construction of a flood water storage facility and local channel modifications ........................................................................550,000 Flood Hazard Mitigation – Statewide - For cost sharing to acquire repetitive and severely damaged flood prone structures.......................................................................................10,000,000 Granite City Groundwater Pumping – To implement the pilot project

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to reduce flood damages associated with high groundwater ....................................................................1,200,000 Hickory/Spring Creek – Will County – For implementation of Stage IIIb-2 of channel construction of Hickory/Spring Creeks flood control project in cooperation with the City of Joliet......................................................................4,500,000 Hickory/Spring Creek – Will County – For implementation of Stage IV-A of channel construction of Hickory/Spring Creeks flood control project in cooperation with the City of Joliet......................................................................7,600,000 Mattoon - Coles County – For implementation of local improvements to reduce flood damages .................................................................................1,000,000 North Branch Chicago River – Lake County - For assistance in implementation of flood damage reduction measures in the watershed....................................................30,000 Village of Union - McHenry County - For the implementation of flood damage relief measures...................................................................1,125,000 Small Drainage and Flood Control Projects - to fund flood damage reduction projects in partnership with local units of government ...........................................................................670,000 Section 185. The sum of $40,500,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for improvements needed at State-owned Dams for upgrading and rehabilitation of dams, spillways and supporting facilities, including dam removals and the required geotechnical investigations, preparation of plans and specifications, and the construction of the proposed rehabilitation to ensure reduced risk of injury to the public. Section 190. The sum of $14,950,000, or so much thereof as may be necessary is appropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers. Section 200. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $15,000,000 is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the purpose of advancing forestry resources in Illinois pursuant to the American Recovery and Reinvestment Act of 2009. Section 205. The sum of $150,000,000, or so much thereof as may be necessary is appropriated from the Build Illinois Bond Fund to the Department of Natural Resources for capital grants to parks or reactional units for permanent improvements. Section 210. The sum of $50,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for capital grants to public museums for permanent improvements. Section 215. No contract shall be entered into or obligation incurred or any expenditure made from appropriations herein made in Sections 175, 180, 185, 190 and 195 of this Article until after the purpose and amount of such expenditure has been approved in writing by the Governor. Total, Article 35................................................................$408,372,000

ARTICLE 40 DEPARTMENT OF NATURAL RESOURCES

Section 5. The sum of $4,198,641, or so much thereof as may be necessary and as remains

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unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 10 and Article 33, Section 5, of Public Act 95-734, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for the administration and payment of grants to local governmental units for the construction, maintenance, and improvement of boat access areas. Section 15. The sum of $405,158, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 15, and Article 33, Section 15, of Public Act 95-734, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for the purposes of the Snowmobile Registration and Safety Act and for the administration and payment of grants to local governmental units for the construction, land acquisition, lease, maintenance and improvement of snowmobile trails and access areas. Section 30. To the extent federal funds including reimbursements are available for such purposes, the sum of $1,188,900, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 20, and Article 33, Section 30 of Public Act 95-734, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program. Section 35. The following named sums, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from State Boating Act Fund: (From Article 32, Section 30, and Article 33, Section 35, of Public Act 95-734, as amended) For multiple use facilities and programs for boating purposes provided by the Department of Natural Resources including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies and all other expenses required to comply with the intent of this appropriation ........................................................5,238,507 Section 45. The following named sums, or so much thereof as may be necessary, respectively, and as remain unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from the State Parks Fund: (From Article 32, Section 30, and Article 33, Section 45 of Public Act 95-734, as amended) For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ........................................................1,162,721 (From Article 33, Section 45 of Public Act 95-734, as amended) For multiple use facilities and purposes provided by the Department of Natural Resources, including construction and development, all costs

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for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ...........................................................244,857 Section 48. The sum of $1,563,081, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 33, Section 48 of Public Act 95-734, as amended, is reappropriated from the State Park Fund to the Department of Natural Resources, in coordination with the Capital Development Board, for the development of the World Shooting and Recreation Complex including all construction and debt service expenses required to comply with this appropriation. Provided further, to the extent that revenues are received for such purposes, said revenues must come from non-State sources. Section 50. The sum of $6,882,757, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 33, Section 50 of Public Act 95-734, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for wildlife conservation and restoration plans and programs from federal and/or state funds provided for such purposes. Section 60. To the extent federal funds including reimbursements are available for such purposes, the sum of $726,672, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 40 and Article 33, Section 60 of Public Act 95-734, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for construction and renovation of waste reception facilities for recreational boaters, including grants for such purposes authorized under the Clean Vessel Act. Section 70. The sum of $735,997, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 70 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers. Section 75. The sum of $2,678,269, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 75 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers. Section 80. The sum of $16,825,331, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 80, of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands. Section 85. The sum of $1,918,701, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 85 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for the non-federal cost share of a Conservation Reserve Enhancement Program to establish long-term contracts and permanent conservation easements in the Illinois River Basin; to fund cost-share assistance to landowners to encourage approved conservation practices in environmentally sensitive and highly erodible areas of the Illinois River Basin; and to fund the monitoring of long term improvements of these conservation practices as required in the Memorandum of Agreement between the State of Illinois and the United States Department of Agriculture. Section 95. The sum of $503,341, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 95 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for the acquisition of lands, buildings, and structures, including easements and other property interests, located in the 100-year floodplain in counties or portions of counties authorized to prepare stormwater management plans and for removing such buildings and structures and preparing the site for open space use. Section 100. The sum of $8,145,019, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article

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33, Section 100 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for water development projects at the approximate cost set forth below: Union - McHenry County - for flood control and drainage improvement of unnamed Kishwaukee River tributary .................................................................200,000 Flood Hazard Mitigation - For implementation of flood hazard mitigation plans, and acquisition of wetland and tree mitigation sites for state and local joint flood control projects in cooperation with federal agencies, state agencies, and units of local government, in various counties ............................................................................3,170,130 Fox Chain of Lakes - Lake and McHenry Counties - For the state cost share in implementation of the comprehensive Dredging and Disposal Plan, including beneficial use of dredge material and island creation, for the Fox River and Chain of Lakes .....................................................................................274,889 Fox River Dams - Kane County - For rehabilitation, modification, and reconstruction of Batavia and Yorkville Dams ..........................................................................2,600,000 East St. Louis & Vicinity Flood Control - Madison and St. Clair Counties - For partial payment of the non-federal cost requirement of an interior flood protection project and ecosystem restoration at East St. Louis and Vicinity area................................................................1,800,000 Small Drainage and Flood Control Projects - For implementation of small drainage and flood control improvements in accordance with plans developed in cooperation with local governments and school districts, not to exceed $100,000 at any single locality .................................................................................................100,000 Total......................................................................................$8,145,019

FOR WATERWAY IMPROVEMENTS Section 105. The sum of $13,771,873, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 105 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for the following projects at the approximate costs set forth below: Addison Creek Watershed - Cook and DuPage Counties...........................................................................214,700 Chicago Harbor Leakage Control - Cook County - For implementation of a project to identify, measure, control, and eliminate leakage flows through controlling structures at the mouth of the Chicago River in cooperation with federal agencies and units of local government.....................................................................990,400 Crisenberry Dam - Jackson County:

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For complete rehabilitation of the dam and spillway, including the required geotechnical investigation, the preparation of plans and specifications, and the construction of the proposed rehabilitation ..............................................................423,000 Crystal Creek - Cook County.............................................................2,864,324 East St. Louis and Vicinity Flood Control - Madison and St. Clair Counties - For partial payment of the non-federal cost requirements of an interior flood protection project and ecosystem restoration at East St. Louis and Vicinity area...........................................................376,500 Flood Mitigation - Disaster Declaration Areas .............................................................................1,909,188 Fox Chain O'Lakes - Lake and McHenry Counties ..........................................................................................1,815,911 Fox River Dams - Kane, Kendall and McHenry Counties .....................................................................2,586,269 Granite City - Area Groundwater- Madison County...................................................................................300,000 Hickory/Spring Creeks Watershed - Cook and Will Counties.......................................................................265,800 Kyte River - Rochelle, Ogle County.....................................................450,900 Loves Park - Winnebago County ..........................................................178,500 Prairie/Farmers Creek - Cook County...................................................912,815 Rock River Dams - Rock Island and Whiteside Counties ................................................................................79,566 Small Drainage and Flood Control Projects - Statewide (not to exceed $100,000 at any locality)......................................................................374,000 Union - McHenry County .......................................................................30,000 Total....................................................................................$13,771,873 Section 110. The sum of $31,340, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 110 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources in cooperation with federal agencies, state agencies and units of local government in the implementation of flood hazard mitigation plans in counties that received a Presidential Disaster Declaration as a result of flooding in calendar years 1993 and thereafter, in accordance with reports filed under Section 5 of the "Flood Control Act of 1945". Section 115. The sum of $25,098, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 33, Section 115 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements. Section 130. The amount of $1,314,656, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 130 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements. Section 135. The sum of $238,020, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 65 and Article 33, Section 135 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended.

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Section 145. The following named sum, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, is reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from Natural Areas Acquisition Fund: (From Article 32, Section 70 and Article 33, Section 145 of Public Act 95-734, as amended) For the acquisition, preservation and stewardship of natural areas, including habitats for endangered and threatened species, high quality natural communities, wetlands and other areas with unique or unusual natural heritage qualities ...........................................................................20,792,069 Section 150. The sum of $109,943,523, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 75 and Article 33, Section 150 of Public Act 95-734, as amended, is reappropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments as provided in the "Open Space Lands Acquisition and Development Act".

FOR STATE PHEASANT PROGRAM Section 160. The sum of $883,412, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 80 and Article 33, Section 160, of Public Act 95-734, as amended, is reappropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended. Section 170. The sum of $3,192,250, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 85 and Article 33, Section 170 of Public Act 95-734, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended. Section 180. The sum of $1,220,489, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 90, and Article 33, Section 180 of Public Act 95-734, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates. Section 190. The following named sum, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 100 and Article 33, Section 190 of Public Act 95-734, as amended, made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, is reappropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Land and Water Recreation Fund: For Outdoor Recreation Programs..............................................21,081,481 Section 195. The sum of $1,886,668, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 105 and Article 33, Section 195 of Public Act 95-734, as amended, is reappropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including administration, enforcement, planning and implementation of this Act. Section 205. The sum of $1,486,809, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such

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purposes in Article 33, Section 205 of Public Act 95-734, as amended, is reappropriated from the Partners for Conservation Projects Fund to the Department of Natural Resources for the acquisition, planning and development of land and long-term easements, and cost-shared natural resource management practices for ecosystem-based management of Illinois' natural resources, including grants for such purposes. Section 210. The sum of $2,314,763, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes in Article 33, Section 210 of Public Act 95-734, as amended, is reappropriated from the Partners for Conservation Projects Fund to the Department of Natural Resources for the acquisition, planning and development of land and long-term easements, and cost-shared natural resource management practices for ecosystem-based management of Illinois' natural resources, including grants for such purposes. Section 215. The following named sum, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 110 and Article 33, Section 215 of Public Act 95-734, as amended, made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, is reappropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Federal Title IV Fire Protection Assistance Fund: For Rural Community Fire Protection Program .........................................................................1,033,568 Section 225. The sum of $143,498, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 115 and Article 33, Section 225 of Public Act 95-734, as amended, is reappropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles. Section 235. The sum of $2,482,184, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 120 and Article 33, Section 235 of Public Act 95-734, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended. Section 245. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $642,780, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 125, and Article 33, Section 245 of Public Act 95-734, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance. Section 260. The sum of $2,791,528, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 140, and Article 33, Section 260 of Public Act 95-734, as amended, is reappropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of attracting waterfowl and improving public migratory waterfowl areas within the State.

FOR BIKEWAYS PROGRAMS Section 280. The sum of $17,782,121, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 145, and Article 33, Section 280 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths. Section 285. The following named sum, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 32, Section 160, and Article 33, Section 285 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources: Payable from the Park and Conservation Fund:

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For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ........................................................1,529,436 Section 300. The sum of $686,826, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 33, Section 300 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for multiple use facilities and programs for conservation purposes provided by the Department of Natural Resources, including repairing, maintaining, reconstructing, rehabilitating, replacing fixed assets, construction and development, marketing and promotions, all costs for supplies, materials, labor, land acquisition and its related costs, services, studies, and all other expenses required to comply with the intent of this appropriation. Section 305. The sum of $4,643,738, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 150, and Article 33, Section 305 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths. Section 310. The sum of $1,307,357, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 33, Section 310 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources from the Park and Conservation Fund for multiple use facilities and programs for conservation purposes provided by the Department of Natural Resources, including repairing, maintaining, reconstructing, rehabilitating, replacing fixed assets, construction and development, marketing and promotions, all costs for supplies, materials, labor, land acquisition and its related costs, services, studies, and all other expenses required to comply with the intent of this appropriation. Section 320. The sum of $7,618,254, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 155, and Article 33, Section 320 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for the development and maintenance of recreational trails and trail-related projects authorized under the Intermodal Surface Transportation Efficiency Act of 1991, provided such amount shall not exceed funds to be made available for such purposes from state or federal sources. Section 385. The following named sum, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from the Illinois Beach Marina Fund: (From Article 32, Section 165 and Article 33, Section 385 of Public Act 95-734, as amended) For rehabilitation, reconstruction, repair, replacing, fixed assets, and improvement of facilities at North Point Marina at Winthrop Harbor .............................................................................................1,135,535 Section 395. The sum of $16,993,585, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 170, and Article 33, Section 395 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources from the Abandoned Mined Lands Reclamation Council Federal Trust Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines, and any other expenses necessary for emergency response. Section 405. The sum of $4,535,000, or so much thereof as may be necessary and remains

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unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 405 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands. Section 410. The sum of $1,319,251, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 410 of Public Act 95-734, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for the acquisition, engineering and rehabilitation of dedicated hunting and fishing lands in conjunction with the Illinois Hunting Heritage Protection Act; however, no more than $1,500,000 of the total appropriation may be used for engineering and rehabilitation. Section 415. The sum of $20,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 33, Section 415 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for water resource management projects as authorized by subsection (g) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 420. The sum of $10,077,640, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 33, Section 420 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to local governments for the acquisition, financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land as authorized by subsection (l) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 425. The sum of $25,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 33, Section 425 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for the Illinois Open Land Trust Program as defined by the Illinois Open Land Trust Act as authorized by subsection (m) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 426. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 170 of Public Act 95-731 as amended by Public Act 96-004, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the purpose of advancing forestry resources in Illinois pursuant to the American Recovery and Reinvestment Act of 2009. Section 430. No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in Sections: 70 through 130, 190, 205, 210, 270 through 320, 405, 410, 415, 420 and 425 until after the purpose and amount of such expenditure has been approved in writing by the Governor. Total, Article 40................................................................$355,322,128

ARTICLE 45 DEPARTMENT OF MILITARY AFFAIRS

Section 5. The sum of $238,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 34, Section 5 of Public Act 95-734, is reappropriated from the Illinois National Guard Armory Construction Fund to the Department of Military Affairs for land acquisition and construction of parking facilities at armories. Total, Article 45.......................................................................$238,800

ARTICLE 50 DEPARTMENT OF TRANSPORTATION

PERMANENT IMPROVEMENTS Section 5. The sum of $5,400,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for Permanent Improvements to Illinois Department

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of Transportation facilities, including but not limited to the purchase of land, construction, repair, alterations and improvements to maintenance and traffic facilities, district and central headquarters facilities, storage facilities, grounds, parking areas and facilities, fencing and underground drainage, including plans, specifications, utilities and fixed equipment installed and all costs and charges incident to the completion thereof at various locations.

OTHER LUMP SUMS Section 10. The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named: For costs associated with the identification, corrective action, and disposal of hazardous materials at storage facilities...........................................................1,158,600 For Maintenance, Traffic and Physical Research Purposes (A)..................................................................30,129,100 For repair of damages by motorists to highway guardrails, fencing, lighting units, bridges, underpasses, signs, traffic signals, crash attenuators, landscaping, roadside shelters, rest areas, fringe parking facilities, sanitary facilities, maintenance facilities including salt storage buildings, vehicle weight enforcement facilities including scale houses, and other highway appurtenances, provided such amount shall not exceed funds to be made available from collections from claims filed by the Department to recover the costs of such damages ..............................................5,500,000 For Maintenance, Traffic and Physical Research Purposes (B) ..................................................................13,150,000 Total....................................................................................$49,937,700

HIGHWAY CONSTRUCTION AND LAND ACQUISITION GRANTS AND AWARDS

Section 15. The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named: For apportionment to counties for construction of township bridges 20 feet or more in length as provided in Section 6-901 through 6-906 of the "Illinois Highway Code"...............................................................15,000,000 For apportionment to needy Townships and Road Districts, as determined by the Department in consultation with the County Superintendents of Highways, Township Highway Commissioners, or Road District Highway Commissioners ..............................................................10,014,300 For apportionment to high-growth cities over 5,000 in population, as determined by the Department in consultation with the Illinois Municipal League ...........................................................................4,000,000 For apportionment to counties under 1,000,000 in population, $8,000,000 of the total apportioned in equal amounts to each eligible

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county, and $13,800,000 apportioned to each eligible county in proportion to the amount of motor vehicle license fees received from the residents of eligible counties ............................................................................21,800,000 Total....................................................................................$50,814,300

HIGHWAY CONSTRUCTION AND LAND ACQUISITION CONSTRUCTION

Section 20. The sum of $930,000,000, or so much thereof as may be necessary, is appropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of State highways, arterial highways, roads, access areas, roadside shelters, rest areas fringe parking facilities and sanitary facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the Road Improvement Program as approximated below: District 1, Schaumburg .................................................................243,993,600 District 2, Dixon .............................................................................53,956,700 District 3, Ottawa............................................................................55,904,000 District 4, Peoria .............................................................................36,214,500 District 5, Paris ...............................................................................30,155,000 District 6, Springfield......................................................................38,265,500 District 7, Effingham ......................................................................30,056,500 District 8, Collinsville...................................................................122,668,100 District 9, Carbondale .....................................................................31,670,100 Statewide (including refunds) .......................................................110,290,000 Engineering...................................................................................176,826,000 Total 930,000,000 ........................................... .......................................... Section 25. The sum of $310,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series A Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program as approximated below: District 1, Schaumburg .................................................................112,518,000 District 2, Dixon .............................................................................23,962,000 District 3, Ottawa............................................................................25,550,000 District 4, Peoria .............................................................................23,045,000 District 5, Paris ...............................................................................14,282,000 District 6, Springfield......................................................................19,230,000 District 7, Effingham ......................................................................22,302,000 District 8, Collinsville.....................................................................26,675,000 District 9, Carbondale .....................................................................17,300,000 Statewide (including refunds) .........................................................25,136,000 Engineering................................................................................................ 0 Total....................................................................................310,000,000 Section 27. The sum of $2,801,433,698, or so much thereof as may be necessary, is appropriated

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from the Transportation Bond Series D Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program as approximated below: District 1, Schaumburg .............................................................. 1,307,767,925 District 2, Dixon ...........................................................................321,800,800 District 3, Ottawa..........................................................................190,512,450 District 4, Peoria ...........................................................................200,107,500 District 5, Paris .............................................................................135,118,550 District 6, Springfield....................................................................159,863,500 District 7, Effingham ....................................................................116,729,223 District 8, Collinsville...................................................................229,600,000 District 9, Carbondale ...................................................................139,933,750 Statewide (including refunds) .........................................................................0 Engineering................................................................................................ 0 Total................................................................................. 2,801,433,698

HIGHWAY CONSTRUCTION AND LAND ACQUISITION LUMP SUMS

Section 30. The sum of $95,000,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program as approximated below: District 1, Schaumburg ...................................................................36,055,400 District 2, Dixon ...............................................................................7,973,300 District 3, Ottawa..............................................................................8,261,000 District 4, Peoria ...............................................................................5,351,500 District 5, Paris .................................................................................4,456,000 District 6, Springfield........................................................................5,654,500 District 7, Effingham ........................................................................4,441,500 District 8, Collinsville.....................................................................18,126,900 District 9, Carbondale .......................................................................4,679,900 Statewide (including refunds) .........................................................................0 Engineering................................................................................................ 0 Total......................................................................................95,000,000 Section 35. The sum of $499,185,700, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program as approximated below:

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District 1, Schaumburg .................................................................289,000,000 District 2, Dixon .............................................................................20,000,000 District 3, Ottawa............................................................................15,000,000 District 4, Peoria .............................................................................13,000,000 District 5, Paris ...............................................................................13,000,000 District 6, Springfield......................................................................15,000,000 District 7, Effingham ......................................................................14,000,000 District 8, Collinsville.....................................................................28,000,000 District 9, Carbondale .....................................................................10,000,000 Statewide (including refunds) .........................................................82,185,700 Total....................................................................................499,185,700 Section 36. The sum of $500,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series D Fund to the Department of Transportation for grants to counties, municipalities, and road districts for planning, engineering, acquisition, construction, reconstruction, development, improvement, extension, and all construction related expenses of the public infrastructure and other transportation improvement projects which are related to economic development in the State of Illinois allocated as follows: For the municipalities of the State ....................................$245,500,000 For the counties of the State having 1,000,000 or more inhabitants .............................................83,700,000 For the counties of the State having less than 1,000,000 inhabitants ...................................................91,350,000 For the road districts of the State ..........................................79,450,000 Total $500,000,000

GRADE CROSSING PROTECTION CONSTRUCTION

Section 40. The sum of $39,000,000 or so much thereof as may be necessary, is appropriated from the Grade Crossing Protection Fund to the Department of Transportation for the installation of grade crossing protection or grade separations at places where a public highway crosses a railroad at grade, as ordered by the Illinois Commerce Commission, as provided by law.

DIVISION OF AERONAUTICS AWARDS AND GRANTS

Section 45. The sum of $137,000,000 or so much thereof as may be necessary, is appropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects, including reimbursements and/or refunds, undertaken pursuant to pertinent state or federal laws, provided such amounts shall not exceed funds available from federal and/or local sources. Section 50. The sum of $20,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for financial assistance to airports pursuant to Section 34 of the Illinois Aeronautics Act, as amended, for such purposes as are described in that Section and for airport acquisition and development pursuant to Section 72 of the Illinois Aeronautics Act, as amended, for such purposes as are described in that Section.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION AWARDS AND GRANTS

Section 55. The sum of $16,000,000, or so much thereof as may be necessary, is appropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION CONSTRUCTION

Section 60. The sum of $300,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed funds made available by the federal government for this program. Section 61. The sum of $20,000,000, or so much thereof as may be necessary, is appropriated

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from the Road Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed funds made available by the federal government for this program. Section 65. The sum of $1,800,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants and providing project assistance to the Regional Transportation Authority (RTA) as approximated below: To the Suburban Bus Division of the Regional Transportation Authority (PACE) for construction costs and for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity transit, bus and other equipment .........................................144,000,000 To the Chicago Transit Authority (CTA) for construction costs and for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity transit, bus and other equipment ...................................... 1,044,000,000 To the Commuter Rail Division of the Regional Transportation Authority (Metra) for construction costs and for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity transit, bus and other equipment .........................................612,000,000 Total 1,800,000,000 Section 70. The sum of $200,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants, and providing project assistance to municipalities, special transportation districts, private Non-profit carriers, mass transportation carriers and Intercity rail program for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity rail, bus and other equipment used in connection therewith, as provided by law for the purpose of downstate public transit systems.

RAIL PASSENGER AND RAIL FREIGHT AWARDS AND GRANTS

Section 75. The sum of $2,700,000, or so much thereof as may be necessary, is appropriated from the State Rail Freight Loan Repayment Fund for funding the State Rail Freight Loan Repayment Program created by Section 49.25g-1 of the Civil Administrative Code of Illinois. Section 80. The sum of $1,045,000, or so much thereof as may be necessary, is appropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the Rail Freight Service Assistance Program, created by Section 49.25a through 49.25g-1 of the Civil Administrative Code of Illinois. Section 83. The sum of $150,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for track and signal improvements, AMTRAK station improvements, rail passenger equipment, and rail freight facility improvements. Section 85. No contract shall be entered into or obligation incurred or any expenditure made from an appropriation herein made in Section 5 Permanent Improvements Section 30 Road Program Section 50 Aeronautics Section 65 Transit

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Section 70 Transit Section 75 State Rail Freight Loan Repayment Section 80 Federal Rail Freight Loan Repayment of this Article until after the purpose and the amount of such expenditure has been approved in writing by the Governor. Total, Article 50............................................................. $7,927,516,400

ARTICLE 55 DEPARTMENT OF TRANSPORTATION

PERMANENT IMPROVEMENTS Section 5. The sum of $27,520,862, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning Permanent Improvements heretofore made in Article 35, Section 5 and Article 36, Section 5 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

CONSULTANT AND PRELIMINARY ENGINEERING Section 10. The sum of $22,678,442, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 10 and Section 15 of Public Act 95-0734, as amended, for Engineering and Consultant Contracts only, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 15. The sum of $17,755,985, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 35 and Section 40 of Public Act 95-0734, as amended, for Engineering and Consultant Contracts only, is reappropriated from the State Construction Fund to the Department of Transportation for the same purposes.

OTHER LUMP SUMS Section 20. The sum of $7,678,411, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning hazardous materials made in Article 35, Section 10 and Article 36, Section 20 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 25. The sum of $34,698,338, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation made for Formal Contracts in the line item, “For Maintenance, Traffic and Physical Research Purposes (A)” for the Central Offices, Division of Highways, in Article 35, Section 10 and Article 36, Section 25 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 30. The sum of $7,633,493, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning Highway Damage Claims heretofore made in Article 35, Section 10 and Article 36, Section 30 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

HIGHWAY CONSTRUCTION AND LAND ACQUISITION AWARDS AND GRANTS

Section 35. The sum of $19,133,342, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made for township bridges in Article 35, Section 15 and Article 36, Section 45 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

HIGHWAY CONSTRUCTION AND LAND ACQUISITION Section 40. The sum of $700,458, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 50 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 45. The sum of $211,133,362, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 55, Section 60, and Section 65 of Public Act 95-0734, as amended, is reappropriated

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from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations. Section 50. The sum of $92,078,416, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 70 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program; such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations. Section 55. The following named sums or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009 from the reappropriations heretofore made in Article 36, Section 75 of Public Act 95-0734, as amended, are reappropriated to the Department of Transportation from the Road Fund for the FY04 federal earmarks provided in Conference Report 108-401 which accompanies Public Law 108-199. Expenditures shall not exceed funds to be made available by the federal government. Bridge Discretionary North Avenue Bridge, Chicago..........................................................1,188,885 National Corridor Planning & Development City of Forsyth Frontage Road................................................................11,917 Ferry Boats/Terminal Facilities Canal Corridor Association-Port of LaSalle Project......................................................................................400,000 Transportation & Community & System Preservation Homewood, Illinois railroad station/ platform acquisition and improvement .................................................191,311 Village of Glencoe, Green Bay Trail – North Branch Trail Connection.................................................110,262 Section 115 Member Initiatives 168th and State Streets Intersection Improvements .........................................................................................32,834 Annie Glidden Road, DeKalb ...............................................................178,291 Convocation Center Roadway ..............................................................151,655 Great River Road in Mercer County .......................................................14,882 Illinois Route 38 at Union Pacific Railroad Grade Separation....................................................................250,000 ITS – I-74 in Peoria ..............................................................................750,000 Kaskaskia Regional Port District, access roads ........................................9,586 Long Meadow Parkway Fox River Bridge Crossing, Bolz Road.....................................................................2,820,000 Milwaukee Avenue Rehabilitation........................................................200,000 Rock Island County, Illinois Milan Beltway Construction ......................................................................500,000 Sauk Trail Reconstruction Improvements, Park Forest..............................................................330,000 Sauk Village Industrial Park Access Road............................................472,494

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Sheridan Road, Evanston ......................................................................800,000 St. Charles, Illinois, Fox River Crossing at Red Gate Corridor ........................................................662,586 US 51, Christian/Shelby Counties .....................................................1,235,962 West Grand Avenue. (from North Western to N. California Ave.)........................................................800,000 Total....................................................................................$11,110,665 Section 60. The following named sums or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 80 of Public Act 95-0734, as amended, are reappropriated to the Department of Transportation from the Road Fund for the FY05 federal earmarks provided in Conference Report 108-792 which accompanies Public Law 108-447. Expenditures shall not exceed funds to be made available by the federal government. Bridge Discretionary North-South Wacker Drive Reconstruction in Chicago..........................................................................................1,916,666 Interstate Maintenance Discretionary I-55 South Barrier, Darien Illinois .....................................................1,400,000 Section 117 Member Initiatives 171st Street reconstruction, East Hazel Crest ...........................................6,429 67th Street Pedestrian Underpass, Chicago Lakefront...............................................................................................400,000 Camp Street upgrades, East Peoria ....................................................1,820,370 Cermak and Kenton Avenues ...............................................................835,058 Cicero Avenue lighting in University Park...........................................200,000 Des Plaines, Illinois alley, sidewalk improvements..........................................................................................16,073 Fulton County Highway 6.....................................................................729,300 I-290 Cap, Oak Park ..........................................................................1,000,000 KBS Railroad Hazard Elimination, Kankakee County...................................................................................................300,000 MacArthur Boulevard Extension, Springfield ......................................381,805 McHenry County / Crystal Lake Road...............................................1,000,000 Milwaukee Avenue, Grand to Gale, Chicago .......................................972,872 Route 178 relocation, Phase II Engineering..........................................827,373 Sheridan Road Improvements, Evanston ..............................................500,000 Sidewalks near Ford Heights ................................................................200,000 Street improvements and streetlights, Lynnwood ....................................2,792 Street improvements, Bartonville .........................................................143,835 Street improvements, Village of Armington...........................................42,567 Streetlights and salt dome for Markham ...............................................300,000 U.S. 41/I-176 Interchange improvements Phase I study .........................................................................................800,000 Winfield Pedestrian Tunnel ...............................................................1,000,000 Total....................................................................................$14,795,140 Section 65. The sum of $81,321,817, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 85 of Public Act 95-0734, as amended, are reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations.

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Section 70. The sum of $746,777, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 95 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for Pavement Preservation Programs. Section 75. The sum of $257,186,953, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 100 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for High Priority Projects (HPP) and Transportation Improvement Projects (TI) pertaining to local governments as designated in Public Law 109-59, Title I, Subtitle G, Section 1702 and Subtitle I, Section 1934 of the federal reauthorization act entitled SAFETEA-LU; provided such amounts do not exceed funds made available by the federal government through Congressional designations, annual allocations, obligation limitations, or any other federal limitations. Specific project approximations appear in Article 101, Section 25 of Public Act 94-0798. Section 80. The sum of $15,207,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 20 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for Transportation, Community and System Preservation (TCSP), Discretionary Interstate Maintenance and Surface Transportation Priorities earmarks pertaining to state and local governments as designated in the Consolidated Appropriation Act, 2008, Division K, Public Law 110-161; provided such amounts do not exceed funds made available by the federal government through Congressional designations, annual allocations, obligation limitations, or any other federal limitations, as approximated in Article 35, Section 20 of Public Act 95-0734. Section 85. The sum of $76,944,001, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 130 and Section 135 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 90. The sum of $57,879,296, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 140 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 95. The sum of $40,392,607, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 145 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits

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and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 100. The sum of $304,010,982, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 150 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 105. The sum of $14,027,206, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 155 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for all expenses related to Phase II of the I-57/294 interchange in the County of Cook. Section 110. The sum of $638,890,295, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 30 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations.

HIGHWAY CONSTRUCTION AND LAND ACQUISITION LUMP SUMS

Section 115. The sum of $16,542,586, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 90 of Public Act 95-0734, as amended, are reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations, including refunds. Section 120. The sum of $157,852,612, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 105 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program, including refunds.

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Section 125. The sum of $203,803,237, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 110 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program, including refunds. Section 130. The sum of $67,063,715, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 115 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for the local match of all other non-federally reimbursed expenses associated with the High Priority Projects (HPP) and Transportation Improvement Projects (TI) specifically identified in Article 101, Section 25 of Public Act 94-0798, provided that such amounts do not exceed funds made available and paid into the Road Fund by local governments. Section 135. The sum of $236,155,772, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 120 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program, including refunds. Section 140. The sum of $356,432,186, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 125 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program, including refunds. Section 145. The sum of $599,153,832, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 25 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program, including refunds. Section 150. The sum of $542,236,818, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 27 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract

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costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program, including refunds. Section 155. The sum of $1,517,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 20a of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for the local match of all other non-federally reimbursed expenses associated with the Transportation, Community and System Preservation (TCSP) and Discretionary Interstate Maintenance earmarks specifically identified in Article 35, Section 20a of Public Act 95-0734, provided that such amounts do not exceed funds made available and paid into the Road Fund by local governments.

BOND FUND CONSTRUCTION

Section 160. The sum of $9,702,759, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 160 of Public Act 95-0734, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes. Section 165. The sum of $100,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 165 of Public Act 95-0734, as amended, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

GRADE CROSSING PROTECTION CONSTRUCTION

Section 170. The sum of $73,345,214, or so much thereof as may be necessary, and remains unexpended, at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made for grade crossing protection or grade separation in Article 35, Section 34 and Article 36, Section 170 of Public Act 95-0734, as amended, is reappropriated from the Grade Crossing Protection Fund to the Department of Transportation for the same purpose.

DIVISION OF AERONAUTICS AWARDS AND GRANTS

Section 175. The sum of $460,035,190, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made in Article 35, Section 35 and Article 36, Section 175 of Public Act 95-0734, as amended, is reappropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects, including reimbursements and/or refunds, undertaken pursuant to pertinent state or federal laws, provided such amounts shall not exceed funds available from federal and/or local sources. Section 180. The sum of $19,025,378, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations concerning airport improvements heretofore made in Article 36, Section 180 and Section 185 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

DIVISION OF AERONAUTICS CONSTRUCTION

Section 190. The sum of $14,800,686, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 190 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION AWARDS AND GRANTS

Section 195. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 195 of Public Act 95-0734, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows: Pursuant to Section 4(b)(1) of the

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General Obligation Bond Act, as amended.........................................18,025 For the counties of Cook, DuPage, Kane, Lake, McHenry and Will, pursuant to Section 4(b)(2) of the General Obligation Bond Act, as amended........................................................................................553,724 For the counties of the State outside the counties of Cook, DuPage, Kane, Lake, McHenry and Will, pursuant to Section 4(b)(3) of the General Obligation Bond Act, as amended ........................................................................28,014 Total.........................................................................................$599,763 Section 200. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 200 of Public Act 95-0734, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows: Pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended...................................................................................40,680,044 For the counties of the State outside the counties of Cook, DuPage, Kane, McHenry, and Will, pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended.............................................................................3,195,300 For the Department of Transportation's Greenlight Program pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended ...............................................12,496,695 To extend the metrolink rail line to Mid-America Airport .................................................................5,000,002 Total...........................................................................................$61,372,041 Section 205. The sum of $73,603,178, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 205 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants and providing project assistance to municipalities, special transportation districts, private non-profit carriers, mass transportation carriers and the Intercity rail program for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity rail, bus and other equipment used in connection therewith, as provided by law, pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended. Section 210. The sum of $46,450,773, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made in Article 35, Section 55 and Article 36, Section 210 of Public Act 95-0734, as amended, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION LUMP SUMS

Section 215. The sum of $75,904,023, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 215 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed funds made available by the federal government for this program.

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RAIL PASSENGER AND RAIL FREIGHT AWARDS AND GRANTS

Section 220. The sum of $15,480,074, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made in Article 35, Section 60 and Article 36, Section 220 of Public Act 95-0734, as amended, is reappropriated from the State Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes. Section 225. The sum of $10,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 225 of Public Act 95-0734, as amended, is reappropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for the federal share of the High Speed Rail Project. Section 230. The sum of $28,737,923, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 230 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes. Section 235. The sum of $5,472,573, or so much thereof as may be necessary, less $1,000,000 to be lapsed from the unexpended balance, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning the federal share of the Rail Freight Loan Repayment Program heretofore made in Article 35, Section 65 and Article 36, Section 235 of Public Act 95-0734, as amended, is reappropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes.

STIMULUS HIGHWAY CONSTRUCTION AND LAND ACQUISITION

LUMP SUMS Section 240. The sum of $900,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 320 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the State portion, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 245. The sum of $325,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 325 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the State and Local portion, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 250. The sum of $50,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 330 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation to provide local funding for project expenses in excess of the Local portion of federal funds made available from the American Recovery and Reinvestment Act of 2009, provided such amounts do not exceed funds made available and paid into the Road Fund by the local governments.

DIVISION OF AERONAUTICS

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LUMP SUMS Section 255. The sum of $150,000,000 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 335 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects, including reimbursements and/or refunds, undertaken pursuant to pertinent state and federal laws, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009 and/or local sources.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION LUMP SUMS

Section 260. The sum of $40,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 340 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for capital, operating, consultant services, and technical assistance grants, state administration, and intergovernmental and interagency agreements, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 265. The sum of $300,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 345 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009.

RAIL PASSENGER AND RAIL FREIGHT LUMP SUMS

Section 270. The sum of $285,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 350 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for track and signal improvements, AMTRAK station improvements, passenger rail equipment, and facility improvements, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 275. The sum of $6,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 355 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for track and signal improvements, rail freight equipment, and rail freight facility improvements, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 280. The sum of $500,000,000 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 360 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for grants, construction, and all other costs relating to high speed rail projects in compliance with the American Recovery and Reinvestment Act of 2009, provided such amounts not exceed funds made available by the federal government for this purpose. Section 285. No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in: Section 5 Permanent Improvements Section 160 Series A - Road Program Section 165 Series A - Road Program Section 180 Series B - Aeronautics Section 190 Series B - Land Acquisition 3rd Airport Section 195 Series B - Transit Section 200 Series B - Transit Section 205 Series B - Transit Section 220 State Rail Freight Loan Repayment Section 225 FHSRTF High Speed Rail-Federal

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Section 230 Series B - Rail Section 235 Federal Rail Freight Loan Repayment

of this Article until after the purpose and the amount of such expenditure has been approved in writing by the Governor. Total, Article 55............................................................. $7,683,811,381

ARTICLE 60 CAPITAL DEVELOPMENT BOARD

Section 5. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Agriculture for the projects hereinafter enumerated:

ILLINOIS STATE FAIRGROUNDS- SPRINGFIELD For replacing the HVAC in the administration building ...........................................................$3,212,000 For replacing roofing systems – Administration Building and Lower Roof .....................................................................................2,220,472 Plan and begin electrical system replacement............................................................................600,000

CENTRALIA ANIMAL DIAGNOSTICS LAB For replacing the roof..........................................................................$615,000 Total......................................................................................$6,647,472 Section 10. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SPRINGFIELD- SUPREME COURT BUILDING Plan and begin renovation of Supreme Court Building ...............................................................14,400,000 Total....................................................................................$14,400,000 Section 15. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for the projects hereinafter enumerated:

CAPITOL BUILDING- SPRINGFIELD For upgrading the HVAC systems and for renovations to meet compliance with ADA, in addition to funds previously appropriated...................................................43,761,500 For upgrades to life safety protection systems in addition to funds previously appropriated.....................................................6,000,000 Total....................................................................................$49,761,500 Section 20. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

HOWLETT BUILDING- SPRINGFIELD For upgrading the North Patio for public safety.......................................................................................461,000 For installing an emergency generator ............................................791,000 For replacing roofing systems .........................................................662,000

ILLINOIS STATE LIBRARY- SPRINGFIELD For replacing the roofing system.....................................................528,000

CAPITOL COMPLEX- SPRINGFIELD For upgrading fire alarm panels.......................................................771,000 Plan/begin upgrade of high voltage distribution system..........................................................................1,500,000 For capital upgrades .................................................................250,000,000

CHICAGO DRIVER FACILITIES – WEST, NORTH AND SOUTH For HVAC upgrades.....................................................................2,074,000

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Total..................................................................................$256,787,000 Section 25. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

JAMES R. THOMPSON CENTER- CHICAGO For planning and beginning electrical system and life safety system upgrades ..........................................1,000,000 For upgrading the HVAC system .................................................4,150,000

ELGIN REGIONAL OFFICE BUILDING For upgrading the HVAC system .................................................2,461,000

COLLINSVILLE REGIONAL OFFICE BUILDING For replacing the roof ...................................................................1,980,000

CHICAGO MEDICAL CENTER – OFFICE AND LABORATORY For installing an emergency generator and upgrading the electrical system ...................................................2,000,000

STATEWIDE (JRTC, EPA, CHAMPAIGN ROB) For the renovation of state-owned property .......................................2,000,000 Total....................................................................................$13,591,000 Section 30. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

BIG RIVER STATE FOREST For ADA improvements ..................................................................322,611

GIANT CITY STATE PARK - JACKSON COUNTY For replacing the sewer treatment system .......................................491,040

I&M CANAL - CHANNAHON - GRUNDY COUNTY For repair of the spillway, in addition to funds previously appropriated........................................................364,320

ILLINOIS BEACH STATE PARK - LAKE COUNTY For stabilizing shoreline ...............................................................1,000,000

JAKE WOLF MEMORIAL FISH HATCHERY For replacing or upgrading electrical system.................................................................................348,000

NAUVOO STATE PARK For ADA improvements ..................................................................328,385

PYRAMID STATE PARK For renovating the Galum building for a mine rescue station.............................................................................848,000

ROCK CUT STATE PARK For rehabilitating water and sewer system ................................................................................................350,000

STARVED ROCK STATE PARK AND LODGE For replacing roofing systems .........................................................500,000

WAYNE FITZGERRELL STATE RECREATION AREA For replacing roofs ..........................................................................262,004

WORLD SHOOTING COMPLEX – SPARTA - RANDOLPH COUNTY For infrastructure improvements .....................................................450,000

LINCOLN’S TOMB - SPRINGFIELD For renovating the interior...............................................................700,000

LINCOLN-HERNDON LAW OFFICE - SPRINGFIELD For purchase and restoration of the Tinsley Shop .........................................................................1,000,000 Total......................................................................................$6,964,360 Section 35. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

DIXON CORRECTIONAL CENTER

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For replacing the fire alarm system ..............................................3,300,000 LINCOLN CORRECTIONAL CENTER

For upgrading the building automation system ..........................................................................2,147,000

LOGAN CORRECTIONAL CENTER For replacing housing unit roofs......................................................829,000

JACKSONVILLE CORRECTIONAL CENTER For upgrading the fire alarm system.............................................1,596,000

CENTRALIA CORRECTIONAL CENTER For replacing roofing systems ......................................................3,333,000

SOUTHWESTERN CORRECTIONAL CENTER For replacing the roofing system.....................................................825,000

STATEVILLE CORRECTIONAL CENTER For replacing the X house locks ...................................................1,597,000

VANDALIA CORRECTIONAL CENTER For an emergency generator ............................................................815,000 For replacing roofing systems ......................................................2,343,000

VIENNA CORRECTIONAL CENTER For replacing windows .................................................................2,118,000 For replacing roofing systems .........................................................940,000 Total....................................................................................$19,843,000 Section 40. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Juvenile Justice for the projects hereinafter enumerated:

ILLINOIS YOUTH CENTER - JOLIET For replacing roofs, in addition to funds previously appropriated........................................................425,874

ILLINOIS YOUTH CENTER – KEWANEE For replacing the sprinkler system................................................6,500,000

ILLINOIS YOUTH CENTER - PERE MARQUETTE For replacing roofs ..........................................................................221,000

ILLINOIS YOUTH CENTER - ST. CHARLES For upgrading HVAC system..........................................................606,000 Total......................................................................................$7,752,874 Section 45. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ALTON MENTAL HEALTH CENTER - MADISON COUNTY For life/safety improvements...........................................................932,000

CHICAGO-READ MENTAL HEALTH CENTER - CHICAGO For replacing the emergency generator .........................................................................................1,391,000

CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER - ANNA For upgrading the fire alarm system.............................................2,085,000 For life/safety improvements........................................................7,296,000

FOX DEVELOPMENTAL CENTER - DWIGHT For upgrading fire/life safety systems .............................................353,000

ILLINOIS SCHOOL FOR THE DEAF For installing sprinkler systems in the dormitories and elementary buildings .........................................................................................3,841,000

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE For replacing roofs ..........................................................................392,832

JACKSONVILLE DEVELOPMENTAL CENTER - MORGAN COUNTY For upgrading fire/life safety systems .............................................581,000

KILEY DEVELOPMENTAL CENTER For upgrading Building C ceiling....................................................444,000

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MCFARLAND MENTAL HEALTH CENTER - SPRINGFIELD For upgrading fire alarm system...................................................2,800,000 For replacing roofs – Kennedy and Administration Building .................................................................2,226,000 Total....................................................................................$22,341,832 Section 50. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Revenue for the projects hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD For repairing emergency generator..................................................120,000 For renovation of the parking ramp..............................................2,791,000 Total......................................................................................$2,911,000 Section 55. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of State Police for the projects hereinafter enumerated:

AMERICAN GENERAL BUILDING - SPRINGFIELD For installing an emergency generator and various improvements ..............................................................3,000,000

METRO-EAST FORENSIC LAB - BELLEVILLE For constructing new forensic lab, in addition to funds previously appropriated.......................................2,500,000 Total......................................................................................$5,500,000 Section 60. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Veterans Affairs for the projects hereinafter enumerated:

ANNA VETERAN’S HOME To plan and begin the construction of a 40-50 bed addition ......................................................................700,000

LASALLE VETERAN’S HOME – LASALLE COUNTY For the replacement of the galvanized water piping .................................................................................................210,000

QUINCY VETERAN’S HOME - ADAMS COUNTY For constructing a central chiller plant .........................................5,400,000 For planning and beginning renovation of Kent, Shapers and Elmore, in addition to funds previously appropriated.....................................................1,056,000

STATEWIDE For the construction of a 200-bed veterans’ home facility, in addition to funds previously appropriated...................................................15,000,000 Total....................................................................................$22,366,000 Section 65. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Attorney General for the projects hereinafter enumerated:

ATTORNEY GENERAL BUILDING - SPRINGFIELD For renovating and waterproofing terrace .......................................190,000 For replacing electronic ballasts ......................................................959,000 For replacing the roof ......................................................................378,000 Total......................................................................................$1,527,000 Section 66. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the projects hereinafter enumerated:

STATEWIDE For emergencies and abatement of hazardous materials, in addition to funds previously appropriated.....................................10,000,000

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For escalation costs for state facility projects, in addition to funds previously appropriated...................................................17,000,000 For escalation and emergencies for higher education projects, in addition to funds previously appropriated.....................................25,000,000 Total....................................................................................$52,000,000 Section 70. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Military Affairs for the project hereinafter enumerated:

STATEWIDE To complete construction and purchase equipment for the Shiloh, Mt. Vernon, and Carbondale Readiness Centers ...............................................................................................400,000 Section 75. The sum of $1,351,481,696, or so much thereof as may be necessary, is appropriated from the School Construction Fund to the Capital Development Board for grants to school districts for school construction projects authorized by the School Construction Law. Section 77. The amount of $148,518,304, or so much of that amount as may be necessary, is appropriated from the School Construction Fund to the Illinois State Board of Education for Fiscal Year 2002 School Construction Program grant recipients as follows: Rochester Community Unit School District 3A ........................ 10,183,033 Fairfield Public School District 112 .............................................3,898,926 Stewardson-Strasburg Community Unit District 5A ..............................................................................2,046,533 Johnston City Community Unit School District 1 ...........................528,822 Winfield School District 34..........................................................2,312,480 East St. Louis School District 189..............................................29,025,628 Silvis School District 34.............................................................11,900,936 Joliet Public School District 86 ..................................................26,774,854 Community Consolidated School Dist. 93 Carol Stream ...........................................................................1,554,822 Hinckley-Big Rock Community Unit School District 429 .................................................................1,939,944 West Northfield School District 31 ..............................................1,780,688 DuQuoin Community Unit School District 300 .........................10,263,396 Benton Community Consolidated School District 47 ...............................................................................2,464,790 Villa Park School District 45...........................................................980,545 Westchester School District 92 1/2 ...................................................26,237 Big Hollow School District 38 ........................................................251,812 Matteson Elementary School District 162....................................1,145,241 Central School District 104 .............................................................415,622 Northbrook School District 27 .....................................................1,543,711 Manteno Community Unit School District 5................................2,184,621 Bradley School District 61 ...........................................................2,096,220 Bethalto Community School District 8.........................................4,278,782 Westmont Community Unit School District 201..........................1,217,000 Chicago Public School (CPS) District 299.................................29,703,661 Section 85. The sum of $100,000,000, or so much thereof as may be necessary, is appropriated from the School Infrastructure Fund to the Capital Development Board for grants to the Illinois State Board of Education for school districts for maintenance projects authorized by the School Construction Law. Section 90. The sum of $27,322,800, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other

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expenses required to complete work at the various higher education institutions. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for such purposes. Section 95. In addition to any amounts previously appropriated for these purposes, the following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the projects hereinafter enumerated:

LAKE LAND COLLEGE For renovating and expanding Student Services Building Addition............................................... 2,361,100

TRITON COLLEGE For renovating and expanding the Technology Building.............................................................$10,666,100

JOLIET JUNIOR COLLEGE For renovation of Utilities ............................................................4,522,900

ROCL VALLEY COLLEGE For Construction of an Arts Instructional Center...............................................................26,711,900

ELGIN COMMUNITY COLLEGE For Spartan Drive Extension ........................................................2,244,800

PARKLAND COLLEGE For renovating and expanding the Student Services Center Addition ...........................................15,442,100

WILLIAM RAINEY HARPER COLLEGE For Engineering and Technology Center Renovations.......................................................................20,336,800

REND LAKE COLLEGE For Art Program Addition and minor remodeling ........................................................................451,300

LAKE LAND COLLEGE For Construction of a Rural Development Technology Center ...................................................7,524,100

COLLEGE OF DUPAGE For Installation of the Instructional Center Noise Abatement ............................................1,544,600

WILLIAM RAINEY HARPER COLLEGE For Construction of a One Stop/Admissions and Campus/ Student Life Center. ......................................................................40,653,900

ILLINOIS VALLEY COMMUNITY COLLEGE Construction of a Community Technology Center .......................................................................16,323,100

COLLEGE OF LAKE COUNTY For Construction of a Student Service Building ...................................................................35,927,000

RICHLAND COMMUNITY COLLEGE For Renovation of the Student Success Center and Construction of an Addition to the Student Success Center ........................................................................3,524,000

IECC – LINCOLN TRAIL COLLEGE For Construction of a Center For Technology.......................................................................7,569,800 Total..................................................................................$195,803,500 Section 97. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the Temporary Facility Replacement Program for the projects hereinafter enumerated:

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OLIVE HARVEY COLLEGE For Construction of a New Building................................................30,671,600

WAUBONSEE COMMUNITY COLLEGE To Replace Building “A” Temporary Building .....................................................................2,615,200

IECC – OLNEY CENTRAL For Construction of the Collision Repair Technology Center............................................................1,122,800

COLLEGE OF DUPAGE For Temporary Facilities Replacement............................................25,000,000

JOLIET JUNIOR COLLEGE For Temporary Facilities Replacement..............................................8,815,900

ILLINOIS VALLEY COMMUNITY COLLEGE For Construction of a Community

Technology Center....................................................................... 6,521,700 LINCOLN LAND COMMUNITY COLLEGE

For Renovations to Logan Hall and Mason Hall ...................................................................................2,991,200

IECC – WABASH VALLEY For Construction of a Student Center ................................................4,029,400

LEWIS & CLARK COMMUNITY COLLEGE For Construction of a Daycare and Montessori .............................................................................1,663,000 For Construction of an Engineering Annex ...........................................................................................1,536,600

PARKLAND COLLEGE For Construction of an Applied Technology Addition....................................................................9,180,600

COLLEGE OF LAKE COUNTY For Construction of a Classroom Building at the Grayslake Campus ............................................................17,569,200

IECC – LINCOLN TRAIL COLLEGE For Construction of an AC/Refrigeration and Sheet Metal Technology Building .........................................1,495,500

ILLINOIS CENTRAL COLLEGE For Renovation and Additions to Dirksen Hall .................................................................................2,633,700

MCHENRY COUNTY COLLEGE For Construction of a Greenhouse ........................................................671,600 For Construction of a Pumphouse.........................................................115,900

SPOON RIVER COLLEGE For Construction of a Multi-Purpose Building........................................................................................4,027,100

WILLIAM RAINEY HARPER COLLEGE Ro Replace the Hospitality Facility ...................................................3,944,800

LAKE LAND COLLEGE For Construction of a Workforce Relocation Center .........................................................................9,881,700 Total $134,487,500 Section 100. In addition to any amount previously appropriated, the following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

CHICAGO STATE UNIVERSITY For renovating Douglas Hall, in addition to funds previously appropriated.....................................19,500,000 For Construction of an Early Childhood Development Center .............................................3,000,000

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For Remediation of the Convocation Building, in addition to funds previously appropriated ..........................................................5,000,000

EASTERN ILLINOIS UNIVERSITY For remodeling of the HVAC in the Life Science Building and Coleman Hall........................................4,757,100

GOVERNORS STATE UNIVERSITY For renovation of a Teaching/Learning Complex, in addition to funds previously appropriated ..................................................................8,000,000 For replacing roadways and sidewalks .........................................2,028,000

ILLINOIS STATE UNIVERSITY For renovations of the Fine Arts Complex........................................................................................54,250,100

NORTHEASTERN ILLINOIS UNIVERSITY For constructing an education building .........................................................................................72,977,200

NORTHERN ILLINOIS UNIVERSITY For renovating and expanding Stevens Building ...........................................................................22,517,600 For planning Computer Sciences Technology Center..........................................................................2,787,400

SOUTHERN ILLINOIS UNIVERSITY - EDWARDSVILLE For renovating and constructing a Science Laboratory, in addition to funds previously appropriated...................................................78,867,300

SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE For constructing a Transportation Education Center, in addition to funds previously appropriated...................................................56,718,792 For planning and beginning Communications Building ..............................................................4,255,400

UNIVERSITY OF ILLINOIS - CHICAGO For upgrading the campus infrastructure and renovating campus buildings ........................................................20,800,000

UNIVERSITY OF ILLINOIS - URBANA/CHAMPAIGN For renovating Lincoln Hall, in addition to funds previously appropriated.....................................57,304,000 For constructing a Post Harvest Crop Processing and Research Laboratory, in addition to funds previously appropriated.......................................................20,034,000 For constructing an Electrical and Computer Engineering Building, in addition to funds previously appropriated ..................................................................................44,520,000

UNIVERSITY OF ILLINOIS - ROCKFORD For constructing a National Rural Health Center ......................................................................14,820,000

WESTERN ILLINOIS UNIVERSITY - MACOMB For constructing a performing arts center, in addition to funds previously appropriated ................................................................67,835,768

WESTERN ILLINOIS UNIVERSITY - QUAD CITIES For the renovation and construction of a Riverfront Campus, in addition to funds

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previously appropriated ................................................................15,863,120 ILLINOIS MATH AND SCIENCE ADADEMY

For residence hall rehabilitation and main building addition .............................................................6,260,000 For “A” wing laboratories remodeling .........................................3,600,000 Total..................................................................................$585,695,780 Section 105. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete work at the various higher education institutions. These appropriated amounts shall be in addition to any other appropriated amounts which can be expended for such purposes……...$62,677,200 Chicago State University ...................................................................1,449,300 Eastern Illinois University .................................................................2,319,900 Governors State University...................................................................853,800 Illinois State University .....................................................................4,596,000 Northeastern Illinois University.........................................................1,726,500 Northern Illinois University ...............................................................5,215,500 Western Illinois University ................................................................3,564,900 Southern Illinois University- Carbondale ......................................................................................7,312,500 Southern Illinois University- Edwardsville ...................................................................................3,433,800 University of Illinois- Chicago .........................................................................................12,497,700 University of Illinois- Springfield ......................................................................................1,031,100 University of Illinois- Urbana/Champaign .......................................................................18,676,200 Section 110. The sum of $1,650,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University to purchase equipment to complete the renovation and expansion of the Doudna Fine Arts Center. This appropriation is in addition to funds previously appropriated. Section 115. The sum of $17,564,400, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Board of Trustees of Southern Illinois University for construction and equipment expenses to complete the renovation and expansion of the Morris Library. This appropriation is in addition to funds previously appropriated. Section 120. The sum of $300,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Board of Higher Education for grants to various private colleges and universities. Section 125. No contract shall be entered into or obligation incurred for any expenditures from appropriations in this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 60............................................................... 3,028,206,600

ARTICLE 61 ILLINOIS EMERGENCY MANAGEMENT AGENCY

Section 5. The sum of $25,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Illinois Emergency Management Agency for safety and security improvements at various public universities, private colleges or universities and community colleges. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 61..................................................................$25,000,000

ARTICLE 65 CAPITAL DEVELOPMENT BOARD

Section 5. The following named amounts, or so much thereof as may be necessary and remain

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unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 5 of Public Act 95-734, and Sections 5, 10 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Agriculture for the projects hereinafter enumerated:

ILLINOIS STATE FAIRGROUNDS - DUQUOIN (From Article 37, Section 5 of Public Act 95-734) For completing the upgrade of the electrical distribution system, in addition to funds previously appropriated.....................................................................................100,759 For constructing a multi-purpose building..............................................................................................61,710 (From Section 200 of Public Act 95-746) For Emergency Roof Replacement .........................................................19,061

ILLINOIS STATE FAIRGROUNDS - SPRINGFIELD (From Article 37, Section 5 of Public Act 95-734) For renovating comfort stations, in addition to funds previously appropriated .......................................................47,650 For renovating the Emmerson Building..................................................57,578 (From Section 5 of Public Act 95-746) For replacement of water and sewer service to various buildings .............................................................205,475 (From Section 10 of Public Act 95-746) For an airlock addition to Metrology (Weights and Measures) Lab...........................................................127,508 (From Section 200 of Public Act 95-746) For Asbestos Abatement .........................................................................85,000 Total.........................................................................................$704,741 Section 20. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 20 of Public Act 95-734, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SPRINGFIELD - SUPREME COURT BUILDING (From Article 37, Section 20 of Public Act 95-734) For renovating the HVAC system on the 3rd Floor ....................................................................................140,000 For installing humidifier and water filtration systems ..........................................................................1,373,755

APPELLATE COURT SECOND DISTRICT - ELGIN For miscellaneous improvements............................................................60,520 Total......................................................................................$1,574,275 Section 30. The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 30 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SUPREME COURT BUILDING - SPRINGFIELD (From Article 37, Section 30 of Public Act 95-734) For renovating the Library and completing HVAC, in addition to funds previously appropriated ...................................................................235,000 Section 35. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 35 of Public Act 95-734, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for the projects hereinafter enumerated:

CAPITOL BUILDING - SPRINGFIELD

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(From Article 37, Section 35 of Public Act 95-734) For equipment, remodeling and all other costs related to the maintenance, renovation or restoration of areas located in the Capitol Building ..............................................................................978,984 For all costs related to asbestos and environmental abatement in the Capitol Building ...........................................................................1,801,429 Total......................................................................................$2,780,413 Section 40. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made in Article 37, Section 40, of Public Act 95-734, and Sections 70, 75 and 80 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL BUILDING - SPRINGFIELD (From Article 37, Section 40 of Public Act 95-734) For planning and design, providing a study, historical analysis, asbestos abatement and all other costs associated with the upgrade of the HVAC system in the Capitol building............................................................................................180,516 For all costs related to the planning and design of life safety and fire protection system improvements, hazardous material abatement, historical restoration and construction in the Capitol Building .........................................351,680

CAPITOL COMPLEX - SPRINGFIELD For completing the stone restoration, in addition to funds previously appropriated .......................................323,373 For demolition of 222 S. College, and landscaping of Capitol Complex in addition to funds previously appropriated.....................................................................................964,131 For demolition of 222 South College Building and landscaping of Capitol Complex..............................................................................586,444 (From Section 70 of Public Act 95-746) To upgrade a high voltage monitoring system..............................................................................................275,496

DRIVER'S FACILITY WEST - CHICAGO (From Article 37, Section 40 of Public Act 95-734) For renovating the building...................................................................391,180 (From Section 80 of Public Act 95-746) For renovation and improvement of pedestrian traffic flow......................................................................206,761

DRIVER SERVICES FACILITIES, NORTH, SOUTH AND WEST - CHICAGO

(From Section 75 of Public Act 95-746) To upgrade electrical systems ...............................................................418,681

MOTOR VEHICLE SERVICES FACILITY - SPRINGFIELD (From Article 37, Section 40 of Public Act 95-734) For upgrading the fire alarm and security systems.................................................................................16,809

WILLIAM G. STRATTON BUILDING - SPRINGFIELD For the planning, design, reconstruction, and construction to renovate or replace the Stratton Office Building, in addition

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to funds previously appropriated ..................................................7,379,119 Total....................................................................................$11,094,190 Section 45. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 45 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL COMPLEX – SPRINGFIELD (From Article 37, Section 45 of Public Act 95-734) For upgrading fire alarm systems in two buildings .................................................................................... 17,992 Total...........................................................................................$17,992 Section 50. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 50 of Public Act 95-734, and Sections 20, 25, 30, 150, 155, 185 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

STATEWIDE (From Article 37, Section 50 of Public Act 95-734) For renovating state owned property ........................................................................................2,000,000 For upgrading the building security system at the James R. Thompson Center and the State of Illinois building in addition to funds previously appropriated.....................................................................................655,000 (From Section 200, Public Act 95-746) For renovation of State-owned property at the following locations: Kenneth Hall Regional Office Building, AIG (Franklin Complex) Building, James R. Thompson Center, Sangamo Complex (IEPA), Champaign Regional Office Building (IEPA), Springfield Regional Office Building, Natural Resource Center (DNR) and Read - Building (Elgin Mental Health Center) ........................................1,847,310

OFFICE AND LAB BUILDING, CHICAGO MEDICAL CENTER (From Article 37, Section 50 of Public Act 95-734) For planning and beginning the renovation of the facility ...................................................................................474,164

JAMES R. THOMPSON CENTER - CHICAGO For installing an emergency generator...............................................3,545,000 For rehabilitating exterior columns, in addition to funds previously appropriated ....................................1,000,000 For upgrading mechanical systems, in addition to funds previously appropriated .........................................27,341

MEDICAL CENTER (DCFS DISTRICT OFFICE) - CHICAGO For replacing roof and upgrading mechanical and electrical systems...................................................321,956

ROCKFORD REGIONAL OFFICE BUILDING For replacing Halon and upgrading the air conditioning..........................................................................162,614

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION (WOOD) - CHICAGO

For upgrading fire and safety systems ....................................................27,113 SPRINGFIELD - RESEARCH AND COLLECTION CENTER

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For expanding surplus warehouse...........................................................73,584 SPRINGFIELD - COMPUTER FACILITY

For upgrading the computer room and the electrical system ................................................................................23,421

MICHAEL A. BILANDIC BUILDING, CHICAGO (From Section 20 of Public Act 95-746) For upgrading HVAC and domestic water system...........................................................................................1,540,474

SPRINGFIELD REGIONAL OFFICE BUILDING (From Section 25 of Public Act 95-746) For emergency cooling tower replacement at 4500 S. Sixth Street Road..............................................................56,864

SUBURBAN NORTH REGIONAL OFFICE FACILITY, DES PLAINES (From Section 30 of Public Act 95-746) For renovating office space...................................................................382,716

KENNETH HALL REGIONAL OFFICE BUILDING – EAST ST. LOUIS (From Section 150 of Public Act 95-746) For design services for emergency parapet wall repairs ........................................................................................47,456

MEDICAL CENTER (EDWARDS CENTER) - CHICAGO (From Section 155 of Public Act 95-746) For medical center (Edwards Center) ................................................3,150,000

COLLINSVILLE REGIONAL OFFICE COMPLEX (From Section 185 of Public Act 95-746) To replace an emergency generator ......................................................372,000 Total....................................................................................$15,707,013 Section 60. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 60, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION (ROOSEVELT) – CHICAGO

(From Article 37, Section 60 of Public Act 95-734) For upgrading the kitchen and plumbing ..............................................185,838

JAMES R. THOMPSON CENTER - CHICAGO For rehabilitating exterior columns, in addition to funds previously appropriated ........................................ 48,157 Total.........................................................................................$233,995 Section 65. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 65 Public Act 95-734, and Sections 90, 95, 100, 105, 110, 115 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

BABE WOODYARD STATE NATURAL AREA - VERMILION COUNTY

(From Article 37, Section 65 of Public Act 95-734) For developing the site and associated land acquisition................................................................................244,604

BUFFALO ROCK STATE PARK – LASALLE COUNTY (From Section 90 of Public Act 95-746) For design services to replace a septic system ..........................................4,125

CARLYLE LAKE STATE PARKS (From Article 37, Section 65 of Public Act 95-734) For road and site improvements at Carlyle Lake .................................................................................1,477,424

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For infrastructure and site improvements at Carlyle Lake.........................................................765,485

CARLYLE STATE FISH AND WILDLIFE AREA – FAYETTE COUNTY (From Section 110 of Public Act 95-746) To replace Cox Bridge at Carlyle State Fish and Wildlife Area ....................................................................550,000

EAGLE CREEK STATE PARK - SHELBY COUNTY (From Article 37, Section 65 of Public Act 95-734) For constructing lake access boat docks at resort..................................................................................248,793

FERNE CLYFFE STATE PARK - JOHNSON COUNTY For replacing the campground sewage treatment system .................................................................365,054

GOOSE LAKE PRAIRIE NATURAL AREA - GRUNDY COUNTY For replacing floating boardwalk............................................................24,604

HENNEPIN CANAL PARKWAY STATE PARK AND ACCESS AREA For rehabilitating/repairing railroad bridges, in addition to funds previously appropriated ...................................................................851,685

HORSESHOE LAKE CONSERVATION AREA - ALEXANDER COUNTY For dam rehabilitation and the State's share to implement the ecological restoration plan in cooperation with the U.S. Army Corps of Engineers, and land acquisition................................................................................842,605

I & M Canal - CHANNAHON STATE PARK - WILL COUNTY For improving DuPage River Spillway...................................................35,035 (From Section 200 of Public Act 95-746) For replacing Lock 14 Bridge ...............................................................425,000 For improving the DuPage River Spillway...........................................930,000

ILLINOIS BEACH STATE PARK - LAKE COUNTY (From Article 37, Section 65 of Public Act 95-734) For replacing sanitary sewer line ............................................................79,748 For replacing sanitary sewer lines.........................................................311,922

MORAINE HILLS STATE PARK – MCHENRY COUNTY (From Section 95 of Public Act 95-746) For replacing yellow-head marshy dam culverts ..................................400,000

PERE MARQUETTE STATE PARK – JERSEY COUNTY (From Section 100 of Public Act 95-746) For design services to replace a lodge pool dehumidifier ..............................................................................63,279 (From Section 105 of Public Act 95-746) For emergency replacement of a sewage treatment plant.................................................................................621,000

RED HILLS STATE PARK – LAWRENCE COUNTY (From Article 37, Section 65 of Public Act 95-734) For miscellaneous improvements............................................................44,740

RESEARCH & COLLECTIONS CENTER - SPRINGFIELD For renovating the interior ......................................................................17,915

ROCK CUT STATE PARK - WINNEBAGO COUNTY For upgrading the sewage system .........................................................675,104

SILOAM SPRINGS STATE PARK – ADAMS COUNTY For rehabilitating office/service area .................................................1,119,114

STEPHEN A. FORBES STATE PARK, MARION COUNTY (From Section 115 of Public Act 95-746) For design services to replace dump and fish cleaning stations .........................................................................44,584

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WORLD SHOOTING COMPLEX – SPARTA (From Article 37, Section 65 of Public Act 95-734) For construction of the World Shooting Complex in Sparta .............................................................................57,580

SPRINGFIELD For constructing an office building and interpretive center............................................................................166,153

WHITE PINES FOREST STATE PARK - OGLE COUNTY For completing the replacement of the sewer system, in addition to funds previously appropriated .....................................................................11,557

WILDLIFE PRAIRIE PARK For rehabilitating the sewage treatment plant.................................................................................767,500 (From Section 200 of Public Act 95-746) For upgrading sewage treatment plant ...............................................1,032,000

STATEWIDE (From Article 37, Section 65 of Public Act 95-734) For replacing/repairing the roofing systems at the following locations at the approximate cost set forth below......................................................................... 245,000 Clinton Lake Recreational Area - DeWitt County..........................................................................65,000 Ferne Clyffe State Park- Johnson County....................................................................................20,000 Hennepin Canal Parkway State Park .............................................................................................26,000 Lake Le-Aqua-Na State Park- Stephenson County ..............................................................................39,000 Mermet Lake Conservation Area- Massac County.....................................................................................95,000 For replacing/repairing the roofing systems at the following locations at the approximate costs set forth below ........................................................................115,267 Starved Rock State Park & Lodge-LaSalle County ...........................................................................4,726 Kaskaskia River Fish & Wildlife Area-Randolph County ........................................................................19,500 Pyramid State Park- Perry County ..........................................................................................4,109 Region V Office (Benton) Franklin County ...................................................................................86,932 For rehabilitating dams and bridges......................................................120,754 For constructing, replacing and renovating lodges and concession buildings .......................................................................................1,488,014 For replacing roofs at the following locations, at the approximate cost set forth below ...........................................134,931 Shabbona Lake State Park 40,850 Hennepin Canal Parkway State Park .............................................................................................15,750 Randolph Fish & Wildlife Area .......................................................................................32,271 Dixon Springs State Park 46,060 For replacing and constructing vault

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toilets at the following locations, at the approximate cost set forth below ...............................................................................................167,772 Hennepin Canal Parkway State Trail...........................................................................................167,772 For rehabilitating dams at the following locations, at the approximate cost set forth below.....................................................450,002 Rock Cut State Park ...........................................................................450,002 For replacing roofs at the following locations, at the approximate cost set forth below..........................................................................206,925 Southern IL Arts & Crafts Center.....................................................................................412 Frank Holten State Park ............................................................................412 DNR Geological Survey- Champaign........................................................................................413 Sangchris Lake State Park................................................................................................5,291 Illini State Park ......................................................................................1,692 Shelbyville Fish & Wildlife Area ...............................................................................79,480 Trail of Tears State Forest .............................................................................................3,685 Sanganois Conservation Area ...................................................................413 Rice Lake State Park............................................................................28,090 Hidden Spring State Park.....................................................................53,740 Siloam Springs State Park......................................................................2,417 Mississippi Palisades State Park.....................................................................................30,880 For replacing vault toilets at the following locations, at the approximate cost set forth below ...............................................................................................285,813 Anderson Lake Conservation Area - Fulton/Schuyler Counties...................................................................71,453 Giant City State Park - Jackson/Union Counties.....................................................................71,453 Randolph County Conservation Area ..........................................71,453 Silver Springs State Park - Kendall County .................................................................................71,454 For constructing hazardous material storage buildings ..............................................................................................9,935 For constructing vault toilets at the following locations at the approximate cost set forth below:.........................................................................137,897 Apple River Canyon State Park ...........................................................19,699 Des Plaines Conservation Area............................................................19,700 Kankakee River State Park ..................................................................19,700 Lake Le-Aqua-Na State Park ...............................................................19,699 Marshall County Conservation Area....................................................19,700 Morrison-Rockwood State Park...........................................................19,699 Rice Lake Conservation Area ..............................................................19,700 For planning, construction, reconstruction, land acquisition and related costs, utilities, site improvements, and all other expenses necessary for various capital improvements at parks, conservation areas,

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and other facilities under the jurisdiction of the Department of Natural Resources .........................................581,794 Total....................................................................................$16,120,714 Section 75. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 75 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Natural Resources for the project hereinafter enumerated:

GOOSE LAKE PRAIRIE NATURAL AREA - GRUNDY COUNTY (From Article 37, Section 75 of Public Act 95-734) For rehabilitating visitor's center exterior ..............................................................................................23,345 Total...........................................................................................$23,345 Section 80. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 80 of Public Act 95-734, and Sections 35, 40, 45, 50, 135, 140, 145, 175, 180 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

CENTRALIA CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For replacing the cooling tower ............................................................201,948 (From Section 180 of Public Act 95-746) To upgrade a sewage treatment plant....................................................453,000

DIXON CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For planning the upgrade and expansion of the medical care facility ................................................................24,127

DWIGHT CORRECTIONAL CENTER For renovating Housing Unit C8, in addition to funds previously appropriated.....................................................................................270,000 For renovating buildings, in addition to funds previously appropriated .....................................................274,847 For renovation of buildings.....................................................................30,261 (From Section 35 of Public Act 95-746) For repair and replacement of roofing system................................................................................................52,463

EAST MOLINE CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For upgrading the roofing system .........................................................675,879 For replacing windows, in addition to funds previously appropriated .......................................................42,450

GRAHAM CORRECTIONAL CENTER For upgrading the cooling tower.............................................................10,015 For upgrading the mechanical system.....................................................35,990 For planning the upgrade of building automation system and fire alarm system...............................................................21,170

HARDIN COUNTY WORK CAMP (From Section 145, Public Act 95-746) To upgrade a sewage treatment plant....................................................342,929 (From Section 200, Public Act 95-746) For emergency kitchen repairs..............................................................177,000

HOPKINS PARK (From Article 37, Section 80 of Public Act 95-734) For infrastructure improvements in connection with the Hopkins Park Correctional Center ......................................................................5,858,444

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ILLINOIS RIVER CORRECTIONAL CENTER – CANTON (From Section 135, Public Act 95-746) For design services to replace a domestic hot water heater .................................................................................41,606

ILLINOIS YOUTH CENTER - HARRISBURG (From Article 37, Section 80 of Public Act 95-734) For constructing a multi-purpose medical, vocational and confinement building...............................................375,000 For utility upgrade, including gas and sewer......................................................................................4,695,721

ILLINOIS YOUTH CENTER - RUSHVILLE For planning, design, construction, equipment and all other necessary costs to add a cellhouse ....................................................................................2,282,202

ILLINOIS YOUTH CENTER - ST. CHARLES For constructing an R & C building and other improvements ...............................................................1,957,557

LAWRENCE COUNTY CORRECTIONAL CENTER - LAWRENCEVILLE For constructing two cellhouses, in addition to funds previously appropriated ...........................................9,915

LINCOLN CORRECTIONAL CENTER For replacing doors and locks .................................................................31,592

LOGAN CORRECTIONAL CENTER For planning and beginning the upgrade of the power plant............................................................................321,186 For renovating the electrical distribution system ..........................................................................159,995 For constructing a medical building and dietary building......................................................................2,019,174 (From Section 175, Public Act 95-746) To upgrade a power plant at Logan Correctional Center ......................................................................5,737,445

MENARD CORRECTIONAL CENTER - CHESTER (From Article 37, Section 80 of Public Act 95-734) For replacing the administration building, in addition to funds previously appropriated................................................................................11,626,369 For replacing the Administration Building...........................................................................................310,244 For replacing toilets and waste lines at E/W Cellhouse and upgrade North Cellhouse plumbing ..............................................................364,351 For renovation or replacement of the Old Hospital Building, in addition to funds previously appropriated ...........................................................48,064 For planning and construction of the Administration Building..................................................................513,777

PONTIAC CORRECTIONAL CENTER For replacing doors and frames..........................................................1,620,000

SHAWNEE CORRECTIONAL CENTER For replacing the emergency generator...................................................44,867

SHERIDAN CORRECTIONAL CENTER (From Section 40 of Public Act 95-746) For replacement of roofing system .......................................................100,939

STATEVILLE CORRECTIONAL CENTER - JOLIET (From Article 37, Section 80 of Public Act 95-734) For replacing doors and locks ...............................................................580,000

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For replacing windows in B House.......................................................126,480 For replacing power plant and utility distribution system..................................................................17,454 For upgrading electrical system and elevator and installing HVAC system ...........................................................393,750

TAYLORVILLE CORRECTIONAL CENTER (From Section 140 of Public Act 95-746) For design services to replace operators and main gates ...................................................................................27,195

VANDALIA CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For constructing a multi-purpose program building..............................................................................................90,656 For converting Administration Building and planning construction of an Administration/ Health Care Unit..............................................................................308,406 (From Section 45 of Public Act 95-746) For replacement of roofing system .......................................................267,256 (From Article 37, Section 80 of Public Act 95-734)

VIENNA CORRECTIONAL CENTER For replacing the cooler and freezer .....................................................356,663 For upgrading the power plant ..............................................................707,109 For upgrading the HVAC system and replacing water lines in six housing units........................................................423,601 (From Section 50 of Public Act 95-746) For emergency roof replacement on various buildings .............................................................................330,679 (From Article 37, Section 80 of Public Act 95-734)

STATEWIDE For all costs associated with a timekeeping and payroll system ..............................................10,000,000 For upgrading roofing systems at the following locations at the approximate costs set forth below...............................................................................94,315 Hardin County Work Camp.................................................................8,808 Illinois Youth Center Joliet ...............................................................44,151 Pontiac Correctional Center...............................................................41,356 For replacing doors and locks at the following locations at the approximate costs set forth below ................................................1,113,137 Dixon Correctional Center ..............................................................1,081,626 Vienna Correctional Center .................................................................35,511 For upgrading showers at the following locations at the approximate cost set forth below..........................................................................258,708 Hill Correctional Center.........................................................................................258,708 For upgrading water towers at the following locations at the approximate cost set forth below.......................................................................1,651,849 Dixon Correctional Center.........................................................................................413,466 Illinois Youth Center - St. Charles...............................................................................1,228,853 Illinois Youth Center - Valley View...................................................................................9,530 For planning, design, construction, equipment

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and all other necessary costs for a maximum security facility ..........................................................77,469,151 For planning a medium security facility and land acquisition......................................................................2,629,428 For replacing roofing systems at the following locations at the approximate cost set forth below.....................................................154,609 Menard Correctional Center...................................................................6,194 Vienna Correctional Center .................................................................81,100 Illinois Youth Center - Harrisburg......................................................................................4,138 Pontiac Correctional Center ........................................................................10 Illinois Youth Center - Joliet................................................................63,167 For replacing or upgrading security and monitoring systems at the following locations at the approximate cost set forth below ......................................................................................278,707 Vienna Correctional Center.........................................................................................250,000 Pontiac Correctional Center....................................................................................................0 Joliet Correctional Center...........................................................................................28,707 For planning and replacing windows at the following locations at the approximate cost set forth below..............................................................................2,226,942 Vienna Correctional Center......................................................................................1,780,000 Sheridan Correctional Center.........................................................................................314,454 Illinois Youth Center - Valley View...................................................................................8,310 Illinois Youth Center - Joliet ............................................................................................74,875 Dixon Correctional Center...........................................................................................46,073 Shawnee Correctional Center.............................................................................................3,230 For replacing security fencing at the following locations at the approximate cost set forth below..........................................................................306,251 Hill Correctional Center.............................................................................................3,547 Western IL Correctional Center...........................................................................................31,427 Joliet Correctional Center...........................................................................................49,119 Logan Correctional Center.........................................................................................172,369 Dixon Correctional Center.............................................................................................8,752 Shawnee Correctional Center.............................................................................................5,269 Graham Correctional Center...........................................................................................24,369 Danville Correctional Center...........................................................................................11,399

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For planning, design, construction, equipment and all other necessary costs for a female multi-security level correctional center ......................................................................55,938,782 For replacing roofing systems at the following locations at the approximate cost set forth below..........................................................................189,284 Vienna Correctional Center .......................................................150,261 Sheridan Correctional Center.......................................................17,785 Western Illinois Correctional Center - Mt. Sterling ..........................................................................21,238 For upgrading fire and safety systems at the following locations at the approximate costs set forth below, in addition to funds previously appropriated ......................................................2,018,041 Menard Correctional Center - Chester ..........................................................................................1,835,344 Sheridan Correctional Center.....................................................110,620 Vienna Correctional Center .........................................................72,077 Total..................................................................................$198,688,980 Section 85. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purpose in Article 37, Section 85, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

BIG MUDDY CORRECTIONAL FACILITY (From Article 37, Section 85 of Public Act 95-734) For replacing door locking controls and intercom systems ...................................................................2,312,558

STATEVILLE CORRECTIONAL CENTER For installing fire alarm systems........................................................1,600,000 Total......................................................................................$3,912,558 Section 90. The sum of $336,056, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 90 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Emergency Management Agency for costs associated with a new State Emergency Operations Center. Section 95. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 95 of Public Act 95-734, and Sections 60, 65, 120, 125, 130 and 170 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

BISHOP HILL HISTORIC SITE - HENRY COUNTY (From Article 37, Section 95 of Public Act 95-734) For restoring interior and exterior.............................................................6,555

BLACK HAWS STATE HISTORIC SITE – ROCK ISLAND (From Section 60 of Public Act 95-746) For renovating a retaining wall and two shelters ............................................................................................250,292

CAHOKIA MOUNDS HISTORIC SITE - COLLINSVILLE (From Article 37, Section 95 of Public Act 95-734) For replacement of Monk's Mounds stairs ............................................211,080 For restoration of Monk's Mound .........................................................631,531 For purchasing private land within historic site boundary ...................................................................................189,979 (From Section 65, Public Act 95-746)

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To create a new entrance around existing bronze artwork doors.......................................................................166,782

DANA THOMAS HOUSE STATE HISTORIC SITE (From Section 120, Public Act 95-746) To rehabilitate the interior and exterior at Dana Thomas House State Historic Site...................................3,100,000

DAVID DAVIS HOME (From Article 37, Section 95 of Public Act 95-734) To acquire a residence to be converted to a Visitors Center .............................................................7,962 (From Article 125, Public Act 95-746) For design services for emergency roof repairs ..........................................................................................4,450

JARROT MANSION STATE HISTORICAL SITE (From Article 37, Section 95 of Public Act 95-734) For restoring the mansion, site improvements and land acquisition, in addition to funds previously appropriated ..................................................1,447,021

LINCOLN-HERNDON LAW OFFICES STATE HISTORIC SITE (From Article 170, Public Act 95-746) For emergency roof repairs at law offices...............................................25,200

LINCOLN LOG CABIN STATE HISTORIC SITE, COLES COUNTY (From Article 130, Public Act 95-746) To replace a sewer system at Historic Site............................................280,000 (From Article 37, Section 95 of Public Act 95-734)

LINCOLN'S TOMB/VIETNAM MEMORIAL - SPRINGFIELD For rehabilitating site and providing irrigation system ..............................................................................121,100

LINCOLN'S NEW SALEM HISTORIC SITE - MENARD COUNTY For providing electrical at campgrounds ...................................................................................110,444

LINCOLN PRESIDENTIAL CENTER - SPRINGFIELD For constructing library and museum complex, in addition to funds previously appropriated ....................................2,645,514 For constructing a Lincoln Presidential Library.................................................................................................4,337

OLD STATE CAPITOL - SPRINGFIELD For repairing elevators ..........................................................................387,464

UNION STATION - SPRINGFIELD For purchasing and rehabilitating ...........................................................21,721

STATEWIDE For statewide ISTEA 21 Match ............................................................593,070 For matching ISTEA federal grant funds..............................................143,310 Total....................................................................................$10,347,812 Section 105. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 105, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

MT. PULASKI COURTHOUSE HISTORIC SITE - LOGAN COUNTY (From Article 37, Section 105 of Public Act 95-734) For rehabilitating interior & exterior ......................................................24,118

PULLMAN HISTORIC SITE For all costs associated with the stabilization and restoration of the Pullman Historic Site....................................................................1,273,991 Total......................................................................................$1,298,109

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Section 110. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 110 of Public Act 95-734, and Sections 160, 165 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ALTON MENTAL HEALTH CENTER - MADISON COUNTY (From Article 37, Section 110 of Public Act 95-734) For renovating the Forensic Complex and constructing two building additions, in addition to funds previously appropriated ....................................3,900,000 For constructing two building additions at the Forensic Complex...............................................................6,780,876 For rehabilitation of the central dietary.....................................................9,179

CHESTER MENTAL HEALTH CENTER For completing the replacement of smoke and heat detectors, in addition to funds previously appropriated .....................................................440,000 For upgrading HVAC systems..............................................................144,664 For replacing smoke/heat detectors.........................................................65,032

CHICAGO-READ MENTAL HEALTH CENTER - CHICAGO For rehabbing absorbers, controls and valves ..........................................................................................86,160 (From Section 160 of Public Act 95-746) For design services to renovate Unit J-East for forensic use .......................................................................47,560

CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER - ANNA (From Article 37, Section 110 of Public Act 95-734) For renovating Sycamore Hall ................................................................94,930 (From Section 200 of Public Act 95-746) For renovating Sycamore...................................................................4,385,000 For emergency boiler control replacement .............................................20,569

ELGIN MENTAL HEALTH CENTER - KANE COUNTY (From Article 37, Section 110 of Public Act 95-734) For replacing power plant and engineering building.........................................................................................7,742,663 For renovating the central dietary and kitchen ...................................................................................3,704,073 For construction of roads, parking lots and street lights................................................................................133,664 (From Section 165 of Public Act 95-746) For design services to convert Reed Building for office space ................................................................................148,524

FOX DEVELOPMENTAL CENTER - DWIGHT (From Article 37, Section 110 of Public Act 95-734) For replacing and repairing interior doors, flooring and walls, in addition to funds previously appropriated ...................................................................249,122 For planning and beginning replacement of interior doors and flooring and repairing walls in the Main and Administration Buildings ..................................................................35,888

HOWE DEVELOPMENTAL CENTER - TINLEY PARK For completing upgrade of tunnels, Phase II, in addition to funds previously appropriated.....................................................................................366,920 For renovating residences, in addition to funds previously appropriated ...........................................................99,182

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ILLINOIS SCHOOL FOR THE DEAF - JACKSONVILLE For renovating the High School Building Phase II ............................................................................................169,442 For renovating High School Building.....................................................96,859

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE For renovating auditorium, classroom and administration buildings ........................................................2,103,306 For renovating classrooms in Building 17 .........................................1,250,724 For renovations to the powerhouse, boilers and associated coal and ash equipment ........................................................................................400,000 (From Section 200 of Public Act 95-746) For renovating the power house.........................................................2,088,000

JACKSONVILLE DEVELOPMENTAL CENTER - MORGAN COUNTY (From Article 37, Section 110 of Public Act 95-734) For planning and beginning the renovation of the power house.............................................................................37,892

KILEY DEVELOPMENTAL CENTER - WAUKEGAN For converting the facility to natural gas, in addition to funds previously appropriated.....................................................................................112,391 For renovating homes, Phase II, in addition to funds previously appropriated.......................................................................................77,343

LINCOLN DEVELOPMENTAL CENTER - LOGAN For various capital improvements, including planning and construction of four ten-bed transitional or residential homes .............................................................................582,596

LUDEMAN DEVELOPMENTAL CENTER - PARK FOREST For upgrading the electrical panel.........................................................338,114 For repairing and replacing furnaces and duct work, in addition to funds previously appropriated.....................................................................................141,615 For renovating residential and neighborhood homes, in addition to funds previously appropriated.......................................................................................46,810 For replacing plumbing, HVAC and boiler systems ..................................................................................629,184 For renovation of residential buildings, in addition to funds previously appropriated.......................................................................................74,252

MABLEY DEVELOPMENTAL CENTER - DIXON For replacing mechanicals and upgrading the fire alarm systems........................................................................71,348

MADDEN MENTAL HEALTH CENTER - HINES For renovating pavilions and administration building for safety/ security, in addition to funds previously appropriated .........................................................621,882 For renovating dietary...........................................................................729,885 For renovation of pavilions, in addition to funds previously appropriated .......................................................60,833

MURRAY DEVELOPMENTAL CENTER - CENTRALIA For completing the renovation of the boiler house, in addition to funds previously appropriated ......................................................2,991,120

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SHAPIRO DEVELOPMENTAL CENTER - KANKAKEE For replacing the sewer system in south campus ................................................................................2,056,004 For planning and beginning renovation of dietary .........................................................................................203,263 For work necessary to remedy fire damper deficiencies .........................................................................118,922 For replacing water mains and valves, in addition to funds previously appropriated.....................................................................................210,015

SINGER MENTAL HEALTH CENTER - ROCKFORD For upgrading fire alarm systems............................................................47,651 For renovating dietary and stores............................................................55,334 For renovating mechanicals and residential areas ...............................................................................691,943

TINLEY PARK MENTAL HEALTH CENTER – COOK COUNTY For completing the upgrade of fire and life/safety issues in Oak Hall, in addition to funds previously appropriated.....................................................................................600,000

STATEWIDE For replacing roofing systems at the following locations, at the approximate costs set forth below ...................................................244,866 Chicago-Read Mental Health Center - Cook County .......................................................................................148,645 Fox Developmental Center - Dwight ...........................................................................11,932 Kiley Developmental Center - Waukegan ....................................................................................84,289 For replacing and repairing roofing systems at the following locations, at the approximate cost set forth below .........................................................398,899 Alton Mental Health Center - Madison.............................................................................................66,483 Shapiro Developmental Center - Kankakee...........................................................................................66,483 Ludeman Developmental Center - Park Forest.........................................................................................66,483 Madden Mental Health Center - Hines..................................................................................................66,483 Murray Developmental Center - Centralia ............................................................................................66,483 Kiley Developmental Center - Waukegan..........................................................................................66,484 For replacing and repairing roofing systems at the following locations, at the approximate cost set forth below...............................................782,838 Chicago-Read Mental Health Center.........................................................................................166,314 Howe Developmental Center - Tinley Park ................................................................................562,126 Shapiro Developmental Center - Kankakee .....................................................................................39,730 Illinois School for the Deaf - Jacksonville ......................................................................12,087

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Kiley Developmental Center - Waukegan ........................................................................2,581 For repairing or replacing roofs at the following locations, at the approximate cost set forth below...............................................303,219 Illinois School for the Visually Impaired - Jacksonville .................................................................................38,368 Jacksonville Developmental Center - Morgan County ..............................................................60,000 Lincoln Developmental Center - Logan County ................................................................................2,039 Murray Developmental Center - Centralia.......................................................................................86,136 Shapiro Developmental Center - Kankakee ...................................................................................116,676 For replacing and repairing roofing systems at the following locations at the approximate cost set forth below..........................................................................241,386 Chicago-Read Mental Health Center .............................................3,763 Tinley Park Mental Health Center ...............................................12,974 Illinois School for the Visually Impaired - Jacksonville ......................................................................19,414 Shapiro Developmental Center - Kankakee ...........................................................................................25,955 Kiley Developmental Center - Waukegan ...................................................................................................3 Ludeman Developmental Center - Park Forest .......................................................................................179,277 For replacement of roofing systems at the following locations at the approximate costs set forth below:................................................................................118,670 Lincoln Development Center.......................................................29,667 Murray Developmental Center ....................................................29,668 Elgin Developmental Center........................................................29,667 Shapiro Developmental Center ....................................................29,667 Total....................................................................................$47,150,612 Section 115. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 115 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE (From Article 37, Section 115 of Public Act 95-734) For renovations to the powerhouse, boilers and associated coal and ash equipment ........................................................................................157,269 Total.........................................................................................$157,269 Section 125. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 125 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Human Services for the project hereinafter enumerated:

ILLINOIS SCHOOL FOR THE DEAF – JACKSONVILLE (From Article 37, Section 125 of Public Act 95-734) For replacing dorm doors...................................................................1,945,671

JACKSONVILLE DEVELOPMENTAL CENTER – MORGAN

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For upgrading the mechanicals in the power plant, in addition to funds previously appropriated .....................................................................45,582

SINGER MENTAL HEALTH CENTER For repair and/or replacement of roofs....................................................61,150

FOX DEVELOPMENTAL CENTER - DWIGHT For renovating the water treatment plant ..............................................678,331 Total......................................................................................$2,730,734 Section 130. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriation and reappropriations heretofore made in Article 37, Section 130 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Medical District Commission for the projects hereinafter enumerated:

ILLINOIS MEDICAL DISTRICT COMMISSION - CHICAGO (From Article 37, Section 130 of Public Act 95-734) For upgrading utility and infrastructure, in addition to funds previously appropriated.....................................................................................412,685 For upgrading core utilities ...................................................................126,364 For upgrading research center...............................................................346,714 For constructing a Lab and Research Biotech Grad Facility ........................................................................29,494 Total.........................................................................................$915,257 Section 140. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 140 of Public Act 95-734, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

BLOOMINGTON ARMORY - McLEAN COUNTY (From Article 37, Section 140 of Public Act 95-734) For rehabilitating the mechanical/electrical systems and renovating the interior ..............................................2,720,825

CAMP LINCOLN - SPRINGFIELD For construction of a military academy facility..............................................................................................153,719

ELGIN ARMORY - KANE COUNTY For upgrading the interior and exterior .................................................757,368

MACOMB ARMORY - McDONOUGH For completing the mechanical/electrical systems upgrade, renovating the interior, and installing a kitchen, in addition to funds previously appropriated ......................................................2,484,125 For replacing the mechanical and electrical systems and installing a kitchen ......................................................678,666

NORTH RIVERSIDE ARMORY For rehabilitating the interior and exterior ..............................................................................................14,648

NORTHWEST ARMORY - CHICAGO For upgrading the electrical system ...................................................2,815,000 For replacing the mechanical systems.....................................................46,187

SYCAMORE ARMORY For replacing the electrical system, renovating the interior and installing air conditioning..................................................................................22,310 Total......................................................................................$9,692,848 Section 145. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article

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37, Section 145, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

LAWRENCEVILLE ARMORY (From Article 37, Section 145 of Public Act 95-734) For rehabilitating the exterior and replacing roofing systems............................................................... 176,837 Total.........................................................................................$176,837 Section 150. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 150 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Revenue for the projects hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD (From Article 37, Section 150 of Public Act 95-734) For completing the upgrade of building management controls, in addition to funds previously appropriated ...................................................................400,000 For replacing the dock exhaust system .................................................172,722 For upgrading building management controls .........................................................................................3,495,466 For upgrading the plumbing system......................................................908,359 For renovating the interior and upgrading HVAC .........................................................................2,847,517 Total......................................................................................$7,824,064 Section 160. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 160 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Revenue for the project hereinafter enumerated:

WILLARD ICE BUILDING – SPRINGFIELD (From Article 37, Section 160 of Public Act 95-734) For completing the upgrade of the Plumbing System.............................................................................600,000 Total.........................................................................................$600,000 Section 165. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 165 of Public Act 95-734, and Sections 55, 190 and 195 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of State Police for the projects hereinafter enumerated:

EFFINGHAM DISTRICT 12 (From Section 55 of Public Act 95-746) For Effingham District 12 Firing Range ...............................................433,535

CHICAGO FORENSIC LABORATORY (From Article 37, Section 165 of Public Act 95-734) For planning and beginning the construction of an addition to the Chicago Forensic Laboratory ....................................................................................1,129,393

DISTRICT 13 HEADQUARTERS - DuQUOIN For constructing a district 13 headquarters.........................................................................................6,951 (From Section 195 of Public Act 95-746) To upgrade a firing range......................................................................563,636

SPRINGFIELD ARMORY (From Article 37, Section 165 of Public Act 95-734)

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For planning and design of the rehabilitation and site improvements of the Springfield Armory, in addition to funds previously appropriated.....................................................................................352,523

STATE POLICE TRAINING ACADEMY - SPRINGFIELD For planning and beginning the construction of an addition to the CODIS Laboratory ..........................................................................277,750

ULLIN DISTRICT 22 (From Section 190 of Public Act 95-746) For emergency roof and interior and exterior repairs...................................................................................78,268

STATEWIDE (From Article 37, Section 165 of Public Act 95-734) For replacing communications towers equipment and tower buildings........................................................539,398 For replacing radio communication towers, equipment buildings and installing emergency power generators at the following locations at the approximate costs set forth below ....................................................................................250,000 Harlem & Irving – Cook County.......................................................62,500 Savanna – Carroll County .................................................................62,500 Fairfield – Wayne County .................................................................62,500 Niota – Hancock County ...................................................................62,500 Total......................................................................................$3,631,454 Section 175. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 175 of Public Act 95-734, and Section 85 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Veterans' Affairs for the projects hereinafter enumerated:

MANTENO VETERANS' HOME - KANKAKEE COUNTY (From Article 37, Section 175 of Public Act 95-734) For replacing air conditioner chillers .................................................1,094,873 For replacing condensing units .............................................................122,241 For upgrading or construction of roads and parking lots .................................................................................28,785 For planning and constructing additional storage and support areas...................................................................73,248 For upgrading storm sewer .....................................................................97,768

QUINCY VETERANS' HOME - ADAMS COUNTY For constructing a bus and ambulance garage ............................................................................849,073 For improvements to various buildings and replacement of Fletcher Building to meet licensure standards...........................................................2,286,031 (From Section 85 of Public Act 95-746) To replace a chimney stack and ash handling system...........................................................................................2,300,000 Total......................................................................................$6,852,019 Section 185. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 185 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Veterans' Affairs for the project hereinafter enumerated:

MANTENO VETERANS HOME (From Article 37, Section 185 of Public Act 95-734)

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For completing the upgrade of emergency generators ............................................................................................8,555 Total.............................................................................................$8,555 Section 190. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 190 of Public Act 95-734, and Sections 15 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the projects hereinafter enumerated:

CHICAGO (From Article 37, Section 190 of Public Act 95-734) For expanding and renovating the Bio-Safety 3 Laboratory for the Department of Public Health..............................................................832,114

ATTORNEY GENERAL BUILDING - SPRINGFIELD (From Section 15 of Public Act 95-746) For upgrading the snow melt system at the Attorney General Building ........................................................104,000 (From Article 37, Section 190 of Public Act 95-734) For upgrading environmental equipment and HVAC, in addition to funds previously appropriated - Archives Building ......................................................35,833

STATEWIDE For improving energy efficiency.............................................................82,228 (From Section 200 of Public Act 95-746) For Emergency Repairs and Hazardous Material Abatement at State-Owned Facilities, State Universities, and Community Colleges ..................................................................14,351,747 (From Article 37, Section 190 of Public Act 95-734) For the purposes of capital planning and condition assessment and analysis of State capital facilities, to be expended only upon the direction of the Director of the Bureau of the Budget .......................................................................................189,167 For abating hazardous materials .............................................................67,658 For retrofitting or upgrading mechanized refrigeration equipment (CFCs).......................................................650,000 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act (ADA)............................................44,004 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act (ADA)..........................................200,755 For abating hazardous materials ...............................................................7,284 For retrofitting or upgrading mechanized refrigeration equipment (CFCs)....................................................3,866,523 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act......................................................986,432 For abating hazardous materials .............................................................36,455 For retrofitting or upgrading mechanized refrigeration equipment (CFCs)....................................................2,207,568 For upgrading and remediating aboveground and underground storage tanks ...............................1,540,497 For retrofitting or upgrading mechanized refrigeration equipment (CFCs).......................................................423,603

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For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act..........................................115,979 For abatement of hazardous materials ......................................................2,015 For upgrading/retrofitting mechanized refrigeration equipment (CFCs).........................................................47,547 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act......................................................136,536 For demolition of buildings ....................................................................74,066 For retrofitting/upgrading mechanical refrigeration equipment .....................................................................30,551 For the planning, upgrade and replacement of potentially hazardous underground storage tanks..................................................8,979 Total....................................................................................$26,041,541 Section 195. The amount of $478,102, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 195 of Public Act 95-734, is reappropriated from the Asbestos Abatement Fund to the Capital Development Board for surveying and abating asbestos-containing materials statewide. Section 200. The amount of $807,093, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 200 of Public Act 95-734, is reappropriated from the Asbestos Abatement Fund to the Capital Development Board for asbestos surveys and emergency abatement in relation to asbestos abatement in state governmental buildings or higher education residential and auxiliary enterprise buildings. Section 210. The following named amount or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 210 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for the State Board of Education for the projects hereinafter enumerated:

STATEWIDE (From Article 37, Section 210 of Public Act 95-734) Grants for facility construction ..........................................................2,724,785 Section 215. The sum of $7,404,907, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 215 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 220. The sum of $3,535,520, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 220 Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 225. The sum of $1,872,926, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 225 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 230. The sum of $145,888, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 230 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 245. The sum of $18,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 245 of Public Act 95-734, is reappropriated from the School Construction

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Fund to the Capital Development Board for grants to school districts for school improvement projects authorized by the School Construction Law. Section 270. The sum of $475,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 270 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for water resource management projects as authorized by subsection (g) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 275. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 275 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the projects hereinafter enumerated:

CITY COLLEGES OF CHICAGO (From Article 37, Section 275 of Public Act 95-734) For various bondable capital improvements .........................................570,171

CITY COLLEGES OF CHICAGO/KENNEDY KING For remodeling for Workforce Preparation Centers..........................................................................................3,575,930 For remodeling for a culinary arts educational facility .....................................................................10,875,000

CITY COLLEGES OF CHICAGO - MALCOLM X COLLEGE For remodeling the Allied Health program facilities..........................................................................4,304,223

COLLEGE OF DUPAGE For upgrading the Instructional Center heating, ventilating and air conditioning systems .........................................................................90,937

COLLEGE OF LAKE COUNTY For planning and beginning construction of a technology building - Phase 1.................................................................................................7,364

KANKAKEE COMMUNITY COLLEGE For constructing a laboratory/classroom facility..............................................................................................244,893

LAKELAND COLLEGE Student Services Building addition....................................................6,498,007

MCHENRY COUNTY COLLEGE For constructing classrooms and a student services building and remodeling space, in addition to funds previously appropriated.....................................................................................473,076

MORAINE VALLEY COMMUNITY COLLEGE - PALOS HILLS For constructing a classroom/administration building, providing site improvements and purchasing equipment, in addition to funds previously appropriated ...........................................................41,635

PRAIRIE STATE COLLEGE - CHICAGO HEIGHTS For constructing an addition to the Adult Training/Outreach Center, in addition to funds previously appropriated .........................................................811,858

SOUTH SUBURBAN COLLEGE For improving flood retention...............................................................437,000

TRITON COMMUNITY COLLEGE - RIVER GROVE For rehabilitating the Liberal Arts Building........................................................................................1,536,546 For rehabilitating the potable water

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distribution system ............................................................................70,146 STATEWIDE

For the Illinois Community College Board miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community Colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for this purpose.......................................1,483,480

STATEWIDE For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.........................................................4,948,041 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.........................................................3,683,848

STATEWIDE - CONSTRUCTION DEFECTS For planning, construction and renovation to correct defectively designed or constructed community college facilities, provided that monies recovered based upon claims arising out of such defective design or construction shall be paid to the state as required by Section 105.12 of the Public Community College Act as reimbursement for monies expended pursuant to this appropriation .....................................................................................36,622 Total....................................................................................$39,688,777 Section 280. The amount of $400,281, or so much thereof as may be necessary, and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 280 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for grants to community colleges repair, renovation, and miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 285. The sum of $1,328,332, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 285 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various

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community colleges. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 290. The sum of $1,665,864, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 290 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 295. The sum of $2,556,705, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 295 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 300. The sum of $668,166, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 300 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for grants to community colleges for miscellaneous capital improvements including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 305. The sum of $13,568, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 305 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for miscellaneous capital improvements at various educational facilities statewide, in addition to funds previously appropriated. Section 310. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 310 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

ILLINOIS MATHEMATICS AND SCIENCE ACADEMY - AURORA (From Article 37, Section 310 of Public Act 95-734) To plan and begin construction of a space for the delivery of teacher training and development and student enrichment programs .......................................................................108,843 Section 315. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 315 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

STATEWIDE (From Article 37, Section 315 of Public Act 95-734) For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated

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amounts which can be expended for these purposes......................................................................................17,586,358 Chicago State University ...................................................................322,100 Eastern Illinois University .................................................................515,500 Governors State University....................................................................2,533 Illinois State University .....................................................................984,871 Northeastern Illinois University.........................................................383,700 Northern Illinois University ............................................................1,159,000 Western Illinois University ................................................................219,551 Southern Illinois University - Carbondale.................................................................................801,859 Southern Illinois University - Edwardsville ..............................................................................763,100 University of Illinois - Chicago...................................................................................2,777,300 University of Illinois - Springfield .................................................................................227,400 University of Illinois - Urbana/Champaign .................................................................4,131,963 Illinois Community College Board .........................................................................5,297,481 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.................................15,675,018 Chicago State University ...................................................................260,819 Eastern Illinois University .................................................................515,500 Governors State University....................................................................1,001 Illinois State University .....................................................................111,197 Northeastern Illinois University ..................................................................................383,700 Northern Illinois University ............................................................1,159,000 Southern Illinois University - Carbondale...................................................................................31,277 Southern Illinois University - Edwardsville .....................................................................................712 University of Illinois - Chicago...................................................................................2,777,300 University of Illinois - Springfield .................................................................................212,512 University of Illinois - Urbana/Champaign .................................................................4,150,300 Illinois Community College Board .........................................................................6,071,700 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities This appropriated amount shall be in addition to any other appropriated amounts

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which can be expended for these purposes...................................4,197,338 Chicago State University .....................................................................30,849 Eastern Illinois University .................................................................515,500 Illinois State University .........................................................................1,007 Northern Illinois University ...............................................................573,953 Western Illinois University ................................................................138,442 Southern Illinois University - Carbondale.................................................................................131,311 University of Illinois - Chicago...................................................................................2,049,066 University of Illinois - Springfield .................................................................................209,126 University of Illinois - Urbana/Champaign ....................................................................548,084 For miscellaneous capital improvements, including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes .........................................................................2,824,140 Eastern Illinois University .................................................................477,768 Illinois State University .....................................................................106,016 Northern Illinois University ............................................................1,207,568 Southern Illinois University - Carbondale...................................................................................71,189 University of Illinois - Chicago......................................................................................245,200 University of Illinois - Urbana/Champaign ....................................................................716,399 For miscellaneous capital improvements including construction, reconstruction remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes ....................................................1,758,682 Chicago State University.................................................................124,987 Eastern Illinois University .................................................................42,140 Northeastern Illinois University ........................................................32,560 Northern Illinois University.............................................................690,260 Western Illinois University................................................................12,865 University of Illinois - Champaign/Urbana Campus ..............................................................855,870 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to

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complete the work at the various universities set forth below. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes......................................788,859 For Eastern Illinois University..............................................................261,412 For Northeastern Illinois University ........................................................3,449 For Northern Illinois University .............................................................58,820 For University of Illinois - Urbana-Champaign..........................................................................465,178 For miscellaneous capital improvements, including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes ................................................235,399 For Northern Illinois University ......................................................151,292 For Southern Illinois University - Carbondale ...........................................................................................22,188 For Southern Illinois University - Edwardsville ........................................................................................11,240 For University of Illinois - Urbana-Champaign ..............................................................................50,679 For miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes ................................................763,341 For Chicago State University ............................................................17,768 For Eastern Illinois University ........................................................150,380 For Governors State University.........................................................71,798 For Illinois State University ..............................................................85,165 For Northeastern Illinois University .................................................36,177 For Northern Illinois University ......................................................207,446 For University of Illinois .................................................................194,607

SOUTHERN ILLINOIS UNIVERSITY For Southern Illinois University for miscellaneous capital improvements including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials services and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can

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be expended for these purposes .......................................................118,119 UNIVERSITY OF ILLINOIS

For the Board of Trustees of the University of Illinois for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required for completing the work at the colleges and universities. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes..............................................................89,723 For the Board of Higher Education for miscellaneous capital improvements, including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services, and all other expenses required to complete the work at the colleges and universities hereinafter enumerated. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes: Northern Illinois University ....................................................................17,454 Total....................................................................................$44,054,431 Section 320. The sum of $130,565, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 320 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for miscellaneous capital improvements, including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required for completing the work at the colleges and universities. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 325. The following named amounts, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 325 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated: (From Article 37, Section 325 of Public Act 95-734) For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ......................................................................140,767 Eastern Illinois University ....................................................................257,800 Governors State University.....................................................................94,900 Illinois State University ........................................................................510,700

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Northeastern Illinois University............................................................191,800 Northern Illinois University ..................................................................579,500 Western Illinois University .....................................................................96,101 Southern Illinois University - Carbondale ............................................560,973 Southern Illinois University - Edwardsville .........................................381,500 University of Illinois - Chicago .........................................................1,388,600 University of Illinois - Springfield........................................................114,600 University of Illinois - Urbana/Champaign........................................2,075,100 Illinois Community College Board ....................................................2,888,562 Total......................................................................................$9,280,903 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ..................................................................... 161,000 Eastern Illinois University ....................................................................255,993 Governors State University.....................................................................21,306 Northeastern Illinois University............................................................191,800 Northern Illinois University ..................................................................579,500 Southern Illinois University - Carbondale ..............................................22,934 Southern Illinois University - Edwardsville............................................82,753 University of Illinois - Chicago .........................................................1,388,600 University of Illinois - Springfield........................................................114,600 University of Illinois - Urbana/Champaign........................................1,891,423 Illinois Community College Board ....................................................2,805,684 Total......................................................................................$7,515,593 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ..........................................................................1,002 Eastern Illinois University ....................................................................185,800 Governors State University.....................................................................45,618 Illinois State University ..........................................................................27,182 Northern Illinois University ..................................................................579,500 Western Illinois University .......................................................................9,341 Southern Illinois University - Carbondale ..............................................14,758 University of Illinois - Chicago ............................................................974,174 University of Illinois - Springfield..........................................................76,866 University of Illinois - Urbana/Champaign........................................1,539,425 Total......................................................................................$3,453,666 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities.

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This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Eastern Illinois University ......................................................................21,618 Governors State University.....................................................................26,826 Illinois State University ........................................................................111,595 Northeastern Illinois University..............................................................87,701 Northern Illinois University ..................................................................335,923 University of Illinois - Chicago ............................................................103,101 University of Illinois - Springfield..........................................................30,052 University of Illinois - Urbana/Champaign...........................................258,177 Total.........................................................................................$974,993 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ..........................................................................7,549 Eastern Illinois University ....................................................................134,474 Northeastern Illinois University..............................................................32,547 Northern Illinois University ..................................................................340,000 University of Illinois- Champaign/Urbana..............................................65,946 Total.........................................................................................$580,516 Section 330. The sum of $1,598,774, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 330 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 335. The sum of $1,253,180, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 335 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 340. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 340 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

CHICAGO STATE UNIVERSITY (From Article 37, Section 340 of Public Act 95-734) For replacing primary electrical feeder cable......................................................................................115,049 For the construction of a conference Center, Daycare Facility and for renovating Building K (Robinson Center) in addition to funds previously appropriated ................................................................4,860,186

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For the construction of a day care facility...........................................................................................4,888,875 For the construction of a student financial outreach building ...........................................................4,719,982 For constructing a new library facility, site improvements, utilities, and purchasing equipment, in addition to funds previously appropriated ..................................................1,007,921 For technology improvements and deferred maintenance....................................................................1,171,770 For remodeling Building K, in addition to funds previously appropriated ..................................................8,473,432 For planning and beginning to remodel Building K and improving site .....................................................1,000,474 For a grant to Chicago State University for all costs associated with construction of a Convocation Center ........................................................................14,687 For upgrading campus infrastructure, in addition to the funds previously appropriated ...................................................................573,846 For renovating buildings and upgrading mechanical systems ...........................................................................61,412

EASTERN ILLINOIS UNIVERSITY For upgrading the electrical distribution system .......................................................................2,031,880 For renovating and expanding the Fine Arts Center, in addition to funds previously appropriated .........................................................113,408 For planning and beginning to renovate and expand the Fine Arts Center - Phase 1, in addition to funds previously appropriated ...................................................................133,604 For upgrading campus buildings for health, safety and environmental improvements .........................................360,718

GOVERNORS STATE UNIVERSITY For constructing addition and remodeling the teaching & learning complex, in addition to funds previously appropriated ..............................................................14,557,170

ILLINOIS STATE UNIVERSITY For renovating Stevenson and Turner Halls for life/safety .......................................................................8,786,380 For the upgrade and remodeling of Schroeder Hall..........................................................................2,038,924 For remodeling Julian and Moulton Halls ............................................376,727

NORTHEASTERN ILLINOIS UNIVERSITY For renovating Building "C" and remodeling and expanding Building "E" and Building "F"...........................................................................6,233,200 For planning and beginning to remodel Buildings A, B and E.......................................................................212,743 For remodeling in the Science Building to upgrade heating, ventilating and air conditioning systems ....................................................................2,021,400 For replacing fire alarm systems, lighting and ceilings......................................................................................120,812

NORTHERN ILLINOIS UNIVERSITY

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For renovating the Founders Library basement, in addition to funds previously appropriated.....................................................................................626,578 For planning a classroom building and developing site in Hoffman Estates ..............................................1,314,500 For completing the construction of the Engineering Building, in addition to amounts previously appropriated for such purpose ......................................................................................37,233 For renovating Altgeld Hall and purchasing equipment......................................................................219,777 For upgrading storm waterway controls in addition to funds previously appropriated .......................................217,884

SOUTHERN ILLINOIS UNIVERSITY For planning, construction and equipment for a cancer center .............................................................................68,143

SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE For renovating and constructing an addition to the Morris Library, in addition to funds previously appropriated.....................................................................................160,721

SIU SCHOOL OF MEDICINE - SPRINGFIELD For constructing and for equipment for an addition to the combined laboratory, in addition to funds previously appropriated.......................................................................................65,248

UNIVERSITY OF ILLINOIS AT CHICAGO Plan, construct, and equip the Chemical Sciences Building .......................................................................57,600,000 For planning, construction and equipment for a chemical sciences building...................................................3,549,048 To plan and begin construction of a medical imaging research/clinical facility................................................................................................49,753 For remodeling the Clinical Sciences Building ............................................................................854,132 For the renovation of the court area and Lecture Center, in addition to funds previously appropriated .....................................................................54,793

UNIVERSITY OF ILLINOIS AT CHAMPAIGN-URBANA For planning, analysis and design of Lincoln Hall. Design cannot proceed beyond Program Analysis/Preliminary Design unless approved in writing by the Governor.................................................................................2,000,000 Expansion of Microelectronics Lab ......................................................151,766 For planning, construction and equipment for a biotechnology genomic facility...............................................959,838 For planning, construction and equipment for a supercomputing application facility ........................................247,984

UNIVERSITY CENTER OF LAKE COUNTY For constructing a university center and purchasing equipment, in addition to funds previously appropriated ...........................................................30,303 For land, planning, remodeling, construction and all costs necessary to construct a facility................................................................................................35,981

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WESTERN ILLINOIS UNIVERSITY - MACOMB Plan and construct performing arts center..........................................2,688,234 For improvements to Memorial Hall ...............................................................................................9,487,227 Total..................................................................................$144,293,743 Section 360. The amount of $73,780, or so much thereof as may be necessary, and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 360 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the University of Illinois for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 370. The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 370 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the project hereinafter enumerated:

EAST ST. LOUIS COLLEGE CENTER (From Article 37, Section 370 of Public Act 95-734) For construction of facilities, remodeling, site improvements, utilities and other costs necessary for adapting the former campus of Metropolitan Community College for a Community College Center and Southern Illinois University, in addition to funds previously appropriated ................................................................2,146,323 Section 375. The sum of $16,105,527, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 375 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 380. The sum of $21,965,216, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 380 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 385. The sum of $9,270,559, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 385 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 390. The sum of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 390 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction, and equipment for a Nanofabrication and Molecular Center. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 400. The sum of $16,741, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 400 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for miscellaneous capital improvements to state

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facilities including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the facilities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 405. The sum of $69,083,113, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 405 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the development and improvement of educational, scientific, technical and vocational programs and facilities and the expansion of health and human services, and for any other purposes authorized in subsection (c) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 410. The sum of $118,682,832, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 410 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for educational purposes by State universities and colleges, the Illinois Community College Board created by the Public Community College Act and for grants to public community colleges as authorized by Sections 5-11 and 5-12 of the Public Community College Act as authorized by subsection (a) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. No contract shall be entered into or obligation incurred for any expenditure made in this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 65................................................................$904,211,595

ARTICLE 75 EASTERN ILLINOIS UNIVERSITY

Section 5. The sum of $1,323,408, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 38, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University to purchase equipment for the renovation and expansion of the Fine Arts Center. No contract shall be entered into or obligation incurred for any expenditure from the appropriation made in this Section until after the purpose and amounts have been approved in writing by the Governor. Total, Article 75....................................................................$1,323,408

ARTICLE 80 NORTHEASTERN ILLINOIS UNIVERSITY

Section 5. The sum of $1,552,933, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 39, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Board of Trustees of Northeastern Illinois University to purchase equipment and remodel buildings A, B and E. This appropriation is in addition to any funds previously appropriated. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 80....................................................................$1,552,933

ARTICLE 85 UNIVERSITY OF ILLINOIS

Section 5. The sum of $4,210,698, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 40, Section 5 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois for all costs associated with the space needs of the Department of Natural Resources, Illinois Natural History Survey Division and State Water Survey Division on the campus of the University of Illinois in Champaign, including construction, capital facilities, planning, relocation, renovation and rehabilitation, mechanical systems, materials, services and all other costs required to complete the work. Section 10. The sum of $106,727, or so much thereof as may be necessary and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 40, Section 10 of Public Act 95-734, is reappropriated from the Capital Development Fund to the University of Illinois for digitalization infrastructure for WILL-TV (Urbana-Champaign).

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Section 20. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Sections 5, and 10 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 85....................................................................$4,317,425

ARTICLE 90 ILLINOIS COMMERCE COMMISSION

Section 5. The sum of $57,423, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 41, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Illinois Commerce Commission for train whistle abatement in counties with over 3,000,000 in population, where a public highway crosses a railroad at grade. Total, Article 90.........................................................................$57,423

ARTICLE 95 ENVIRONMENTAL PROTECTION AGENCY

Section 5. The sum of $110,400,000, or so much thereof as may be necessary, is appropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund. Section 7 The sum of $110,400,000, or so much thereof as may be necessary, is appropriated from the Water Revolving Loan Fund to the Environmental Protection Agency for the Water Revolving Loan Program. Section 10. The sum of $5,300,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Environmental Protection Agency for financial assistance to municipalities with designated River Edge Redevelopment Zones for brownfields redevelopment in accordance with Section 58.13 of the Environmental Protection Act, including costs in prior years. Section 15. The sum of $75,000,000, or so much thereof as may be necessary, is appropriated from the Anti-Pollution Fund to the Environmental Protection Agency for reimbursements to eligible owners/operators of Leaking Underground Storage Tanks, including claims submitted in prior years and for costs associated with site remediation. Section 20. The sum of $204,000,000, or so much thereof as may be necessary, is appropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government for sewer systems and wastewater treatment facilities pursuant to rules defining the Water Pollution Control Revolving Loan program and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged loan program. Section 25. The sum of $152,000,000, or so much thereof as may be necessary, is appropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government and privately owned community water supplies for drinking water infrastructure projects pursuant to the Safe Drinking Water Act, as amended, and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged program. Section 35. No contract shall be entered into or obligation incurred for any expenditure made in Sections 5, 10, 15 and 30 of this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 95................................................................$546,700,000

ARTICLE 100 ENVIRONMENTAL PROTECTION AGENCY

Section 5. The sum of $596,915,013, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 42, Section 20, and Article 43, Section 5 of Public Act 95-734, as amended, are reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government for sewer systems and wastewater treatment facilities pursuant to rules defining the Water Pollution Control Revolving Loan program and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged loan program. Section 10. The sum of $236,430,498, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 42, Section 25, and Article 43 , Section 10 of Public Act 95-734, as amended, are reappropriated from

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the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government and privately owned community water supplies for drinking water infrastructure projects pursuant to the Safe Drinking Water Act, as amended, and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged loan program. Section 15. The sum of $8,942,400, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 43, Section 15 of Public Act 95-734, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund. Section 20. The sum of $1,827,595, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 20 of Public Act 95-734, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund. Section 25. The sum of $4,402,121, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 43, Section 25 of Public Act 95-734, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for grants to units of local government for wastewater facilities, pursuant to provisions of the "Anti-Pollution Bond Act." Section 30. The amount of $46,234,397, or so much thereof as may be necessary and remains unexpended on June 30, 2009, from reappropriations heretofore made for such purposes in Article 43, Section 30 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for wastewater compliance grants to units of local government or sewer systems and wastewater treatment facilities pursuant to procedures and rules established under the Anti-Pollution Bond Act. These grants are limited to projects for which the local government provides at least 30% of the project cost. There is an approved project compliance plan, and there is an enforceable compliance schedule prior to the grant award. The grant award will be based on eligible project cost contained in the approved compliance plan. Section 35. The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 43, Section 35 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Brownfields Redevelopment Fund for use pursuant to Sections 58.13 and 58.15 of the Environmental Protection Act. Section 40. The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 43, Section 40 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Brownfields Redevelopment Fund for use pursuant to Sections 58.13 and 58.15 of the Environmental Protection Act. Section 45. The sum of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 43, Section 45 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Hazardous Waste Fund for use pursuant to Section 22.2 of the Environmental Protection Act. Section 50. The sum of $471,885, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 43, Section 50 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for grants and contracts for public drinking water infrastructure, including design and construction, where private drinking water wells have been contaminated by a hazardous substance. Section 55. The sum of $4,995,121, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 55 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for financial assistance to municipalities with designated River Edge Redevelopment Zones for brownfields redevelopment in accordance with Section 58.13 of the Environmental Protection Act, including costs in prior years. Section 60. The sum of $8,462,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 60 of Public Act 95-734, is reappropriated from the Build Illinois Bond

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Fund to the Environmental Protection Agency for the protection, preservation, restoration and conservation of environmental and natural resources, for deposits into the Water Revolving Fund, and for any other purposes authorized in subsection (d) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 65. The sum of $16,600,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 65 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for the protection, preservation, restoration and conservation of environmental and natural resources, for deposits into the Water Revolving Fund, and for any other purposes authorized in subsection (d) of Section 4 of the Build Illinois Bond Act and for grants to State Agencies for such purposes. Sec. 70. The sum of $180,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 15, Section 260 of Public Act 95-731 as amended by Public Act 96-004, is reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government for sewer systems and wastewater treatment facilities pursuant to the American Recovery and Reinvestment Act of 2009. Sec. 75. The sum of $80,200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 15, Section 265 of Public Act 95-731 as amended by Public Act 96-004, is reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to local governments and privately owned community water supplies for drinking water infrastructure projects pursuant to the American Recovery and Reinvestment Act of 2009. Section 80. No contract shall be entered into or obligation incurred for any expenditure made in Sections 15 through 65 of this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 100........................................................... $1,199,481,730

ARTICLE 105 HISTORIC PRESERVATION AGENCY

Section 5. The sum of $143,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 44, Section 5 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Historic Preservation Agency for support facilities, acquisition or improvements for Sugar Loaf and/or Fox Mounds or other properties within the Cahokia Mounds National Historic Landmark Boundary. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 105.....................................................................$143,000

ARTICLE 110 ILLINOIS FINANCE AUTHORITY

Section 5. The sum of $6,000,000, or so much thereof as may be necessary, is appropriated from the Fire Truck Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, and township fire departments as successor in interest to the Illinois Rural Bond Bank. Section 10. The sum of $4,000,000, or so much thereof as may be necessary, is appropriated from the Ambulance Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, township fire departments or non-profit ambulance services as successor in interest to the Illinois Rural Bond Bank. Total, Article 110................................................................$10,000,000

ARTICLE 115 ILLINOIS FINANCE AUTHORITY

Section 5. The sum of $10,630,807, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made in Article 45, Section 5, and Article 46, Section 5 of Public Act 95-734, as amended, is reappropriated from the Fire Truck Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, and township fire departments as

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successor in interest to the Illinois Rural Bond Bank, pursuant to Section 845-75 of Public Act 93-0205. Section 10. The sum of $4,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 45, Section 10 of Public Act 95-734, is reappropriated from the Ambulance Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, township fire departments or non-profit ambulance services as successor in interest to the Illinois Rural Bond Bank. Total, Article 115................................................................$14,630,807

ARTICLE 120 ILLINOIS COMMUNITY COLLEGE BOARD

Section 5. The sum of $1,606,823, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 47, Section 5 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund for the Illinois Community College Board for remodeling of facilities for compliance with the Americans with Disabilities Act. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 120..................................................................$1,606,823

ARTICLE 125 Section 5. No monies may be expended from any appropriation or reappropriation under any section of this Article unless a grant or contractual agreement for the expenditure was agreed to in writing prior to August 31, 2007. The Comptroller shall not approve the expenditure until he or she receives a copy of that signed grant or contractual agreement. The Comptroller shall keep a copy of any such grant or contractual agreement he or she receives. Section 10. The sum of $4,580,704, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 10 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 15. The sum of $3,130,040, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 15 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8 or Article 10 of the Build Illinois Act. Section 20. The sum of $2,600,251, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 20 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 25. The sum of $5,567,122, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 25 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 30. The sum of $4,524,172, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 30 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 40. The sum of $208,908,598, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 40 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of making grants and loans to local governments for planning, engineering, acquisition, construction, reconstruction, development, improvement and extension of the public infrastructure, and for any other

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purposes authorized in subsection (a) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 45. The sum of $47,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 45 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of fostering economic development and increased employment and the well being of the citizens of Illinois, and for any other purposes authorized in subsection (b) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 50. The sum of $30,646,616, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 50 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the development and improvement of educational, scientific, technical and vocational programs and facilities and the expansion of health and human services, and for any other purposes authorized in subsection (c) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 55. The sum of $30,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 55 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for open spaces, recreational and conservation purposes and the protection of land and for deposits into the Conservation 2000 Projects Fund as authorized by subsection (c) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 60. The sum of $36,743,496, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 60 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to local governments for the acquisition, financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land as authorized by subsection (l) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 65. The amount of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 48, Section 65 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to local governments for the acquisition, financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land as authorized by subsection (l) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 70. The amount of $25,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 48, Section 70 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants pursuant but not limited to Article 8, Article 9, or Article 10 of the Build Illinois Act. Section 75. The sum of $13,801,931, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 75 of Public Act 95-734, as amended, is reappropriated from the Fund for Illinois’ Future to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities and not-for-profit organizations for education and training, infrastructure improvements and other capital projects including but not limited to planning, construction, reconstruction, equipment, utilities and vehicles, and all costs associated with economic development programs, community service programs, public health programs, public safety programs, other programs and activities, and for grants to other State agencies for any capital or operating purposes. Section 80. The amount of $2,476,501 or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 80 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital

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Development Board for grants to units of local government and other eligible entities for all costs associated with land acquisition, construction and rehabilitation projects. Section 85. The sum of $2,585,800, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 85 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for child care facilities, mental and public health facilities, and facilities for the care of disabled veterans and their spouses as authorized by subsection (d) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 90. The sum of $77,778,276, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 90 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for correctional purposes at State prison and correctional centers as authorized by subsection (b) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 95. The sum of $24,224,289, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 95 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for open spaces, recreational and conservation purposes and the protection of land and for deposits into the Conservation 2000 Projects Fund as authorized by subsection (c) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 100. The sum of $6,790,503, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 100 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for child care facilities, mental and public health facilities, and facilities for the care of disabled veterans and their spouses as authorized by subsection (d) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 105. The sum of $97,297,389, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 105 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for use by the State, its departments, authorities, public corporations, commissions and agencies as authorized by subsection (e) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Total, Article 125..............................................................$634,155,688

ARTICLE 130 Section 5. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the following purposes:

DEPARTMENT OF NATURAL RESOURCES PERE MARQUETTE STATE PARK

For replacing lodge pool dehumidifier, in addition to funds previously appropriated............................................................700,000

STEPHEN FORBES STATE PARK For replacing dump and fish cleaning stations, in addition to funds previously appropriated........................................................550,000

BUFFALO ROCK STATE PARK For replacing the septic system, in addition to funds previously appropriated .....................................................................650,000

DEPARTMENT OF CORRECTIONS ILLINOIS RIVER CORRECTIONAL CENTER

For replacing domestic hot water heater, in addition to funds previously appropriated............................................................625,000

TAYLORVILLE CORRECTIONAL CENTER For replacing operators and

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main gates, in addition to funds previously appropriated............................................................300,000

DEPARTMENT OF HUMAN SERVICES CHICAGO-READ MENTAL HEALTH CENTER

For renovating Unit J-East for forensic use, in addition to funds previously appropriated.........................................................3,500,000

ELGIN MENTAL HEALTH CENTER For converting the Read Building for office space, in addition to funds previously appropriated.....................................................1,750,000

MADDEN MENTAL HEALTH CENTER For renovating residential pavilions, in addition to funds previously appropriated............................................................550,000

KILEY DEVELOPMENTAL CENTER For improving power reliability and installing emergency lighting, in addition to funds previously appropriated .....................................................................940,000

ILLINOIS HISTORIC PRESERVATION AGENCY LINCOLN’S TOMB

For replacing the HVAC system, in addition to funds previously appropriated .....................................................................250,000

DEPARTMENT OF VETERANS AFFAIRS For planning and beginning the construction of a skilled care veterans home .................................................................................2,000,000

DEPARTMENT OF STATE POLICE For planning and beginning the construction of a Metro East forensic laboratory, in addition to funds previously appropriated............................................................750,000

DEPARTMENT OF MILITARY AFFAIRS For constructing an army aviation support facility ..................................................................6,252,000

STATEWIDE For American with Disabilities Act (ADA) upgrades at the following locations at the approximate cost set forth below .........................................................................3,500,000 DNR – I & M Canal Corridor ......................................................1,800,000 IBHE – Eastern Illinois University ....................................................................................1,848,000 For providing construction contingency for the following projects at the approximate cost set forth below, in addition to funds previously appropriated .....................................................................773,500

LINCOLN’S TOMB HISTORIC SITE Rehab site/Provide irrigation system...............................................................................85,600

MICHAEL BILANDIC BUILDING Upgrade HVAC and Domestic Water System................................................................................................184,700

SUBURBAN NORTH REGIONAL OFFICE FACILITY

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Renovate for Office Space...............................................................300,200 SECRETARY OF STATE

Upgrade Electrical Systems at three Motor Vehicle Facilities ....................................................................203,000

ARTICLE 140 Section 5. The sum of $50,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Secretary of State for capital grants to public libraries for permanent improvements.

Section 99. Effective date. This Act takes effect July 1, 2009.”.

AMENDMENT NO. 2. Amend House Bill 312, AS AMENDED, by deleting everything after the enacting clause and inserting in lieu thereof with the following:

“ARTICLE 5 ARCHITECT OF THE CAPITOL

Section 5. The amount of $3,883, or so much of this amount as may be necessary and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purpose in Section 5 of Article 27 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Office of the Architect of the Capitol for plans, specifications, and continuation of work pursuant to the report and recommendations of the architectural, structural, and mechanical surveys of the State Capitol Building. This is for the continuation of the rehabilitation of the Capitol Building. Section 10. The sum of $553,641, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Section 10 of Article 27 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Office of the Architect of the Capitol for remodeling, planning, relocation, permanent equipment, and other related expenses, including architectural and engineering fees associated with construction, for the remodeling of office space and other support areas under the jurisdiction of the House of Representatives and the Senate. Section 15. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Sections 5 and 10 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 5.........................................................................$557,524

ARTICLE 10 DEPARTMENT OF AGRICULTURE

Section 5. The following named amounts, or so much thereof as may be necessary are appropriated to the Department of Agriculture for repairs, maintenance, and capital improvements including construction, reconstruction, improvement, repair and installation of capital facilities, cost of planning, supplies, materials, equipment, services and all other expenses required to complete the work: Payable from Agricultural Premium Fund: For various projects at the State Fairgrounds ....................................................................................... 600,000 For various projects at the DuQuoin State Fairgrounds ....................................................................................... 250,000 Total.........................................................................................$850,000 Section 15. The amount of $2,612,500, or so much thereof as may be necessary, is appropriated from the Partners for Conservation Projects Fund to the Department of Agriculture for the Conservation Practices Cost-Share program. Section 20. The amount of $2,612,500, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Agriculture for deposit into the Partners for Conservation Projects Fund. Total, Article 10....................................................................$6,075,000

ARTICLE 15 DEPARTMENT OF CENTRAL MANAGEMENT SERVICES

Section 5. The amount of $13,500,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Central Management Services for infrastructure improvement, hardware and related costs. Section 10. No contract shall be entered into or obligation incurred for any expenditures from

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appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 15..................................................................$13,500,000

ARTICLE 20 DEPARTMENT OF CENTRAL MANAGEMENT SERVICES

Section 5. The sum of $8,094,074, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 29, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Central Management Services for Information Technology infrastructure expenses including but not limited to related hardware and equipment. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 20....................................................................$8,094,074

ARTICLE 23 CAPITAL DEVELOPMENT BOARD

Section 5. The sum of $50,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Capital Development Board for grants awarded under the Community Health Center Construction Act.

ARTICLE 25 DEPARTMENT OF COMMERCE AND ECONOMIC OPPORTUNITY

Section 5. The sum of $3,000,000, or so much thereof as may be necessary, is appropriated from the Port Development Revolving Loan Fund to the Department of Commerce and Economic Opportunity for grants and loans associated with the Port Development Revolving Loan Program pursuant to 30 ILCS 750/9-11. Section 20. The sum of $17,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Fermi National Accelerator Laboratory for the Illinois Accelerator Research Center. Section 25. The sum of $13,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the Advanced Protein Crystallization Facility. Section 30. The sum of $60,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to University of Illinois at Urbana/Champaign for all costs associated with design and construction of a Petascale Computing Facility. Section 45. The amount of $25,000,000 or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the redevelopment of brownfield sites. Section 50. No contract shall be entered into or obligation incurred or any expenditure made from any appropriation herein made in this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 25................................................................$118,000,000

ARTICLE 30 DEPARTMENT OF COMMERCE AND ECONOMIC OPPORTUNITY

Section 5. The sum of $50,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 31, Section 10 of Public Act 95-734, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for grants pursuant to 20 ILCS 605/605-332 – Coal Revival Program. Section 10. The sum of $1,975,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 31, Section 40 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the Illinois Renewable Fuels Development Act. Section 15. The sum of $13,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 31, Section 45 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the

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Department of Commerce and Economic Opportunity for a grant to the Argonne National Laboratory for the Rare Isotope Accelerator for bondable infrastructure improvements. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 20. The amount of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 75 of Public Act 95-734, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the specific purposes of acquisition, development, construction, reconstruction, improvement, financing, architectural and technical planning and installation of capital facilities consisting of buildings, structures, durable equipment, and land for the purpose of capital development of coal resources within the State. Section 25. The amount of $17,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 80 of Public Act 95-734, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the specific purposes of acquisition, development, construction, reconstruction, improvement, financing, architectural and technical planning and installation of capital facilities consisting of buildings, structures, durable equipment, and land for the purpose of capital development of coal resources within the State, including but not limited to a grant for a commercial scale project that produces electric power and hydrogen and demonstrates underground storage of up to 1 million metric tons annually of carbon dioxide. Section 30. The amount of $7,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 90 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the Advanced Protein Crystallization Facility. Section 35. The amount of $15,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 95 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant for the Illinois Science and Technology Park. Section 40. The amount of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 105 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Fermi National Accelerator Laboratory for the Illinois Accelerator Research Center. Section 45. The amount of $20,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 120 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the Illinois Renewable Fuels Development Act. Section 50. The amount of $15,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 31, Section 125 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants associated with the redevelopment of brownfield sites. Section 55. The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 1, Section 10 of Public Act 95-1030, is reappropriated from the FY09 Budget Relief Fund to the Department of Commerce and Economic Opportunity for the Illinois Rural HealthNet. Section 60. The amount of $35,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 2, Section 20 of Public Act 95-1030, is reappropriated from the Coal Development Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of facility cost reports prepared pursuant to Section 1-75(d)(4) of the Illinois Power Agency Act. Section 65. No contract shall be entered into or obligation incurred or any expenditure made from any appropriation herein made in this Article in Sections 5 through 50, until after the purpose and amounts have been approved in writing by the Governor. Total, Article 30................................................................$183,975,000

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ARTICLE 35 DEPARTMENT OF NATURAL RESOURCES

GRANTS AND REIMBURSEMENTS - GENERAL OFFICE Section 10. The sum of $725,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for the administration and payment of grants to local governmental units for the construction, maintenance, and improvement of boat access areas. Section 15. The sum of $120,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for the purposes of the Snowmobile Registration and Safety Act and for the administration and payment of grants to local governmental units for the construction, land acquisition, lease, maintenance and improvement of snowmobile trails and access areas. Section 20. To the extent federal funds including reimbursements are available for such purposes, the sum of $75,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program. Section 25. The sum of $150,000, new appropriation, is appropriated from the State Boating Act Fund to the Department of Natural Resources for a grant to the Chain O’Lakes – Fox River Waterway Management Agency for the Agency’s operational expenses. Section 30. The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources: Payable from State Boating Act Fund: For multiple use facilities and programs for boating purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies and all other expenses required to comply with the intent of this appropriation..............................................................1,500,000 Payable from State Parks Fund: For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ...........................................................150,000 Section 35. The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for acquisition and development, including grants, for the implementation of the North American Waterfowl Management Plan within the Dominion of Canada or the United States which specifically provides waterfowl for the Mississippi Flyway. Section 40. To the extent federal funds including reimbursements are available for such purposes, the sum of $100,000, or so much thereof as may be necessary, is appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for construction and renovation of waste reception facilities for recreational boaters, including grants for such purposes authorized under the Clean Vessel Act. Section 50. The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated:

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Payable from Forest Reserve Fund: For U.S. Forest Service Program.....................................................500,000 Section 55. The sum of $110,000, or so much thereof as may be necessary, is appropriated from the Plugging and Restoration Fund to the Department of Natural Resources, Office of Mines and Minerals for the Landowner Grant Program authorized under the Oil and Gas Act, as amended by Public Act 90-0260. Section 60. The sum of $1,500,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the Abandoned Mined Lands Set Aside Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines and any other expenses necessary for emergency response. Section 65. The sum of $99,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended. Section 70. The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources: Payable from Natural Areas Acquisition Fund: For the acquisition, preservation and stewardship of natural areas, including habitats for endangered and threatened species, high quality natural communities, wetlands and other areas with unique or unusual natural heritage qualities .................................................................3,000,000 Section 75. The sum of $17,000,000, or so much thereof as may be necessary, is appropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments and to distressed communities as provided in the "Open Space Lands Acquisition and Development Act". Section 80. The sum of $495,000, or so much thereof as may be necessary, is appropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended.

FOR ILLINOIS HABITAT FUND PROGRAM Section 85. The sum of $1,215,000, or so much thereof as may be necessary, is appropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended. Section 90. The sum of $225,000, or so much thereof as may be necessary, is appropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates. Section 95. The sum of $800,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources for expenditure by the Office of Water Resources from the Flood Control Land Lease Fund for disbursement of monies received pursuant to Act of Congress dated September 3, 1954 (68 Statutes 1266, same as appears in Section 701c-3, Title 33, United States Code Annotated), provided such disbursement shall be in compliance with 15 ILCS 515/1 Illinois Compiled Statutes. Section 100. The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Land and Water Recreation Fund: For Outdoor Recreation Programs..............................................$6,200,000 Section 105. The sum of $600,000, or so much thereof as may be necessary, is appropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including

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administration, enforcement, planning and implementation of this Act. Section 110. The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Federal Title IV Fire Protection Assistance Fund: For Rural Community Fire Protection Programs ..........................................................................................$325,000 Section 115. The sum of $80,000, or so much thereof as may be necessary, is appropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles. Section 120. The sum of $625,000, or so much thereof as may be necessary, is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended. Section 125. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $300,000, is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance. Section 130. The sum of $144,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the payment of grants for the implementation of the North American Waterfowl Management Plan within the Dominion of Canada or the United States which specifically provides waterfowl to the Mississippi Flyway as provided in the "Wildlife Code", as amended. Section 135. The sum of $144,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the payment of grants for the development of waterfowl propagation areas within the Dominion of Canada or the United States which specifically provide waterfowl for the Mississippi Flyway as provided in the "Wildlife Code", as amended. Section 140. The sum of $500,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of attracting waterfowl and improving public migratory waterfowl areas within the State. Section 145. The sum of $3,000,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths. Section 150. The sum of $750,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths. Section 155. The sum of $2,000,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for the development and maintenance, and other related expenses of recreational trails and trail-related projects authorized under the Intermodal Surface Transportation Efficiency Act of 1991, provided such amount shall not exceed funds to be made available for such purposes from state or federal sources. Section 160. The following named sum, new appropriation, or so much thereof as may be necessary, for the object and purpose hereinafter named, is appropriated to the Department of Natural Resources: Payable from the Park and Conservation Fund: For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with

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the intent of this appropriation ........................................................2,000,000 Section 165. The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources: Payable from the Adeline Jay Geo-Karis Illinois Beach Marina Fund: For rehabilitation, reconstruction, repair, replacing, fixed assets, and improvement of facilities at North Point Marina at Winthrop Harbor..............................................................................$375,000 Section 170. The sum of $6,000,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the Abandoned Mined Lands Reclamation Council Federal Trust Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines, and any other expenses necessary for emergency response. Section 175. The sum of $45,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for the non-federal cost share of a Conservation Reserve Enhancement Program to establish long-term contracts and permanent conservation easements in the Illinois River Basin; to fund cost-share assistance to landowners to encourage approved conservation practices in environmentally sensitive and highly erodible areas of the Illinois River Basin; and to fund the monitoring of long-term improvements of these conservation practices as required in the Memorandum of Agreement between the State of Illinois and the United States Department of Agriculture. Section 180. The sum of $42,015,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for water development projects at the approximate cost set forth below: Addison Creek - Cook & Dupage Counties - For construction of the Addison Creek Flood Control Project as developed by the Addison Creek Restoration Commission .......................................................................................500,000 Ashland – Cass County – For construction of a flood control project to relieve flooding......................................................500,000 Blackberry Creek - Kane & Kendall Counties - For assistance in implementation of the Blackberry Creek Watershed Plan........................................................................140,000 County Stormwater Improvements – For funding to assist County Stormwater Programs with implementation of flood relief projects...............................................................................................600,000 Crystal Creek – Cook County – To design and construct the Crystal Creek Flood Control Project in Schiller Park and Franklin Park ..................................................1,100,000 Des Plaines River Phase 1 Big Bend Lake - Cook County – For non-federal cost sharing requirements of the Upper Des Plaines Flood Control Project, Phase 1 ..........................................................................................10,800,000 East St. Louis Ecosystem and IFC - Madison & St. Clair Counties - For the non-federal funding to design and construct

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this multipurpose ecosystem project ...............................................1,700,000 Edinburg - Christian County – For construction of a flood water storage facility and local channel modifications ........................................................................550,000 Flood Hazard Mitigation – Statewide - For cost sharing to acquire repetitive and severely damaged flood prone structures.......................................................................................10,000,000 Granite City Groundwater Pumping – To implement the pilot project to reduce flood damages associated with high groundwater ....................................................................1,200,000 Hickory/Spring Creek – Will County – For implementation of Stage IIIb-2 of channel construction of Hickory/Spring Creeks flood control project in cooperation with the City of Joliet......................................................................4,500,000 Hickory/Spring Creek – Will County – For implementation of Stage IV-A of channel construction of Hickory/Spring Creeks flood control project in cooperation with the City of Joliet......................................................................7,600,000 Mattoon - Coles County – For implementation of local improvements to reduce flood damages .................................................................................1,000,000 North Branch Chicago River – Lake County - For assistance in implementation of flood damage reduction measures in the watershed....................................................30,000 Village of Union - McHenry County - For the implementation of flood damage relief measures...................................................................1,125,000 Small Drainage and Flood Control Projects - to fund flood damage reduction projects in partnership with local units of government ...........................................................................670,000 Section 185. The sum of $40,500,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for improvements needed at State-owned Dams for upgrading and rehabilitation of dams, spillways and supporting facilities, including dam removals and the required geotechnical investigations, preparation of plans and specifications, and the construction of the proposed rehabilitation to ensure reduced risk of injury to the public. Section 190. The sum of $14,950,000, or so much thereof as may be necessary is appropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers. Section 200. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $15,000,000 is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the purpose of advancing forestry resources in Illinois pursuant to the American Recovery and Reinvestment Act of 2009. Section 205. The sum of $150,000,000, or so much thereof as may be necessary is appropriated

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from the Build Illinois Bond Fund to the Department of Natural Resources for capital grants to parks or reactional units for permanent improvements. Section 210. The sum of $50,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Natural Resources for capital grants to public museums for permanent improvements. Section 215. No contract shall be entered into or obligation incurred or any expenditure made from appropriations herein made in Sections 175, 180, 185, 190 and 195 of this Article until after the purpose and amount of such expenditure has been approved in writing by the Governor. Total, Article 35................................................................$408,372,000

ARTICLE 40 DEPARTMENT OF NATURAL RESOURCES

Section 5. The sum of $4,198,641, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 10 and Article 33, Section 5, of Public Act 95-734, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for the administration and payment of grants to local governmental units for the construction, maintenance, and improvement of boat access areas. Section 15. The sum of $405,158, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 15, and Article 33, Section 15, of Public Act 95-734, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for the purposes of the Snowmobile Registration and Safety Act and for the administration and payment of grants to local governmental units for the construction, land acquisition, lease, maintenance and improvement of snowmobile trails and access areas. Section 30. To the extent federal funds including reimbursements are available for such purposes, the sum of $1,188,900, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 20, and Article 33, Section 30 of Public Act 95-734, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program. Section 35. The following named sums, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from State Boating Act Fund: (From Article 32, Section 30, and Article 33, Section 35, of Public Act 95-734, as amended) For multiple use facilities and programs for boating purposes provided by the Department of Natural Resources including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies and all other expenses required to comply with the intent of this appropriation ........................................................5,238,507 Section 45. The following named sums, or so much thereof as may be necessary, respectively, and as remain unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from the State Parks Fund: (From Article 32, Section 30, and Article 33, Section 45 of Public Act 95-734, as amended) For multiple use facilities and programs for park and trail purposes provided

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by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ........................................................1,162,721 (From Article 33, Section 45 of Public Act 95-734, as amended) For multiple use facilities and purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ...........................................................244,857 Section 48. The sum of $1,563,081, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 33, Section 48 of Public Act 95-734, as amended, is reappropriated from the State Park Fund to the Department of Natural Resources, in coordination with the Capital Development Board, for the development of the World Shooting and Recreation Complex including all construction and debt service expenses required to comply with this appropriation. Provided further, to the extent that revenues are received for such purposes, said revenues must come from non-State sources. Section 50. The sum of $6,882,757, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 33, Section 50 of Public Act 95-734, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for wildlife conservation and restoration plans and programs from federal and/or state funds provided for such purposes. Section 60. To the extent federal funds including reimbursements are available for such purposes, the sum of $726,672, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 40 and Article 33, Section 60 of Public Act 95-734, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for construction and renovation of waste reception facilities for recreational boaters, including grants for such purposes authorized under the Clean Vessel Act. Section 70. The sum of $735,997, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 70 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers. Section 75. The sum of $2,678,269, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 75 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers. Section 80. The sum of $16,825,331, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 80, of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands. Section 85. The sum of $1,918,701, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 85 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for the non-federal cost share of a Conservation Reserve Enhancement Program to establish long-term contracts and permanent conservation easements in the Illinois River Basin; to fund cost-share assistance to landowners to encourage approved conservation practices in environmentally sensitive and highly erodible areas of the Illinois River Basin; and to fund the monitoring of long term improvements of these conservation practices as required in the

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Memorandum of Agreement between the State of Illinois and the United States Department of Agriculture. Section 95. The sum of $503,341, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 95 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for the acquisition of lands, buildings, and structures, including easements and other property interests, located in the 100-year floodplain in counties or portions of counties authorized to prepare stormwater management plans and for removing such buildings and structures and preparing the site for open space use. Section 100. The sum of $8,145,019, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 33, Section 100 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for water development projects at the approximate cost set forth below: Union - McHenry County - for flood control and drainage improvement of unnamed Kishwaukee River tributary .................................................................200,000 Flood Hazard Mitigation - For implementation of flood hazard mitigation plans, and acquisition of wetland and tree mitigation sites for state and local joint flood control projects in cooperation with federal agencies, state agencies, and units of local government, in various counties ............................................................................3,170,130 Fox Chain of Lakes - Lake and McHenry Counties - For the state cost share in implementation of the comprehensive Dredging and Disposal Plan, including beneficial use of dredge material and island creation, for the Fox River and Chain of Lakes .....................................................................................274,889 Fox River Dams - Kane County - For rehabilitation, modification, and reconstruction of Batavia and Yorkville Dams ..........................................................................2,600,000 East St. Louis & Vicinity Flood Control - Madison and St. Clair Counties - For partial payment of the non-federal cost requirement of an interior flood protection project and ecosystem restoration at East St. Louis and Vicinity area................................................................1,800,000 Small Drainage and Flood Control Projects - For implementation of small drainage and flood control improvements in accordance with plans developed in cooperation with local governments and school districts, not to exceed $100,000 at any single locality .................................................................................................100,000 Total......................................................................................$8,145,019

FOR WATERWAY IMPROVEMENTS Section 105. The sum of $13,771,873, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 105 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for the

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following projects at the approximate costs set forth below: Addison Creek Watershed - Cook and DuPage Counties...........................................................................214,700 Chicago Harbor Leakage Control - Cook County - For implementation of a project to identify, measure, control, and eliminate leakage flows through controlling structures at the mouth of the Chicago River in cooperation with federal agencies and units of local government.....................................................................990,400 Crisenberry Dam - Jackson County: For complete rehabilitation of the dam and spillway, including the required geotechnical investigation, the preparation of plans and specifications, and the construction of the proposed rehabilitation ..............................................................423,000 Crystal Creek - Cook County.............................................................2,864,324 East St. Louis and Vicinity Flood Control - Madison and St. Clair Counties - For partial payment of the non-federal cost requirements of an interior flood protection project and ecosystem restoration at East St. Louis and Vicinity area...........................................................376,500 Flood Mitigation - Disaster Declaration Areas .............................................................................1,909,188 Fox Chain O'Lakes - Lake and McHenry Counties ..........................................................................................1,815,911 Fox River Dams - Kane, Kendall and McHenry Counties .....................................................................2,586,269 Granite City - Area Groundwater- Madison County...................................................................................300,000 Hickory/Spring Creeks Watershed - Cook and Will Counties.......................................................................265,800 Kyte River - Rochelle, Ogle County.....................................................450,900 Loves Park - Winnebago County ..........................................................178,500 Prairie/Farmers Creek - Cook County...................................................912,815 Rock River Dams - Rock Island and Whiteside Counties ................................................................................79,566 Small Drainage and Flood Control Projects - Statewide (not to exceed $100,000 at any locality)......................................................................374,000 Union - McHenry County .......................................................................30,000 Total....................................................................................$13,771,873 Section 110. The sum of $31,340, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 110 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources in cooperation with federal agencies, state agencies and units of local government in the implementation of flood hazard mitigation plans in counties that received a Presidential Disaster Declaration as a result of flooding in calendar years 1993 and thereafter, in accordance with reports filed under Section 5 of the "Flood Control Act of 1945". Section 115. The sum of $25,098, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 33, Section 115 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent

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improvements. Section 130. The amount of $1,314,656, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 130 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements. Section 135. The sum of $238,020, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 65 and Article 33, Section 135 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended. Section 145. The following named sum, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, is reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from Natural Areas Acquisition Fund: (From Article 32, Section 70 and Article 33, Section 145 of Public Act 95-734, as amended) For the acquisition, preservation and stewardship of natural areas, including habitats for endangered and threatened species, high quality natural communities, wetlands and other areas with unique or unusual natural heritage qualities ...........................................................................20,792,069 Section 150. The sum of $109,943,523, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 75 and Article 33, Section 150 of Public Act 95-734, as amended, is reappropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments as provided in the "Open Space Lands Acquisition and Development Act".

FOR STATE PHEASANT PROGRAM Section 160. The sum of $883,412, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 80 and Article 33, Section 160, of Public Act 95-734, as amended, is reappropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended. Section 170. The sum of $3,192,250, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 85 and Article 33, Section 170 of Public Act 95-734, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended. Section 180. The sum of $1,220,489, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 90, and Article 33, Section 180 of Public Act 95-734, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates. Section 190. The following named sum, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 100 and Article 33, Section 190 of Public Act 95-734, as amended, made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, is reappropriated to the Department of Natural Resources for refunds and the purposes

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stated: Payable from Land and Water Recreation Fund: For Outdoor Recreation Programs..............................................21,081,481 Section 195. The sum of $1,886,668, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 105 and Article 33, Section 195 of Public Act 95-734, as amended, is reappropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including administration, enforcement, planning and implementation of this Act. Section 205. The sum of $1,486,809, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes in Article 33, Section 205 of Public Act 95-734, as amended, is reappropriated from the Partners for Conservation Projects Fund to the Department of Natural Resources for the acquisition, planning and development of land and long-term easements, and cost-shared natural resource management practices for ecosystem-based management of Illinois' natural resources, including grants for such purposes. Section 210. The sum of $2,314,763, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes in Article 33, Section 210 of Public Act 95-734, as amended, is reappropriated from the Partners for Conservation Projects Fund to the Department of Natural Resources for the acquisition, planning and development of land and long-term easements, and cost-shared natural resource management practices for ecosystem-based management of Illinois' natural resources, including grants for such purposes. Section 215. The following named sum, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 110 and Article 33, Section 215 of Public Act 95-734, as amended, made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, is reappropriated to the Department of Natural Resources for refunds and the purposes stated: Payable from Federal Title IV Fire Protection Assistance Fund: For Rural Community Fire Protection Program .........................................................................1,033,568 Section 225. The sum of $143,498, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 115 and Article 33, Section 225 of Public Act 95-734, as amended, is reappropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles. Section 235. The sum of $2,482,184, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 120 and Article 33, Section 235 of Public Act 95-734, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended. Section 245. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $642,780, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 125, and Article 33, Section 245 of Public Act 95-734, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance. Section 260. The sum of $2,791,528, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 140, and Article 33, Section 260 of Public Act 95-734, as amended, is reappropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of

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attracting waterfowl and improving public migratory waterfowl areas within the State. FOR BIKEWAYS PROGRAMS

Section 280. The sum of $17,782,121, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 145, and Article 33, Section 280 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths. Section 285. The following named sum, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 32, Section 160, and Article 33, Section 285 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources: Payable from the Park and Conservation Fund: For multiple use facilities and programs for park and trail purposes provided by the Department of Natural Resources, including construction and development, all costs for supplies, materials, labor, land acquisition, services, studies, and all other expenses required to comply with the intent of this appropriation ........................................................1,529,436 Section 300. The sum of $686,826, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 33, Section 300 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for multiple use facilities and programs for conservation purposes provided by the Department of Natural Resources, including repairing, maintaining, reconstructing, rehabilitating, replacing fixed assets, construction and development, marketing and promotions, all costs for supplies, materials, labor, land acquisition and its related costs, services, studies, and all other expenses required to comply with the intent of this appropriation. Section 305. The sum of $4,643,738, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 150, and Article 33, Section 305 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths. Section 310. The sum of $1,307,357, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 33, Section 310 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources from the Park and Conservation Fund for multiple use facilities and programs for conservation purposes provided by the Department of Natural Resources, including repairing, maintaining, reconstructing, rehabilitating, replacing fixed assets, construction and development, marketing and promotions, all costs for supplies, materials, labor, land acquisition and its related costs, services, studies, and all other expenses required to comply with the intent of this appropriation. Section 320. The sum of $7,618,254, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 155, and Article 33, Section 320 of Public Act 95-734, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for the development and maintenance of recreational trails and trail-related projects authorized under the Intermodal Surface Transportation Efficiency Act of 1991, provided such amount shall not exceed funds to be made available for such purposes from state or federal sources. Section 385. The following named sum, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below: Payable from the Illinois Beach Marina Fund: (From Article 32, Section 165 and Article 33, Section 385 of Public Act 95-734, as amended)

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For rehabilitation, reconstruction, repair, replacing, fixed assets, and improvement of facilities at North Point Marina at Winthrop Harbor .............................................................................................1,135,535 Section 395. The sum of $16,993,585, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 32, Section 170, and Article 33, Section 395 of Public Act 95-734, as amended, is reappropriated to the Department of Natural Resources from the Abandoned Mined Lands Reclamation Council Federal Trust Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines, and any other expenses necessary for emergency response. Section 405. The sum of $4,535,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 405 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands. Section 410. The sum of $1,319,251, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 33, Section 410 of Public Act 95-734, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for the acquisition, engineering and rehabilitation of dedicated hunting and fishing lands in conjunction with the Illinois Hunting Heritage Protection Act; however, no more than $1,500,000 of the total appropriation may be used for engineering and rehabilitation. Section 415. The sum of $20,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 33, Section 415 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for water resource management projects as authorized by subsection (g) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 420. The sum of $10,077,640, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 33, Section 420 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to local governments for the acquisition, financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land as authorized by subsection (l) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 425. The sum of $25,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 33, Section 425 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Natural Resources for the Illinois Open Land Trust Program as defined by the Illinois Open Land Trust Act as authorized by subsection (m) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 426. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 170 of Public Act 95-731 as amended by Public Act 96-004, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the purpose of advancing forestry resources in Illinois pursuant to the American Recovery and Reinvestment Act of 2009. Section 430. No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in Sections: 70 through 130, 190, 205, 210, 270 through 320, 405, 410, 415, 420 and 425 until after the purpose and amount of such expenditure has been approved in writing by the Governor. Total, Article 40................................................................$355,322,128

ARTICLE 45

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DEPARTMENT OF MILITARY AFFAIRS Section 5. The sum of $238,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 34, Section 5 of Public Act 95-734, is reappropriated from the Illinois National Guard Armory Construction Fund to the Department of Military Affairs for land acquisition and construction of parking facilities at armories. Total, Article 45.......................................................................$238,800

ARTICLE 50 DEPARTMENT OF TRANSPORTATION

PERMANENT IMPROVEMENTS Section 5. The sum of $5,400,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for Permanent Improvements to Illinois Department of Transportation facilities, including but not limited to the purchase of land, construction, repair, alterations and improvements to maintenance and traffic facilities, district and central headquarters facilities, storage facilities, grounds, parking areas and facilities, fencing and underground drainage, including plans, specifications, utilities and fixed equipment installed and all costs and charges incident to the completion thereof at various locations.

OTHER LUMP SUMS Section 10. The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named: For costs associated with the identification, corrective action, and disposal of hazardous materials at storage facilities...........................................................1,158,600 For Maintenance, Traffic and Physical Research Purposes (A)..................................................................30,129,100 For repair of damages by motorists to highway guardrails, fencing, lighting units, bridges, underpasses, signs, traffic signals, crash attenuators, landscaping, roadside shelters, rest areas, fringe parking facilities, sanitary facilities, maintenance facilities including salt storage buildings, vehicle weight enforcement facilities including scale houses, and other highway appurtenances, provided such amount shall not exceed funds to be made available from collections from claims filed by the Department to recover the costs of such damages ..............................................5,500,000 For Maintenance, Traffic and Physical Research Purposes (B) ..................................................................13,150,000 Total....................................................................................$49,937,700

HIGHWAY CONSTRUCTION AND LAND ACQUISITION GRANTS AND AWARDS

Section 15. The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named: For apportionment to counties for construction of township bridges 20 feet or more in length as provided in Section 6-901 through 6-906 of the "Illinois Highway Code"...............................................................15,000,000 For apportionment to needy Townships and Road Districts, as determined by the

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Department in consultation with the County Superintendents of Highways, Township Highway Commissioners, or Road District Highway Commissioners ..............................................................10,014,300 For apportionment to high-growth cities over 5,000 in population, as determined by the Department in consultation with the Illinois Municipal League ...........................................................................4,000,000 For apportionment to counties under 1,000,000 in population, $8,000,000 of the total apportioned in equal amounts to each eligible county, and $13,800,000 apportioned to each eligible county in proportion to the amount of motor vehicle license fees received from the residents of eligible counties ............................................................................21,800,000 Total....................................................................................$50,814,300

HIGHWAY CONSTRUCTION AND LAND ACQUISITION CONSTRUCTION

Section 20. The sum of $930,000,000, or so much thereof as may be necessary, is appropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of State highways, arterial highways, roads, access areas, roadside shelters, rest areas fringe parking facilities and sanitary facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the Road Improvement Program as approximated below: District 1, Schaumburg .................................................................243,993,600 District 2, Dixon .............................................................................53,956,700 District 3, Ottawa............................................................................55,904,000 District 4, Peoria .............................................................................36,214,500 District 5, Paris ...............................................................................30,155,000 District 6, Springfield......................................................................38,265,500 District 7, Effingham ......................................................................30,056,500 District 8, Collinsville...................................................................122,668,100 District 9, Carbondale .....................................................................31,670,100 Statewide (including refunds) .......................................................110,290,000 Engineering...................................................................................176,826,000 Total....................................................................................930,000,000 Section 25. The sum of $310,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series A Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program as approximated below: District 1, Schaumburg .................................................................112,518,000

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District 2, Dixon .............................................................................23,962,000 District 3, Ottawa............................................................................25,550,000 District 4, Peoria .............................................................................23,045,000 District 5, Paris ...............................................................................14,282,000 District 6, Springfield......................................................................19,230,000 District 7, Effingham ......................................................................22,302,000 District 8, Collinsville.....................................................................26,675,000 District 9, Carbondale .....................................................................17,300,000 Statewide (including refunds) .........................................................25,136,000 Engineering................................................................................................ 0 Total....................................................................................310,000,000 Section 27. The sum of $2,801,433,698, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series D Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program as approximated below: District 1, Schaumburg .............................................................. 1,307,767,925 District 2, Dixon ...........................................................................321,800,800 District 3, Ottawa..........................................................................190,512,450 District 4, Peoria ...........................................................................200,107,500 District 5, Paris .............................................................................135,118,550 District 6, Springfield....................................................................159,863,500 District 7, Effingham ....................................................................116,729,223 District 8, Collinsville...................................................................229,600,000 District 9, Carbondale ...................................................................139,933,750 Statewide (including refunds) .........................................................................0 Engineering................................................................................................ 0 Total................................................................................. 2,801,433,698

HIGHWAY CONSTRUCTION AND LAND ACQUISITION LUMP SUMS

Section 30. The sum of $95,000,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program as approximated below: District 1, Schaumburg ...................................................................36,055,400 District 2, Dixon ...............................................................................7,973,300 District 3, Ottawa..............................................................................8,261,000 District 4, Peoria ...............................................................................5,351,500 District 5, Paris .................................................................................4,456,000 District 6, Springfield........................................................................5,654,500 District 7, Effingham ........................................................................4,441,500 District 8, Collinsville.....................................................................18,126,900

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District 9, Carbondale .......................................................................4,679,900 Statewide (including refunds) .........................................................................0 Engineering................................................................................................ 0 Total......................................................................................95,000,000 Section 35. The sum of $499,185,700, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program as approximated below: District 1, Schaumburg .................................................................289,000,000 District 2, Dixon .............................................................................20,000,000 District 3, Ottawa............................................................................15,000,000 District 4, Peoria .............................................................................13,000,000 District 5, Paris ...............................................................................13,000,000 District 6, Springfield......................................................................15,000,000 District 7, Effingham ......................................................................14,000,000 District 8, Collinsville.....................................................................28,000,000 District 9, Carbondale .....................................................................10,000,000 Statewide (including refunds) .........................................................82,185,700 Total....................................................................................499,185,700 Section 36. The sum of $500,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series D Fund to the Department of Transportation for grants to counties, municipalities, and road districts for planning, engineering, acquisition, construction, reconstruction, development, improvement, extension, and all construction related expenses of the public infrastructure and other transportation improvement projects which are related to economic development in the State of Illinois allocated as follows: For the municipalities of the State ....................................$245,500,000 For the counties of the State having 1,000,000 or more inhabitants .............................................83,700,000 For the counties of the State having less than 1,000,000 inhabitants ...................................................91,350,000 For the road districts of the State ..........................................79,450,000 Total ............................................................................ $500,000,000

GRADE CROSSING PROTECTION CONSTRUCTION

Section 40. The sum of $39,000,000 or so much thereof as may be necessary, is appropriated from the Grade Crossing Protection Fund to the Department of Transportation for the installation of grade crossing protection or grade separations at places where a public highway crosses a railroad at grade, as ordered by the Illinois Commerce Commission, as provided by law.

DIVISION OF AERONAUTICS AWARDS AND GRANTS

Section 45. The sum of $137,000,000 or so much thereof as may be necessary, is appropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects, including reimbursements and/or refunds, undertaken pursuant to pertinent state or federal laws, provided such amounts shall not exceed funds available from federal and/or local sources. Section 50. The sum of $20,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for financial assistance to airports pursuant to Section 34 of the Illinois Aeronautics Act, as amended, for such purposes as are described in that Section and for airport acquisition and development pursuant to Section 72 of the Illinois Aeronautics Act, as amended, for such purposes as are described in that Section.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION AWARDS AND GRANTS

Section 55. The sum of $16,000,000, or so much thereof as may be necessary, is appropriated

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from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION CONSTRUCTION

Section 60. The sum of $300,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed funds made available by the federal government for this program. Section 61. The sum of $20,000,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed funds made available by the federal government for this program. Section 65. The sum of $1,800,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants and providing project assistance to the Regional Transportation Authority (RTA) as approximated below: To the Suburban Bus Division of the Regional Transportation Authority (PACE) for construction costs and for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity transit, bus and other equipment ...........................................90,000,000 To the Chicago Transit Authority (CTA) for construction costs and for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity transit, bus and other equipment .........................................900,000,000 To the Commuter Rail Division of the Regional Transportation Authority (Metra) for construction costs and for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity transit, bus and other equipment .........................................810,000,000 Total................................................................................. 1,800,000,000 Section 70. The sum of $200,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants, and providing project assistance to municipalities, special transportation districts, private Non-profit carriers, mass transportation carriers and Intercity rail program for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity rail, bus and other equipment used in connection therewith, as provided by law for the purpose of downstate public transit systems.

RAIL PASSENGER AND RAIL FREIGHT AWARDS AND GRANTS

Section 75. The sum of $2,700,000, or so much thereof as may be necessary, is appropriated from the State Rail Freight Loan Repayment Fund for funding the State Rail Freight Loan Repayment Program created by Section 49.25g-1 of the Civil Administrative Code of Illinois. Section 80. The sum of $1,045,000, or so much thereof as may be necessary, is appropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the Rail Freight

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Service Assistance Program, created by Section 49.25a through 49.25g-1 of the Civil Administrative Code of Illinois. Section 83. The sum of $150,000,000, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for track and signal improvements, AMTRAK station improvements, rail passenger equipment, and rail freight facility improvements. Section 85. No contract shall be entered into or obligation incurred or any expenditure made from an appropriation herein made in Section 5 Permanent Improvements Section 30 Road Program Section 50 Aeronautics Section 65 Transit Section 70 Transit Section 75 State Rail Freight Loan Repayment Section 80 Federal Rail Freight Loan Repayment of this Article until after the purpose and the amount of such expenditure has been approved in writing by the Governor. Total, Article 50............................................................. $7,927,516,400

ARTICLE 55 DEPARTMENT OF TRANSPORTATION

PERMANENT IMPROVEMENTS Section 5. The sum of $27,520,862, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning Permanent Improvements heretofore made in Article 35, Section 5 and Article 36, Section 5 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

CONSULTANT AND PRELIMINARY ENGINEERING Section 10. The sum of $22,678,442, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 10 and Section 15 of Public Act 95-0734, as amended, for Engineering and Consultant Contracts only, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 15. The sum of $17,755,985, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 35 and Section 40 of Public Act 95-0734, as amended, for Engineering and Consultant Contracts only, is reappropriated from the State Construction Fund to the Department of Transportation for the same purposes.

OTHER LUMP SUMS Section 20. The sum of $7,678,411, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning hazardous materials made in Article 35, Section 10 and Article 36, Section 20 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 25. The sum of $34,698,338, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation made for Formal Contracts in the line item, “For Maintenance, Traffic and Physical Research Purposes (A)” for the Central Offices, Division of Highways, in Article 35, Section 10 and Article 36, Section 25 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 30. The sum of $7,633,493, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning Highway Damage Claims heretofore made in Article 35, Section 10 and Article 36, Section 30 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

HIGHWAY CONSTRUCTION AND LAND ACQUISITION AWARDS AND GRANTS

Section 35. The sum of $19,133,342, or so much thereof as may be necessary, and remains

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unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made for township bridges in Article 35, Section 15 and Article 36, Section 45 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

HIGHWAY CONSTRUCTION AND LAND ACQUISITION Section 40. The sum of $700,458, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 50 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for the same purposes. Section 45. The sum of $211,133,362, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 55, Section 60, and Section 65 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations. Section 50. The sum of $92,078,416, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 70 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program; such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations. Section 55. The following named sums or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009 from the reappropriations heretofore made in Article 36, Section 75 of Public Act 95-0734, as amended, are reappropriated to the Department of Transportation from the Road Fund for the FY04 federal earmarks provided in Conference Report 108-401 which accompanies Public Law 108-199. Expenditures shall not exceed funds to be made available by the federal government. Bridge Discretionary North Avenue Bridge, Chicago..........................................................1,188,885 National Corridor Planning & Development City of Forsyth Frontage Road................................................................11,917 Ferry Boats/Terminal Facilities Canal Corridor Association-Port of LaSalle Project......................................................................................400,000 Transportation & Community & System Preservation Homewood, Illinois railroad station/ platform acquisition and improvement .................................................191,311 Village of Glencoe, Green Bay Trail – North Branch Trail Connection.................................................110,262 Section 115 Member Initiatives 168th and State Streets Intersection Improvements .........................................................................................32,834 Annie Glidden Road, DeKalb ...............................................................178,291 Convocation Center Roadway ..............................................................151,655 Great River Road in Mercer County .......................................................14,882

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Illinois Route 38 at Union Pacific Railroad Grade Separation....................................................................250,000 ITS – I-74 in Peoria ..............................................................................750,000 Kaskaskia Regional Port District, access roads ........................................9,586 Long Meadow Parkway Fox River Bridge Crossing, Bolz Road.....................................................................2,820,000 Milwaukee Avenue Rehabilitation........................................................200,000 Rock Island County, Illinois Milan Beltway Construction ......................................................................500,000 Sauk Trail Reconstruction Improvements, Park Forest..............................................................330,000 Sauk Village Industrial Park Access Road............................................472,494 Sheridan Road, Evanston ......................................................................800,000 St. Charles, Illinois, Fox River Crossing at Red Gate Corridor ........................................................662,586 US 51, Christian/Shelby Counties .....................................................1,235,962 West Grand Avenue. (from North Western to N. California Ave.)........................................................800,000 Total....................................................................................$11,110,665 Section 60. The following named sums or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 80 of Public Act 95-0734, as amended, are reappropriated to the Department of Transportation from the Road Fund for the FY05 federal earmarks provided in Conference Report 108-792 which accompanies Public Law 108-447. Expenditures shall not exceed funds to be made available by the federal government. Bridge Discretionary North-South Wacker Drive Reconstruction in Chicago..........................................................................................1,916,666 Interstate Maintenance Discretionary I-55 South Barrier, Darien Illinois .....................................................1,400,000 Section 117 Member Initiatives 171st Street reconstruction, East Hazel Crest ...........................................6,429 67th Street Pedestrian Underpass, Chicago Lakefront...............................................................................................400,000 Camp Street upgrades, East Peoria ....................................................1,820,370 Cermak and Kenton Avenues ...............................................................835,058 Cicero Avenue lighting in University Park...........................................200,000 Des Plaines, Illinois alley, sidewalk improvements..........................................................................................16,073 Fulton County Highway 6.....................................................................729,300 I-290 Cap, Oak Park ..........................................................................1,000,000 KBS Railroad Hazard Elimination, Kankakee County...................................................................................................300,000 MacArthur Boulevard Extension, Springfield ......................................381,805 McHenry County / Crystal Lake Road...............................................1,000,000 Milwaukee Avenue, Grand to Gale, Chicago .......................................972,872 Route 178 relocation, Phase II Engineering..........................................827,373 Sheridan Road Improvements, Evanston ..............................................500,000 Sidewalks near Ford Heights ................................................................200,000 Street improvements and streetlights, Lynnwood ....................................2,792 Street improvements, Bartonville .........................................................143,835 Street improvements, Village of Armington...........................................42,567 Streetlights and salt dome for Markham ...............................................300,000 U.S. 41/I-176 Interchange improvements Phase I study .........................................................................................800,000 Winfield Pedestrian Tunnel ...............................................................1,000,000 Total....................................................................................$14,795,140

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Section 65. The sum of $81,321,817, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 85 of Public Act 95-0734, as amended, are reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations. Section 70. The sum of $746,777, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 95 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for Pavement Preservation Programs. Section 75. The sum of $257,186,953, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 100 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for High Priority Projects (HPP) and Transportation Improvement Projects (TI) pertaining to local governments as designated in Public Law 109-59, Title I, Subtitle G, Section 1702 and Subtitle I, Section 1934 of the federal reauthorization act entitled SAFETEA-LU; provided such amounts do not exceed funds made available by the federal government through Congressional designations, annual allocations, obligation limitations, or any other federal limitations. Specific project approximations appear in Article 101, Section 25 of Public Act 94-0798. Section 80. The sum of $15,207,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 20 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for Transportation, Community and System Preservation (TCSP), Discretionary Interstate Maintenance and Surface Transportation Priorities earmarks pertaining to state and local governments as designated in the Consolidated Appropriation Act, 2008, Division K, Public Law 110-161; provided such amounts do not exceed funds made available by the federal government through Congressional designations, annual allocations, obligation limitations, or any other federal limitations, as approximated in Article 35, Section 20 of Public Act 95-0734. Section 85. The sum of $76,944,001, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 130 and Section 135 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 90. The sum of $57,879,296, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 140 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits

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and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 95. The sum of $40,392,607, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 145 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 100. The sum of $304,010,982, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 150 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations. Section 105. The sum of $14,027,206, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 155 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for all expenses related to Phase II of the I-57/294 interchange in the County of Cook. Section 110. The sum of $638,890,295, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 30 of Public Act 95-0734, as amended, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations.

HIGHWAY CONSTRUCTION AND LAND ACQUISITION LUMP SUMS

Section 115. The sum of $16,542,586, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 90 of Public Act 95-0734, as amended, are reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations, including refunds. Section 120. The sum of $157,852,612, or so much thereof as may be necessary, and remains

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unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 105 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program, including refunds. Section 125. The sum of $203,803,237, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 110 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program, including refunds. Section 130. The sum of $67,063,715, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 115 of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for the local match of all other non-federally reimbursed expenses associated with the High Priority Projects (HPP) and Transportation Improvement Projects (TI) specifically identified in Article 101, Section 25 of Public Act 94-0798, provided that such amounts do not exceed funds made available and paid into the Road Fund by local governments. Section 135. The sum of $236,155,772, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 120 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program, including refunds. Section 140. The sum of $356,432,186, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 125 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program, including refunds. Section 145. The sum of $599,153,832, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 25 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial

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highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the state portion of the Road Improvement Program, including refunds. Section 150. The sum of $542,236,818, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 27 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the local portion of the Road Improvement Program, including refunds. Section 155. The sum of $1,517,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 35, Section 20a of Public Act 95-0734, is reappropriated from the Road Fund to the Department of Transportation for the local match of all other non-federally reimbursed expenses associated with the Transportation, Community and System Preservation (TCSP) and Discretionary Interstate Maintenance earmarks specifically identified in Article 35, Section 20a of Public Act 95-0734, provided that such amounts do not exceed funds made available and paid into the Road Fund by local governments.

BOND FUND CONSTRUCTION

Section 160. The sum of $9,702,759, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 160 of Public Act 95-0734, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes. Section 165. The sum of $100,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 165 of Public Act 95-0734, as amended, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

GRADE CROSSING PROTECTION CONSTRUCTION

Section 170. The sum of $73,345,214, or so much thereof as may be necessary, and remains unexpended, at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made for grade crossing protection or grade separation in Article 35, Section 34 and Article 36, Section 170 of Public Act 95-0734, as amended, is reappropriated from the Grade Crossing Protection Fund to the Department of Transportation for the same purpose.

DIVISION OF AERONAUTICS AWARDS AND GRANTS

Section 175. The sum of $460,035,190, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made in Article 35, Section 35 and Article 36, Section 175 of Public Act 95-0734, as amended, is reappropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects, including reimbursements and/or refunds, undertaken pursuant to pertinent state or federal laws, provided such amounts shall not exceed funds available from federal and/or local sources. Section 180. The sum of $19,025,378, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations concerning airport improvements heretofore made in Article 36, Section 180 and Section 185 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

DIVISION OF AERONAUTICS

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CONSTRUCTION Section 190. The sum of $14,800,686, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 190 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION AWARDS AND GRANTS

Section 195. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 195 of Public Act 95-0734, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows: Pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended.........................................18,025 For the counties of Cook, DuPage, Kane, Lake, McHenry and Will, pursuant to Section 4(b)(2) of the General Obligation Bond Act, as amended........................................................................................553,724 For the counties of the State outside the counties of Cook, DuPage, Kane, Lake, McHenry and Will, pursuant to Section 4(b)(3) of the General Obligation Bond Act, as amended ........................................................................28,014 Total.........................................................................................$599,763 Section 200. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriations heretofore made in Article 36, Section 200 of Public Act 95-0734, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows: Pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended...................................................................................40,680,044 For the counties of the State outside the counties of Cook, DuPage, Kane, McHenry, and Will, pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended.............................................................................3,195,300 For the Department of Transportation's Greenlight Program pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended ...............................................12,496,695 To extend the metrolink rail line to Mid-America Airport .................................................................5,000,002 Total...........................................................................................$61,372,041 Section 205. The sum of $73,603,178, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 205 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants and providing project assistance to municipalities, special transportation districts, private non-profit carriers, mass transportation carriers and the Intercity rail program for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity rail, bus and other equipment used in connection therewith, as provided by law, pursuant to Section 4(b)(1) of the General Obligation Bond Act, as amended. Section 210. The sum of $46,450,773, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made in Article 35, Section 55 and Article 36, Section 210 of Public Act 95-0734, as

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amended, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION LUMP SUMS

Section 215. The sum of $75,904,023, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 215 of Public Act 95-0734, as amended, is reappropriated from the Road Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed funds made available by the federal government for this program.

RAIL PASSENGER AND RAIL FREIGHT AWARDS AND GRANTS

Section 220. The sum of $15,480,074, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation heretofore made in Article 35, Section 60 and Article 36, Section 220 of Public Act 95-0734, as amended, is reappropriated from the State Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes. Section 225. The sum of $10,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 225 of Public Act 95-0734, as amended, is reappropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for the federal share of the High Speed Rail Project. Section 230. The sum of $28,737,923, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the reappropriation heretofore made in Article 36, Section 230 of Public Act 95-0734, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes. Section 235. The sum of $5,472,573, or so much thereof as may be necessary, less $1,000,000 to be lapsed from the unexpended balance, and remains unexpended at the close of business on June 30, 2009, from the appropriation and reappropriation concerning the federal share of the Rail Freight Loan Repayment Program heretofore made in Article 35, Section 65 and Article 36, Section 235 of Public Act 95-0734, as amended, is reappropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes.

STIMULUS HIGHWAY CONSTRUCTION AND LAND ACQUISITION

LUMP SUMS Section 240. The sum of $900,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 320 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-850; for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations and scale houses, in accordance with applicable laws and regulations for the State portion, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 245. The sum of $325,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 325 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state and local roads and bridges, fringe parking facilities and such other purposes as provided by the “Illinois Highway Code”; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by

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Public Act 78-850; for land acquisition and signboard removal and control and preservation of natural beauty, in accordance with applicable laws and regulations for the State and Local portion, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 250. The sum of $50,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 330 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation to provide local funding for project expenses in excess of the Local portion of federal funds made available from the American Recovery and Reinvestment Act of 2009, provided such amounts do not exceed funds made available and paid into the Road Fund by the local governments.

DIVISION OF AERONAUTICS LUMP SUMS

Section 255. The sum of $150,000,000 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 335 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects, including reimbursements and/or refunds, undertaken pursuant to pertinent state and federal laws, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009 and/or local sources.

DIVISION OF PUBLIC AND INTERMODAL TRANSPORTATION LUMP SUMS

Section 260. The sum of $40,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 340 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for capital, operating, consultant services, and technical assistance grants, state administration, and intergovernmental and interagency agreements, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 265. The sum of $300,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 345 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for grants, road construction and all other costs relating to the Chicago Region Environmental and Transportation Efficiency (CREATE) program, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009.

RAIL PASSENGER AND RAIL FREIGHT LUMP SUMS

Section 270. The sum of $285,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 350 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for track and signal improvements, AMTRAK station improvements, passenger rail equipment, and facility improvements, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 275. The sum of $6,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 355 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Road Fund to the Department of Transportation for track and signal improvements, rail freight equipment, and rail freight facility improvements, provided such amounts not exceed federal funds made available by the American Recovery and Reinvestment Act of 2009. Section 280. The sum of $500,000,000 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from the appropriation heretofore made in Article 10, Section 360 of Public Act 95-732 as amended by Public Act 96-004, is reappropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for grants, construction, and all other costs relating to high speed rail projects in compliance with the American Recovery and Reinvestment Act of 2009, provided such amounts not exceed funds made available by the federal government for this purpose.

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Section 285. No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in: Section 5 Permanent Improvements Section 160 Series A - Road Program Section 165 Series A - Road Program Section 180 Series B - Aeronautics Section 190 Series B - Land Acquisition 3rd Airport Section 195 Series B - Transit Section 200 Series B - Transit Section 205 Series B - Transit Section 220 State Rail Freight Loan Repayment Section 225 FHSRTF High Speed Rail-Federal Section 230 Series B - Rail Section 235 Federal Rail Freight Loan Repayment

of this Article until after the purpose and the amount of such expenditure has been approved in writing by the Governor. Total, Article 55............................................................. $7,683,811,381

ARTICLE 60 CAPITAL DEVELOPMENT BOARD

Section 5. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Agriculture for the projects hereinafter enumerated:

ILLINOIS STATE FAIRGROUNDS- SPRINGFIELD For replacing the HVAC in the administration building ...........................................................$3,212,000 For replacing roofing systems – Administration Building and Lower Roof .....................................................................................2,220,472 Plan and begin electrical system replacement............................................................................600,000

CENTRALIA ANIMAL DIAGNOSTICS LAB For replacing the roof..........................................................................$615,000 Total......................................................................................$6,647,472 Section 10. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SPRINGFIELD- SUPREME COURT BUILDING Plan and begin renovation of Supreme Court Building ...............................................................14,400,000 Total....................................................................................$14,400,000 Section 15. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for the projects hereinafter enumerated:

CAPITOL BUILDING- SPRINGFIELD For upgrading the HVAC systems and for renovations to meet compliance with ADA, in addition to funds previously appropriated...................................................43,761,500 For upgrades to life safety protection systems in addition to funds previously appropriated.....................................................6,000,000 Total....................................................................................$49,761,500 Section 20. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

HOWLETT BUILDING- SPRINGFIELD For upgrading the North Patio for

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public safety.......................................................................................461,000 For installing an emergency generator ............................................791,000 For replacing roofing systems .........................................................662,000

ILLINOIS STATE LIBRARY- SPRINGFIELD For replacing the roofing system.....................................................528,000

CAPITOL COMPLEX- SPRINGFIELD For upgrading fire alarm panels.......................................................771,000 Plan/begin upgrade of high voltage distribution system..........................................................................1,500,000 For capital upgrades .................................................................250,000,000

CHICAGO DRIVER FACILITIES – WEST, NORTH AND SOUTH For HVAC upgrades.....................................................................2,074,000 Total..................................................................................$256,787,000 Section 25. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

JAMES R. THOMPSON CENTER- CHICAGO For planning and beginning electrical system and life safety system upgrades ..........................................1,000,000 For upgrading the HVAC system .................................................4,150,000

ELGIN REGIONAL OFFICE BUILDING For upgrading the HVAC system .................................................2,461,000

COLLINSVILLE REGIONAL OFFICE BUILDING For replacing the roof ...................................................................1,980,000

CHICAGO MEDICAL CENTER – OFFICE AND LABORATORY For installing an emergency generator and upgrading the electrical system ...................................................2,000,000

STATEWIDE (JRTC, EPA, CHAMPAIGN ROB) For the renovation of state-owned property .......................................2,000,000 Total....................................................................................$13,591,000 Section 30. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

BIG RIVER STATE FOREST For ADA improvements ..................................................................322,611

GIANT CITY STATE PARK - JACKSON COUNTY For replacing the sewer treatment system .......................................491,040

I&M CANAL - CHANNAHON - GRUNDY COUNTY For repair of the spillway, in addition to funds previously appropriated........................................................364,320

ILLINOIS BEACH STATE PARK - LAKE COUNTY For stabilizing shoreline ...............................................................1,000,000

JAKE WOLF MEMORIAL FISH HATCHERY For replacing or upgrading electrical system.................................................................................348,000

NAUVOO STATE PARK For ADA improvements ..................................................................328,385

PYRAMID STATE PARK For renovating the Galum building for a mine rescue station.............................................................................848,000

ROCK CUT STATE PARK For rehabilitating water and sewer system ................................................................................................350,000

STARVED ROCK STATE PARK AND LODGE For replacing roofing systems .........................................................500,000

WAYNE FITZGERRELL STATE RECREATION AREA For replacing roofs ..........................................................................262,004

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WORLD SHOOTING COMPLEX – SPARTA - RANDOLPH COUNTY For infrastructure improvements .....................................................450,000

LINCOLN’S TOMB - SPRINGFIELD For renovating the interior...............................................................700,000

LINCOLN-HERNDON LAW OFFICE - SPRINGFIELD For purchase and restoration of the Tinsley Shop .........................................................................1,000,000 Total......................................................................................$6,964,360 Section 35. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

DIXON CORRECTIONAL CENTER For replacing the fire alarm system ..............................................3,300,000

LINCOLN CORRECTIONAL CENTER For upgrading the building automation system ..........................................................................2,147,000

LOGAN CORRECTIONAL CENTER For replacing housing unit roofs......................................................829,000

JACKSONVILLE CORRECTIONAL CENTER For upgrading the fire alarm system.............................................1,596,000

CENTRALIA CORRECTIONAL CENTER For replacing roofing systems ......................................................3,333,000

SOUTHWESTERN CORRECTIONAL CENTER For replacing the roofing system.....................................................825,000

STATEVILLE CORRECTIONAL CENTER For replacing the X house locks ...................................................1,597,000

VANDALIA CORRECTIONAL CENTER For an emergency generator ............................................................815,000 For replacing roofing systems ......................................................2,343,000

VIENNA CORRECTIONAL CENTER For replacing windows .................................................................2,118,000 For replacing roofing systems .........................................................940,000 Total....................................................................................$19,843,000 Section 40. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Juvenile Justice for the projects hereinafter enumerated:

ILLINOIS YOUTH CENTER - JOLIET For replacing roofs, in addition to funds previously appropriated........................................................425,874

ILLINOIS YOUTH CENTER – KEWANEE For replacing the sprinkler system................................................6,500,000

ILLINOIS YOUTH CENTER - PERE MARQUETTE For replacing roofs ..........................................................................221,000

ILLINOIS YOUTH CENTER - ST. CHARLES For upgrading HVAC system..........................................................606,000 Total......................................................................................$7,752,874 Section 45. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ALTON MENTAL HEALTH CENTER - MADISON COUNTY For life/safety improvements...........................................................932,000

CHICAGO-READ MENTAL HEALTH CENTER - CHICAGO For replacing the emergency generator .........................................................................................1,391,000

CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER - ANNA For upgrading the fire alarm system.............................................2,085,000 For life/safety improvements........................................................7,296,000

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FOX DEVELOPMENTAL CENTER - DWIGHT For upgrading fire/life safety systems .............................................353,000

ILLINOIS SCHOOL FOR THE DEAF For installing sprinkler systems in the dormitories and elementary buildings .........................................................................................3,841,000

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE For replacing roofs ..........................................................................392,832

JACKSONVILLE DEVELOPMENTAL CENTER - MORGAN COUNTY For upgrading fire/life safety systems .............................................581,000

KILEY DEVELOPMENTAL CENTER For upgrading Building C ceiling....................................................444,000

MCFARLAND MENTAL HEALTH CENTER - SPRINGFIELD For upgrading fire alarm system...................................................2,800,000 For replacing roofs – Kennedy and Administration Building .................................................................2,226,000 Total....................................................................................$22,341,832 Section 50. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Revenue for the projects hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD For repairing emergency generator..................................................120,000 For renovation of the parking ramp..............................................2,791,000 Total......................................................................................$2,911,000 Section 55. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of State Police for the projects hereinafter enumerated:

AMERICAN GENERAL BUILDING - SPRINGFIELD For installing an emergency generator and various improvements ..............................................................3,000,000

METRO-EAST FORENSIC LAB - BELLEVILLE For constructing new forensic lab, in addition to funds previously appropriated.......................................2,500,000 Total......................................................................................$5,500,000 Section 60. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Veterans Affairs for the projects hereinafter enumerated:

ANNA VETERAN’S HOME To plan and begin the construction of a 40-50 bed addition ......................................................................700,000

LASALLE VETERAN’S HOME – LASALLE COUNTY For the replacement of the galvanized water piping .................................................................................................210,000

QUINCY VETERAN’S HOME - ADAMS COUNTY For constructing a central chiller plant .........................................5,400,000 For planning and beginning renovation of Kent, Shapers and Elmore, in addition to funds previously appropriated.....................................................1,056,000

STATEWIDE For the construction of a 200-bed veterans’ home facility, in addition to funds previously appropriated...................................................15,000,000 Total....................................................................................$22,366,000 Section 65. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Attorney General for the projects hereinafter enumerated:

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ATTORNEY GENERAL BUILDING - SPRINGFIELD For renovating and waterproofing terrace .......................................190,000 For replacing electronic ballasts ......................................................959,000 For replacing the roof ......................................................................378,000 Total......................................................................................$1,527,000 Section 66. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the projects hereinafter enumerated:

STATEWIDE For emergencies and abatement of hazardous materials, in addition to funds previously appropriated.....................................10,000,000 For escalation costs for state facility projects, in addition to funds previously appropriated...................................................17,000,000 For escalation and emergencies for higher education projects, in addition to funds previously appropriated.....................................25,000,000 Total....................................................................................$52,000,000 Section 70. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Military Affairs for the project hereinafter enumerated:

STATEWIDE To complete construction and purchase equipment for the Shiloh, Mt. Vernon, and Carbondale Readiness Centers ...............................................................................................400,000 Section 75. The sum of $1,351,481,696, or so much thereof as may be necessary, is appropriated from the School Construction Fund to the Capital Development Board for grants to school districts for school construction projects authorized by the School Construction Law. Section 77. The amount of $148,518,304, or so much of that amount as may be necessary, is appropriated from the School Construction Fund to the Illinois State Board of Education for Fiscal Year 2002 School Construction Program grant recipients as follows: Rochester Community Unit School District 3A ........................ 10,183,033 Fairfield Public School District 112 .............................................3,898,926 Stewardson-Strasburg Community Unit District 5A ..............................................................................2,046,533 Johnston City Community Unit School District 1 ...........................528,822 Winfield School District 34..........................................................2,312,480 East St. Louis School District 189..............................................29,025,628 Silvis School District 34.............................................................11,900,936 Joliet Public School District 86 ..................................................26,774,854 Community Consolidated School Dist. 93 Carol Stream ...........................................................................1,554,822 Hinckley-Big Rock Community Unit School District 429 .................................................................1,939,944 West Northfield School District 31 ..............................................1,780,688 DuQuoin Community Unit School District 300 .........................10,263,396 Benton Community Consolidated School District 47 ...............................................................................2,464,790 Villa Park School District 45...........................................................980,545 Westchester School District 92 1/2 ...................................................26,237 Big Hollow School District 38 ........................................................251,812 Matteson Elementary School District 162....................................1,145,241 Central School District 104 .............................................................415,622 Northbrook School District 27 .....................................................1,543,711 Manteno Community Unit School District 5................................2,184,621

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Bradley School District 61 ...........................................................2,096,220 Bethalto Community School District 8.........................................4,278,782 Westmont Community Unit School District 201..........................1,217,000 Chicago Public School (CPS) District 299.................................29,703,661 Section 85. The sum of $100,000,000, or so much thereof as may be necessary, is appropriated from the School Infrastructure Fund to the Capital Development Board for grants to the Illinois State Board of Education for school districts for maintenance projects authorized by the School Construction Law. Section 90. The sum of $27,322,800, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete work at the various higher education institutions. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for such purposes. Section 95. In addition to any amounts previously appropriated for these purposes, the following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the projects hereinafter enumerated:

LAKE LAND COLLEGE For renovating and expanding Student Services Building Addition............................................... 2,361,100

TRITON COLLEGE For renovating and expanding the Technology Building.............................................................$10,666,100

JOLIET JUNIOR COLLEGE For renovation of Utilities ............................................................4,522,900

ROCL VALLEY COLLEGE For Construction of an Arts Instructional Center...............................................................26,711,900

ELGIN COMMUNITY COLLEGE For Spartan Drive Extension ........................................................2,244,800

PARKLAND COLLEGE For renovating and expanding the Student Services Center Addition ...........................................15,442,100

WILLIAM RAINEY HARPER COLLEGE For Engineering and Technology Center Renovations.......................................................................20,336,800

REND LAKE COLLEGE For Art Program Addition and minor remodeling ........................................................................451,300

LAKE LAND COLLEGE For Construction of a Rural Development Technology Center ...................................................7,524,100

COLLEGE OF DUPAGE For Installation of the Instructional Center Noise Abatement ............................................1,544,600

WILLIAM RAINEY HARPER COLLEGE For Construction of a One Stop/Admissions and Campus/ Student Life Center. ......................................................................40,653,900

ILLINOIS VALLEY COMMUNITY COLLEGE Construction of a Community Technology Center .......................................................................16,323,100

COLLEGE OF LAKE COUNTY For Construction of a Student Service Building ...................................................................35,927,000

RICHLAND COMMUNITY COLLEGE

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For Renovation of the Student Success Center and Construction of an Addition to the Student Success Center ........................................................................3,524,000

IECC – LINCOLN TRAIL COLLEGE For Construction of a Center For Technology.......................................................................7,569,800 Total..................................................................................$195,803,500 Section 97. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the Temporary Facility Replacement Program for the projects hereinafter enumerated:

OLIVE HARVEY COLLEGE For Construction of a New Building................................................30,671,600

WAUBONSEE COMMUNITY COLLEGE To Replace Building “A” Temporary Building .....................................................................2,615,200

IECC – OLNEY CENTRAL For Construction of the Collision Repair Technology Center............................................................1,122,800

COLLEGE OF DUPAGE For Temporary Facilities Replacement............................................25,000,000

JOLIET JUNIOR COLLEGE For Temporary Facilities Replacement..............................................8,815,900

ILLINOIS VALLEY COMMUNITY COLLEGE For Construction of a Community

Technology Center....................................................................... 6,521,700 LINCOLN LAND COMMUNITY COLLEGE

For Renovations to Logan Hall and Mason Hall ...................................................................................2,991,200

IECC – WABASH VALLEY For Construction of a Student Center ................................................4,029,400

LEWIS & CLARK COMMUNITY COLLEGE For Construction of a Daycare and Montessori .............................................................................1,663,000 For Construction of an Engineering Annex ...........................................................................................1,536,600

PARKLAND COLLEGE For Construction of an Applied Technology Addition....................................................................9,180,600

COLLEGE OF LAKE COUNTY For Construction of a Classroom Building at the Grayslake Campus ............................................................17,569,200

IECC – LINCOLN TRAIL COLLEGE For Construction of an AC/Refrigeration and Sheet Metal Technology Building .........................................1,495,500

ILLINOIS CENTRAL COLLEGE For Renovation and Additions to Dirksen Hall .................................................................................2,633,700

MCHENRY COUNTY COLLEGE For Construction of a Greenhouse ........................................................671,600 For Construction of a Pumphouse.........................................................115,900

SPOON RIVER COLLEGE For Construction of a Multi-Purpose Building........................................................................................4,027,100

WILLIAM RAINEY HARPER COLLEGE Ro Replace the Hospitality Facility ...................................................3,944,800

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LAKE LAND COLLEGE For Construction of a Workforce Relocation Center .........................................................................9,881,700 Total $134,487,500 Section 100. In addition to any amount previously appropriated, the following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

CHICAGO STATE UNIVERSITY For renovating Douglas Hall, in addition to funds previously appropriated.....................................19,500,000 For Construction of an Early Childhood Development Center .............................................3,000,000 For Remediation of the Convocation Building, in addition to funds previously appropriated ..........................................................5,000,000

EASTERN ILLINOIS UNIVERSITY For remodeling of the HVAC in the Life Science Building and Coleman Hall........................................4,757,100

GOVERNORS STATE UNIVERSITY For renovation of a Teaching/Learning Complex, in addition to funds previously appropriated ..................................................................8,000,000 For replacing roadways and sidewalks .........................................2,028,000

ILLINOIS STATE UNIVERSITY For renovations of the Fine Arts Complex........................................................................................54,250,100

NORTHEASTERN ILLINOIS UNIVERSITY For constructing an education building .........................................................................................72,977,200

NORTHERN ILLINOIS UNIVERSITY For renovating and expanding Stevens Building ...........................................................................22,517,600 For planning Computer Sciences Technology Center..........................................................................2,787,400

SOUTHERN ILLINOIS UNIVERSITY - EDWARDSVILLE For renovating and constructing a Science Laboratory, in addition to funds previously appropriated...................................................78,867,300

SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE For constructing a Transportation Education Center, in addition to funds previously appropriated...................................................56,718,792 For planning and beginning Communications Building ..............................................................4,255,400

UNIVERSITY OF ILLINOIS - CHICAGO For upgrading the campus infrastructure and renovating campus buildings ........................................................20,800,000

UNIVERSITY OF ILLINOIS - URBANA/CHAMPAIGN For renovating Lincoln Hall, in addition to funds previously appropriated.....................................57,304,000 For constructing a Post Harvest Crop Processing and Research Laboratory, in addition to funds previously appropriated.......................................................20,034,000 For constructing an Electrical and Computer Engineering Building, in addition to funds previously

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appropriated ..................................................................................44,520,000 UNIVERSITY OF ILLINOIS - ROCKFORD

For constructing a National Rural Health Center ......................................................................14,820,000

WESTERN ILLINOIS UNIVERSITY - MACOMB For constructing a performing arts center, in addition to funds previously appropriated ................................................................67,835,768

WESTERN ILLINOIS UNIVERSITY - QUAD CITIES For the renovation and construction of a Riverfront Campus, in addition to funds previously appropriated ................................................................15,863,120

ILLINOIS MATH AND SCIENCE ADADEMY For residence hall rehabilitation and main building addition .............................................................6,260,000 For “A” wing laboratories remodeling .........................................3,600,000 Total..................................................................................$585,695,780 Section 105. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete work at the various higher education institutions. These appropriated amounts shall be in addition to any other appropriated amounts which can be expended for such purposes……...$62,677,200 Chicago State University ...................................................................1,449,300 Eastern Illinois University .................................................................2,319,900 Governors State University...................................................................853,800 Illinois State University .....................................................................4,596,000 Northeastern Illinois University.........................................................1,726,500 Northern Illinois University ...............................................................5,215,500 Western Illinois University ................................................................3,564,900 Southern Illinois University- Carbondale ......................................................................................7,312,500 Southern Illinois University- Edwardsville ...................................................................................3,433,800 University of Illinois- Chicago .........................................................................................12,497,700 University of Illinois- Springfield ......................................................................................1,031,100 University of Illinois- Urbana/Champaign .......................................................................18,676,200 Section 110. The sum of $1,650,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University to purchase equipment to complete the renovation and expansion of the Doudna Fine Arts Center. This appropriation is in addition to funds previously appropriated. Section 115. The sum of $17,564,400, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Board of Trustees of Southern Illinois University for construction and equipment expenses to complete the renovation and expansion of the Morris Library. This appropriation is in addition to funds previously appropriated. Section 120. The sum of $300,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Board of Higher Education for grants to various private colleges and universities. Section 125. No contract shall be entered into or obligation incurred for any expenditures from appropriations in this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 60............................................................... 3,028,206,600

ARTICLE 61

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ILLINOIS EMERGENCY MANAGEMENT AGENCY Section 5. The sum of $25,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Illinois Emergency Management Agency for safety and security improvements at various public universities, private colleges or universities and community colleges. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 61..................................................................$25,000,000

ARTICLE 65 CAPITAL DEVELOPMENT BOARD

Section 5. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 5 of Public Act 95-734, and Sections 5, 10 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Agriculture for the projects hereinafter enumerated:

ILLINOIS STATE FAIRGROUNDS - DUQUOIN (From Article 37, Section 5 of Public Act 95-734) For completing the upgrade of the electrical distribution system, in addition to funds previously appropriated.....................................................................................100,759 For constructing a multi-purpose building..............................................................................................61,710 (From Section 200 of Public Act 95-746) For Emergency Roof Replacement .........................................................19,061

ILLINOIS STATE FAIRGROUNDS - SPRINGFIELD (From Article 37, Section 5 of Public Act 95-734) For renovating comfort stations, in addition to funds previously appropriated .......................................................47,650 For renovating the Emmerson Building..................................................57,578 (From Section 5 of Public Act 95-746) For replacement of water and sewer service to various buildings .............................................................205,475 (From Section 10 of Public Act 95-746) For an airlock addition to Metrology (Weights and Measures) Lab...........................................................127,508 (From Section 200 of Public Act 95-746) For Asbestos Abatement .........................................................................85,000 Total.........................................................................................$704,741 Section 20. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 20 of Public Act 95-734, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SPRINGFIELD - SUPREME COURT BUILDING (From Article 37, Section 20 of Public Act 95-734) For renovating the HVAC system on the 3rd Floor ....................................................................................140,000 For installing humidifier and water filtration systems ..........................................................................1,373,755

APPELLATE COURT SECOND DISTRICT - ELGIN For miscellaneous improvements............................................................60,520 Total......................................................................................$1,574,275 Section 30. The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 30 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital

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Development Board for the Courts of Illinois for the projects hereinafter enumerated: SUPREME COURT BUILDING - SPRINGFIELD

(From Article 37, Section 30 of Public Act 95-734) For renovating the Library and completing HVAC, in addition to funds previously appropriated ...................................................................235,000 Section 35. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 35 of Public Act 95-734, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for the projects hereinafter enumerated:

CAPITOL BUILDING - SPRINGFIELD (From Article 37, Section 35 of Public Act 95-734) For equipment, remodeling and all other costs related to the maintenance, renovation or restoration of areas located in the Capitol Building ..............................................................................978,984 For all costs related to asbestos and environmental abatement in the Capitol Building ...........................................................................1,801,429 Total......................................................................................$2,780,413 Section 40. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made in Article 37, Section 40, of Public Act 95-734, and Sections 70, 75 and 80 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL BUILDING - SPRINGFIELD (From Article 37, Section 40 of Public Act 95-734) For planning and design, providing a study, historical analysis, asbestos abatement and all other costs associated with the upgrade of the HVAC system in the Capitol building............................................................................................180,516 For all costs related to the planning and design of life safety and fire protection system improvements, hazardous material abatement, historical restoration and construction in the Capitol Building .........................................351,680

CAPITOL COMPLEX - SPRINGFIELD For completing the stone restoration, in addition to funds previously appropriated .......................................323,373 For demolition of 222 S. College, and landscaping of Capitol Complex in addition to funds previously appropriated.....................................................................................964,131 For demolition of 222 South College Building and landscaping of Capitol Complex..............................................................................586,444 (From Section 70 of Public Act 95-746) To upgrade a high voltage monitoring system..............................................................................................275,496

DRIVER'S FACILITY WEST - CHICAGO (From Article 37, Section 40 of Public Act 95-734) For renovating the building...................................................................391,180 (From Section 80 of Public Act 95-746) For renovation and improvement of pedestrian traffic flow......................................................................206,761

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DRIVER SERVICES FACILITIES, NORTH, SOUTH AND WEST - CHICAGO

(From Section 75 of Public Act 95-746) To upgrade electrical systems ...............................................................418,681

MOTOR VEHICLE SERVICES FACILITY - SPRINGFIELD (From Article 37, Section 40 of Public Act 95-734) For upgrading the fire alarm and security systems.................................................................................16,809

WILLIAM G. STRATTON BUILDING - SPRINGFIELD For the planning, design, reconstruction, and construction to renovate or replace the Stratton Office Building, in addition to funds previously appropriated ..................................................7,379,119 Total....................................................................................$11,094,190 Section 45. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 45 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL COMPLEX – SPRINGFIELD (From Article 37, Section 45 of Public Act 95-734) For upgrading fire alarm systems in two buildings .................................................................................... 17,992 Total...........................................................................................$17,992 Section 50. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 50 of Public Act 95-734, and Sections 20, 25, 30, 150, 155, 185 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

STATEWIDE (From Article 37, Section 50 of Public Act 95-734) For renovating state owned property ........................................................................................2,000,000 For upgrading the building security system at the James R. Thompson Center and the State of Illinois building in addition to funds previously appropriated.....................................................................................655,000 (From Section 200, Public Act 95-746) For renovation of State-owned property at the following locations: Kenneth Hall Regional Office Building, AIG (Franklin Complex) Building, James R. Thompson Center, Sangamo Complex (IEPA), Champaign Regional Office Building (IEPA), Springfield Regional Office Building, Natural Resource Center (DNR) and Read - Building (Elgin Mental Health Center) ........................................1,847,310

OFFICE AND LAB BUILDING, CHICAGO MEDICAL CENTER (From Article 37, Section 50 of Public Act 95-734) For planning and beginning the renovation of the facility ...................................................................................474,164

JAMES R. THOMPSON CENTER - CHICAGO For installing an emergency generator...............................................3,545,000 For rehabilitating exterior columns, in addition to funds previously appropriated ....................................1,000,000

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For upgrading mechanical systems, in addition to funds previously appropriated .........................................27,341

MEDICAL CENTER (DCFS DISTRICT OFFICE) - CHICAGO For replacing roof and upgrading mechanical and electrical systems...................................................321,956

ROCKFORD REGIONAL OFFICE BUILDING For replacing Halon and upgrading the air conditioning..........................................................................162,614

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION (WOOD) - CHICAGO

For upgrading fire and safety systems ....................................................27,113 SPRINGFIELD - RESEARCH AND COLLECTION CENTER

For expanding surplus warehouse...........................................................73,584 SPRINGFIELD - COMPUTER FACILITY

For upgrading the computer room and the electrical system ................................................................................23,421

MICHAEL A. BILANDIC BUILDING, CHICAGO (From Section 20 of Public Act 95-746) For upgrading HVAC and domestic water system...........................................................................................1,540,474

SPRINGFIELD REGIONAL OFFICE BUILDING (From Section 25 of Public Act 95-746) For emergency cooling tower replacement at 4500 S. Sixth Street Road..............................................................56,864

SUBURBAN NORTH REGIONAL OFFICE FACILITY, DES PLAINES (From Section 30 of Public Act 95-746) For renovating office space...................................................................382,716

KENNETH HALL REGIONAL OFFICE BUILDING – EAST ST. LOUIS (From Section 150 of Public Act 95-746) For design services for emergency parapet wall repairs ........................................................................................47,456

MEDICAL CENTER (EDWARDS CENTER) - CHICAGO (From Section 155 of Public Act 95-746) For medical center (Edwards Center) ................................................3,150,000

COLLINSVILLE REGIONAL OFFICE COMPLEX (From Section 185 of Public Act 95-746) To replace an emergency generator ......................................................372,000 Total....................................................................................$15,707,013 Section 60. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 60, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION (ROOSEVELT) – CHICAGO

(From Article 37, Section 60 of Public Act 95-734) For upgrading the kitchen and plumbing ..............................................185,838

JAMES R. THOMPSON CENTER - CHICAGO For rehabilitating exterior columns, in addition to funds previously appropriated ........................................ 48,157 Total.........................................................................................$233,995 Section 65. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 65 Public Act 95-734, and Sections 90, 95, 100, 105, 110, 115 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

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BABE WOODYARD STATE NATURAL AREA - VERMILION COUNTY

(From Article 37, Section 65 of Public Act 95-734) For developing the site and associated land acquisition................................................................................244,604

BUFFALO ROCK STATE PARK – LASALLE COUNTY (From Section 90 of Public Act 95-746) For design services to replace a septic system ..........................................4,125

CARLYLE LAKE STATE PARKS (From Article 37, Section 65 of Public Act 95-734) For road and site improvements at Carlyle Lake .................................................................................1,477,424 For infrastructure and site improvements at Carlyle Lake.........................................................765,485

CARLYLE STATE FISH AND WILDLIFE AREA – FAYETTE COUNTY (From Section 110 of Public Act 95-746) To replace Cox Bridge at Carlyle State Fish and Wildlife Area ....................................................................550,000

EAGLE CREEK STATE PARK - SHELBY COUNTY (From Article 37, Section 65 of Public Act 95-734) For constructing lake access boat docks at resort..................................................................................248,793

FERNE CLYFFE STATE PARK - JOHNSON COUNTY For replacing the campground sewage treatment system .................................................................365,054

GOOSE LAKE PRAIRIE NATURAL AREA - GRUNDY COUNTY For replacing floating boardwalk............................................................24,604

HENNEPIN CANAL PARKWAY STATE PARK AND ACCESS AREA For rehabilitating/repairing railroad bridges, in addition to funds previously appropriated ...................................................................851,685

HORSESHOE LAKE CONSERVATION AREA - ALEXANDER COUNTY For dam rehabilitation and the State's share to implement the ecological restoration plan in cooperation with the U.S. Army Corps of Engineers, and land acquisition................................................................................842,605

I & M Canal - CHANNAHON STATE PARK - WILL COUNTY For improving DuPage River Spillway...................................................35,035 (From Section 200 of Public Act 95-746) For replacing Lock 14 Bridge ...............................................................425,000 For improving the DuPage River Spillway...........................................930,000

ILLINOIS BEACH STATE PARK - LAKE COUNTY (From Article 37, Section 65 of Public Act 95-734) For replacing sanitary sewer line ............................................................79,748 For replacing sanitary sewer lines.........................................................311,922

MORAINE HILLS STATE PARK – MCHENRY COUNTY (From Section 95 of Public Act 95-746) For replacing yellow-head marshy dam culverts ..................................400,000

PERE MARQUETTE STATE PARK – JERSEY COUNTY (From Section 100 of Public Act 95-746) For design services to replace a lodge pool dehumidifier ..............................................................................63,279 (From Section 105 of Public Act 95-746) For emergency replacement of a sewage treatment plant.................................................................................621,000

RED HILLS STATE PARK – LAWRENCE COUNTY

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(From Article 37, Section 65 of Public Act 95-734) For miscellaneous improvements............................................................44,740

RESEARCH & COLLECTIONS CENTER - SPRINGFIELD For renovating the interior ......................................................................17,915

ROCK CUT STATE PARK - WINNEBAGO COUNTY For upgrading the sewage system .........................................................675,104

SILOAM SPRINGS STATE PARK – ADAMS COUNTY For rehabilitating office/service area .................................................1,119,114

STEPHEN A. FORBES STATE PARK, MARION COUNTY (From Section 115 of Public Act 95-746) For design services to replace dump and fish cleaning stations .........................................................................44,584

WORLD SHOOTING COMPLEX – SPARTA (From Article 37, Section 65 of Public Act 95-734) For construction of the World Shooting Complex in Sparta .............................................................................57,580

SPRINGFIELD For constructing an office building and interpretive center............................................................................166,153

WHITE PINES FOREST STATE PARK - OGLE COUNTY For completing the replacement of the sewer system, in addition to funds previously appropriated .....................................................................11,557

WILDLIFE PRAIRIE PARK For rehabilitating the sewage treatment plant.................................................................................767,500 (From Section 200 of Public Act 95-746) For upgrading sewage treatment plant ...............................................1,032,000

STATEWIDE (From Article 37, Section 65 of Public Act 95-734) For replacing/repairing the roofing systems at the following locations at the approximate cost set forth below......................................................................... 245,000 Clinton Lake Recreational Area - DeWitt County..........................................................................65,000 Ferne Clyffe State Park- Johnson County....................................................................................20,000 Hennepin Canal Parkway State Park .............................................................................................26,000 Lake Le-Aqua-Na State Park- Stephenson County ..............................................................................39,000 Mermet Lake Conservation Area- Massac County.....................................................................................95,000 For replacing/repairing the roofing systems at the following locations at the approximate costs set forth below ........................................................................115,267 Starved Rock State Park & Lodge-LaSalle County ...........................................................................4,726 Kaskaskia River Fish & Wildlife Area-Randolph County ........................................................................19,500 Pyramid State Park- Perry County ..........................................................................................4,109 Region V Office (Benton) Franklin County ...................................................................................86,932 For rehabilitating dams and bridges......................................................120,754 For constructing, replacing and renovating lodges and concession

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buildings .......................................................................................1,488,014 For replacing roofs at the following locations, at the approximate cost set forth below ...........................................134,931 Shabbona Lake State Park 40,850 Hennepin Canal Parkway State Park .............................................................................................15,750 Randolph Fish & Wildlife Area .......................................................................................32,271 Dixon Springs State Park 46,060 For replacing and constructing vault toilets at the following locations, at the approximate cost set forth below ...............................................................................................167,772 Hennepin Canal Parkway State Trail...........................................................................................167,772 For rehabilitating dams at the following locations, at the approximate cost set forth below.....................................................450,002 Rock Cut State Park ...........................................................................450,002 For replacing roofs at the following locations, at the approximate cost set forth below..........................................................................206,925 Southern IL Arts & Crafts Center.....................................................................................412 Frank Holten State Park ............................................................................412 DNR Geological Survey- Champaign........................................................................................413 Sangchris Lake State Park................................................................................................5,291 Illini State Park ......................................................................................1,692 Shelbyville Fish & Wildlife Area ...............................................................................79,480 Trail of Tears State Forest .............................................................................................3,685 Sanganois Conservation Area ...................................................................413 Rice Lake State Park............................................................................28,090 Hidden Spring State Park.....................................................................53,740 Siloam Springs State Park......................................................................2,417 Mississippi Palisades State Park.....................................................................................30,880 For replacing vault toilets at the following locations, at the approximate cost set forth below ...............................................................................................285,813 Anderson Lake Conservation Area - Fulton/Schuyler Counties...................................................................71,453 Giant City State Park - Jackson/Union Counties.....................................................................71,453 Randolph County Conservation Area ..........................................71,453 Silver Springs State Park - Kendall County .................................................................................71,454 For constructing hazardous material storage buildings ..............................................................................................9,935 For constructing vault toilets at the following locations at the approximate cost set forth below:.........................................................................137,897

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Apple River Canyon State Park ...........................................................19,699 Des Plaines Conservation Area............................................................19,700 Kankakee River State Park ..................................................................19,700 Lake Le-Aqua-Na State Park ...............................................................19,699 Marshall County Conservation Area....................................................19,700 Morrison-Rockwood State Park...........................................................19,699 Rice Lake Conservation Area ..............................................................19,700 For planning, construction, reconstruction, land acquisition and related costs, utilities, site improvements, and all other expenses necessary for various capital improvements at parks, conservation areas, and other facilities under the jurisdiction of the Department of Natural Resources .........................................581,794 Total....................................................................................$16,120,714 Section 75. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 75 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Natural Resources for the project hereinafter enumerated:

GOOSE LAKE PRAIRIE NATURAL AREA - GRUNDY COUNTY (From Article 37, Section 75 of Public Act 95-734) For rehabilitating visitor's center exterior ..............................................................................................23,345 Total...........................................................................................$23,345 Section 80. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 80 of Public Act 95-734, and Sections 35, 40, 45, 50, 135, 140, 145, 175, 180 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

CENTRALIA CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For replacing the cooling tower ............................................................201,948 (From Section 180 of Public Act 95-746) To upgrade a sewage treatment plant....................................................453,000

DIXON CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For planning the upgrade and expansion of the medical care facility ................................................................24,127

DWIGHT CORRECTIONAL CENTER For renovating Housing Unit C8, in addition to funds previously appropriated.....................................................................................270,000 For renovating buildings, in addition to funds previously appropriated .....................................................274,847 For renovation of buildings.....................................................................30,261 (From Section 35 of Public Act 95-746) For repair and replacement of roofing system................................................................................................52,463

EAST MOLINE CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For upgrading the roofing system .........................................................675,879 For replacing windows, in addition to funds previously appropriated .......................................................42,450

GRAHAM CORRECTIONAL CENTER For upgrading the cooling tower.............................................................10,015 For upgrading the mechanical system.....................................................35,990

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For planning the upgrade of building automation system and fire alarm system...............................................................21,170

HARDIN COUNTY WORK CAMP (From Section 145, Public Act 95-746) To upgrade a sewage treatment plant....................................................342,929 (From Section 200, Public Act 95-746) For emergency kitchen repairs..............................................................177,000

HOPKINS PARK (From Article 37, Section 80 of Public Act 95-734) For infrastructure improvements in connection with the Hopkins Park Correctional Center ......................................................................5,858,444

ILLINOIS RIVER CORRECTIONAL CENTER – CANTON (From Section 135, Public Act 95-746) For design services to replace a domestic hot water heater .................................................................................41,606

ILLINOIS YOUTH CENTER - HARRISBURG (From Article 37, Section 80 of Public Act 95-734) For constructing a multi-purpose medical, vocational and confinement building...............................................375,000 For utility upgrade, including gas and sewer......................................................................................4,695,721

ILLINOIS YOUTH CENTER - RUSHVILLE For planning, design, construction, equipment and all other necessary costs to add a cellhouse ....................................................................................2,282,202

ILLINOIS YOUTH CENTER - ST. CHARLES For constructing an R & C building and other improvements ...............................................................1,957,557

LAWRENCE COUNTY CORRECTIONAL CENTER - LAWRENCEVILLE For constructing two cellhouses, in addition to funds previously appropriated ...........................................9,915

LINCOLN CORRECTIONAL CENTER For replacing doors and locks .................................................................31,592

LOGAN CORRECTIONAL CENTER For planning and beginning the upgrade of the power plant............................................................................321,186 For renovating the electrical distribution system ..........................................................................159,995 For constructing a medical building and dietary building......................................................................2,019,174 (From Section 175, Public Act 95-746) To upgrade a power plant at Logan Correctional Center ......................................................................5,737,445

MENARD CORRECTIONAL CENTER - CHESTER (From Article 37, Section 80 of Public Act 95-734) For replacing the administration building, in addition to funds previously appropriated................................................................................11,626,369 For replacing the Administration Building...........................................................................................310,244 For replacing toilets and waste lines at E/W Cellhouse and upgrade North Cellhouse plumbing ..............................................................364,351 For renovation or replacement of the Old Hospital Building, in addition to funds previously appropriated ...........................................................48,064

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For planning and construction of the Administration Building..................................................................513,777

PONTIAC CORRECTIONAL CENTER For replacing doors and frames..........................................................1,620,000

SHAWNEE CORRECTIONAL CENTER For replacing the emergency generator...................................................44,867

SHERIDAN CORRECTIONAL CENTER (From Section 40 of Public Act 95-746) For replacement of roofing system .......................................................100,939

STATEVILLE CORRECTIONAL CENTER - JOLIET (From Article 37, Section 80 of Public Act 95-734) For replacing doors and locks ...............................................................580,000 For replacing windows in B House.......................................................126,480 For replacing power plant and utility distribution system..................................................................17,454 For upgrading electrical system and elevator and installing HVAC system ...........................................................393,750

TAYLORVILLE CORRECTIONAL CENTER (From Section 140 of Public Act 95-746) For design services to replace operators and main gates ...................................................................................27,195

VANDALIA CORRECTIONAL CENTER (From Article 37, Section 80 of Public Act 95-734) For constructing a multi-purpose program building..............................................................................................90,656 For converting Administration Building and planning construction of an Administration/ Health Care Unit..............................................................................308,406 (From Section 45 of Public Act 95-746) For replacement of roofing system .......................................................267,256 (From Article 37, Section 80 of Public Act 95-734)

VIENNA CORRECTIONAL CENTER For replacing the cooler and freezer .....................................................356,663 For upgrading the power plant ..............................................................707,109 For upgrading the HVAC system and replacing water lines in six housing units........................................................423,601 (From Section 50 of Public Act 95-746) For emergency roof replacement on various buildings .............................................................................330,679 (From Article 37, Section 80 of Public Act 95-734)

STATEWIDE For all costs associated with a timekeeping and payroll system ..............................................10,000,000 For upgrading roofing systems at the following locations at the approximate costs set forth below...............................................................................94,315 Hardin County Work Camp.................................................................8,808 Illinois Youth Center Joliet ...............................................................44,151 Pontiac Correctional Center...............................................................41,356 For replacing doors and locks at the following locations at the approximate costs set forth below ................................................1,113,137 Dixon Correctional Center ..............................................................1,081,626 Vienna Correctional Center .................................................................35,511 For upgrading showers at the following locations at the approximate cost set forth below..........................................................................258,708

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Hill Correctional Center.........................................................................................258,708 For upgrading water towers at the following locations at the approximate cost set forth below.......................................................................1,651,849 Dixon Correctional Center.........................................................................................413,466 Illinois Youth Center - St. Charles...............................................................................1,228,853 Illinois Youth Center - Valley View...................................................................................9,530 For planning, design, construction, equipment and all other necessary costs for a maximum security facility ..........................................................77,469,151 For planning a medium security facility and land acquisition......................................................................2,629,428 For replacing roofing systems at the following locations at the approximate cost set forth below.....................................................154,609 Menard Correctional Center...................................................................6,194 Vienna Correctional Center .................................................................81,100 Illinois Youth Center - Harrisburg......................................................................................4,138 Pontiac Correctional Center ........................................................................10 Illinois Youth Center - Joliet................................................................63,167 For replacing or upgrading security and monitoring systems at the following locations at the approximate cost set forth below ......................................................................................278,707 Vienna Correctional Center.........................................................................................250,000 Pontiac Correctional Center....................................................................................................0 Joliet Correctional Center...........................................................................................28,707 For planning and replacing windows at the following locations at the approximate cost set forth below..............................................................................2,226,942 Vienna Correctional Center......................................................................................1,780,000 Sheridan Correctional Center.........................................................................................314,454 Illinois Youth Center - Valley View...................................................................................8,310 Illinois Youth Center - Joliet ............................................................................................74,875 Dixon Correctional Center...........................................................................................46,073 Shawnee Correctional Center.............................................................................................3,230 For replacing security fencing at the following locations at the approximate cost set forth below..........................................................................306,251 Hill Correctional Center.............................................................................................3,547 Western IL Correctional Center...........................................................................................31,427

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Joliet Correctional Center...........................................................................................49,119 Logan Correctional Center.........................................................................................172,369 Dixon Correctional Center.............................................................................................8,752 Shawnee Correctional Center.............................................................................................5,269 Graham Correctional Center...........................................................................................24,369 Danville Correctional Center...........................................................................................11,399 For planning, design, construction, equipment and all other necessary costs for a female multi-security level correctional center ......................................................................55,938,782 For replacing roofing systems at the following locations at the approximate cost set forth below..........................................................................189,284 Vienna Correctional Center .......................................................150,261 Sheridan Correctional Center.......................................................17,785 Western Illinois Correctional Center - Mt. Sterling ..........................................................................21,238 For upgrading fire and safety systems at the following locations at the approximate costs set forth below, in addition to funds previously appropriated ......................................................2,018,041 Menard Correctional Center - Chester ..........................................................................................1,835,344 Sheridan Correctional Center.....................................................110,620 Vienna Correctional Center .........................................................72,077 Total..................................................................................$198,688,980 Section 85. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purpose in Article 37, Section 85, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

BIG MUDDY CORRECTIONAL FACILITY (From Article 37, Section 85 of Public Act 95-734) For replacing door locking controls and intercom systems ...................................................................2,312,558

STATEVILLE CORRECTIONAL CENTER For installing fire alarm systems........................................................1,600,000 Total......................................................................................$3,912,558 Section 90. The sum of $336,056, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 90 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Emergency Management Agency for costs associated with a new State Emergency Operations Center. Section 95. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 95 of Public Act 95-734, and Sections 60, 65, 120, 125, 130 and 170 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

BISHOP HILL HISTORIC SITE - HENRY COUNTY (From Article 37, Section 95 of Public Act 95-734)

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For restoring interior and exterior.............................................................6,555 BLACK HAWS STATE HISTORIC SITE – ROCK ISLAND

(From Section 60 of Public Act 95-746) For renovating a retaining wall and two shelters ............................................................................................250,292

CAHOKIA MOUNDS HISTORIC SITE - COLLINSVILLE (From Article 37, Section 95 of Public Act 95-734) For replacement of Monk's Mounds stairs ............................................211,080 For restoration of Monk's Mound .........................................................631,531 For purchasing private land within historic site boundary ...................................................................................189,979 (From Section 65, Public Act 95-746) To create a new entrance around existing bronze artwork doors.......................................................................166,782

DANA THOMAS HOUSE STATE HISTORIC SITE (From Section 120, Public Act 95-746) To rehabilitate the interior and exterior at Dana Thomas House State Historic Site...................................3,100,000

DAVID DAVIS HOME (From Article 37, Section 95 of Public Act 95-734) To acquire a residence to be converted to a Visitors Center .............................................................7,962 (From Article 125, Public Act 95-746) For design services for emergency roof repairs ..........................................................................................4,450

JARROT MANSION STATE HISTORICAL SITE (From Article 37, Section 95 of Public Act 95-734) For restoring the mansion, site improvements and land acquisition, in addition to funds previously appropriated ..................................................1,447,021

LINCOLN-HERNDON LAW OFFICES STATE HISTORIC SITE (From Article 170, Public Act 95-746) For emergency roof repairs at law offices...............................................25,200

LINCOLN LOG CABIN STATE HISTORIC SITE, COLES COUNTY (From Article 130, Public Act 95-746) To replace a sewer system at Historic Site............................................280,000 (From Article 37, Section 95 of Public Act 95-734)

LINCOLN'S TOMB/VIETNAM MEMORIAL - SPRINGFIELD For rehabilitating site and providing irrigation system ..............................................................................121,100

LINCOLN'S NEW SALEM HISTORIC SITE - MENARD COUNTY For providing electrical at campgrounds ...................................................................................110,444

LINCOLN PRESIDENTIAL CENTER - SPRINGFIELD For constructing library and museum complex, in addition to funds previously appropriated ....................................2,645,514 For constructing a Lincoln Presidential Library.................................................................................................4,337

OLD STATE CAPITOL - SPRINGFIELD For repairing elevators ..........................................................................387,464

UNION STATION - SPRINGFIELD For purchasing and rehabilitating ...........................................................21,721

STATEWIDE For statewide ISTEA 21 Match ............................................................593,070 For matching ISTEA federal grant funds..............................................143,310 Total....................................................................................$10,347,812 Section 105. The following named amounts, or so much thereof as may be necessary and remain

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unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 105, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

MT. PULASKI COURTHOUSE HISTORIC SITE - LOGAN COUNTY (From Article 37, Section 105 of Public Act 95-734) For rehabilitating interior & exterior ......................................................24,118

PULLMAN HISTORIC SITE For all costs associated with the stabilization and restoration of the Pullman Historic Site....................................................................1,273,991 Total......................................................................................$1,298,109 Section 110. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 110 of Public Act 95-734, and Sections 160, 165 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ALTON MENTAL HEALTH CENTER - MADISON COUNTY (From Article 37, Section 110 of Public Act 95-734) For renovating the Forensic Complex and constructing two building additions, in addition to funds previously appropriated ....................................3,900,000 For constructing two building additions at the Forensic Complex...............................................................6,780,876 For rehabilitation of the central dietary.....................................................9,179

CHESTER MENTAL HEALTH CENTER For completing the replacement of smoke and heat detectors, in addition to funds previously appropriated .....................................................440,000 For upgrading HVAC systems..............................................................144,664 For replacing smoke/heat detectors.........................................................65,032

CHICAGO-READ MENTAL HEALTH CENTER - CHICAGO For rehabbing absorbers, controls and valves ..........................................................................................86,160 (From Section 160 of Public Act 95-746) For design services to renovate Unit J-East for forensic use .......................................................................47,560

CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER - ANNA (From Article 37, Section 110 of Public Act 95-734) For renovating Sycamore Hall ................................................................94,930 (From Section 200 of Public Act 95-746) For renovating Sycamore...................................................................4,385,000 For emergency boiler control replacement .............................................20,569

ELGIN MENTAL HEALTH CENTER - KANE COUNTY (From Article 37, Section 110 of Public Act 95-734) For replacing power plant and engineering building.........................................................................................7,742,663 For renovating the central dietary and kitchen ...................................................................................3,704,073 For construction of roads, parking lots and street lights................................................................................133,664 (From Section 165 of Public Act 95-746) For design services to convert Reed Building for office space ................................................................................148,524

FOX DEVELOPMENTAL CENTER - DWIGHT (From Article 37, Section 110 of Public Act 95-734) For replacing and repairing interior doors,

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flooring and walls, in addition to funds previously appropriated ...................................................................249,122 For planning and beginning replacement of interior doors and flooring and repairing walls in the Main and Administration Buildings ..................................................................35,888

HOWE DEVELOPMENTAL CENTER - TINLEY PARK For completing upgrade of tunnels, Phase II, in addition to funds previously appropriated.....................................................................................366,920 For renovating residences, in addition to funds previously appropriated ...........................................................99,182

ILLINOIS SCHOOL FOR THE DEAF - JACKSONVILLE For renovating the High School Building Phase II ............................................................................................169,442 For renovating High School Building.....................................................96,859

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE For renovating auditorium, classroom and administration buildings ........................................................2,103,306 For renovating classrooms in Building 17 .........................................1,250,724 For renovations to the powerhouse, boilers and associated coal and ash equipment ........................................................................................400,000 (From Section 200 of Public Act 95-746) For renovating the power house.........................................................2,088,000

JACKSONVILLE DEVELOPMENTAL CENTER - MORGAN COUNTY (From Article 37, Section 110 of Public Act 95-734) For planning and beginning the renovation of the power house.............................................................................37,892

KILEY DEVELOPMENTAL CENTER - WAUKEGAN For converting the facility to natural gas, in addition to funds previously appropriated.....................................................................................112,391 For renovating homes, Phase II, in addition to funds previously appropriated.......................................................................................77,343

LINCOLN DEVELOPMENTAL CENTER - LOGAN For various capital improvements, including planning and construction of four ten-bed transitional or residential homes .............................................................................582,596

LUDEMAN DEVELOPMENTAL CENTER - PARK FOREST For upgrading the electrical panel.........................................................338,114 For repairing and replacing furnaces and duct work, in addition to funds previously appropriated.....................................................................................141,615 For renovating residential and neighborhood homes, in addition to funds previously appropriated.......................................................................................46,810 For replacing plumbing, HVAC and boiler systems ..................................................................................629,184 For renovation of residential buildings, in addition to funds previously appropriated.......................................................................................74,252

MABLEY DEVELOPMENTAL CENTER - DIXON For replacing mechanicals and upgrading the fire alarm systems........................................................................71,348

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MADDEN MENTAL HEALTH CENTER - HINES For renovating pavilions and administration building for safety/ security, in addition to funds previously appropriated .........................................................621,882 For renovating dietary...........................................................................729,885 For renovation of pavilions, in addition to funds previously appropriated .......................................................60,833

MURRAY DEVELOPMENTAL CENTER - CENTRALIA For completing the renovation of the boiler house, in addition to funds previously appropriated ......................................................2,991,120

SHAPIRO DEVELOPMENTAL CENTER - KANKAKEE For replacing the sewer system in south campus ................................................................................2,056,004 For planning and beginning renovation of dietary .........................................................................................203,263 For work necessary to remedy fire damper deficiencies .........................................................................118,922 For replacing water mains and valves, in addition to funds previously appropriated.....................................................................................210,015

SINGER MENTAL HEALTH CENTER - ROCKFORD For upgrading fire alarm systems............................................................47,651 For renovating dietary and stores............................................................55,334 For renovating mechanicals and residential areas ...............................................................................691,943

TINLEY PARK MENTAL HEALTH CENTER – COOK COUNTY For completing the upgrade of fire and life/safety issues in Oak Hall, in addition to funds previously appropriated.....................................................................................600,000

STATEWIDE For replacing roofing systems at the following locations, at the approximate costs set forth below ...................................................244,866 Chicago-Read Mental Health Center - Cook County .......................................................................................148,645 Fox Developmental Center - Dwight ...........................................................................11,932 Kiley Developmental Center - Waukegan ....................................................................................84,289 For replacing and repairing roofing systems at the following locations, at the approximate cost set forth below .........................................................398,899 Alton Mental Health Center - Madison.............................................................................................66,483 Shapiro Developmental Center - Kankakee...........................................................................................66,483 Ludeman Developmental Center - Park Forest.........................................................................................66,483 Madden Mental Health Center - Hines..................................................................................................66,483 Murray Developmental Center - Centralia ............................................................................................66,483 Kiley Developmental Center -

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Waukegan..........................................................................................66,484 For replacing and repairing roofing systems at the following locations, at the approximate cost set forth below...............................................782,838 Chicago-Read Mental Health Center.........................................................................................166,314 Howe Developmental Center - Tinley Park ................................................................................562,126 Shapiro Developmental Center - Kankakee .....................................................................................39,730 Illinois School for the Deaf - Jacksonville ......................................................................12,087 Kiley Developmental Center - Waukegan ........................................................................2,581 For repairing or replacing roofs at the following locations, at the approximate cost set forth below...............................................303,219 Illinois School for the Visually Impaired - Jacksonville .................................................................................38,368 Jacksonville Developmental Center - Morgan County ..............................................................60,000 Lincoln Developmental Center - Logan County ................................................................................2,039 Murray Developmental Center - Centralia.......................................................................................86,136 Shapiro Developmental Center - Kankakee ...................................................................................116,676 For replacing and repairing roofing systems at the following locations at the approximate cost set forth below..........................................................................241,386 Chicago-Read Mental Health Center .............................................3,763 Tinley Park Mental Health Center ...............................................12,974 Illinois School for the Visually Impaired - Jacksonville ......................................................................19,414 Shapiro Developmental Center - Kankakee ...........................................................................................25,955 Kiley Developmental Center - Waukegan ...................................................................................................3 Ludeman Developmental Center - Park Forest .......................................................................................179,277 For replacement of roofing systems at the following locations at the approximate costs set forth below:................................................................................118,670 Lincoln Development Center.......................................................29,667 Murray Developmental Center ....................................................29,668 Elgin Developmental Center........................................................29,667 Shapiro Developmental Center ....................................................29,667 Total....................................................................................$47,150,612 Section 115. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 115 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE (From Article 37, Section 115 of Public Act 95-734) For renovations to the powerhouse,

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boilers and associated coal and ash equipment ........................................................................................157,269 Total.........................................................................................$157,269 Section 125. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 125 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Human Services for the project hereinafter enumerated:

ILLINOIS SCHOOL FOR THE DEAF – JACKSONVILLE (From Article 37, Section 125 of Public Act 95-734) For replacing dorm doors...................................................................1,945,671

JACKSONVILLE DEVELOPMENTAL CENTER – MORGAN For upgrading the mechanicals in the power plant, in addition to funds previously appropriated .....................................................................45,582

SINGER MENTAL HEALTH CENTER For repair and/or replacement of roofs....................................................61,150

FOX DEVELOPMENTAL CENTER - DWIGHT For renovating the water treatment plant ..............................................678,331 Total......................................................................................$2,730,734 Section 130. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriation and reappropriations heretofore made in Article 37, Section 130 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Medical District Commission for the projects hereinafter enumerated:

ILLINOIS MEDICAL DISTRICT COMMISSION - CHICAGO (From Article 37, Section 130 of Public Act 95-734) For upgrading utility and infrastructure, in addition to funds previously appropriated.....................................................................................412,685 For upgrading core utilities ...................................................................126,364 For upgrading research center...............................................................346,714 For constructing a Lab and Research Biotech Grad Facility ........................................................................29,494 Total.........................................................................................$915,257 Section 140. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 140 of Public Act 95-734, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

BLOOMINGTON ARMORY - McLEAN COUNTY (From Article 37, Section 140 of Public Act 95-734) For rehabilitating the mechanical/electrical systems and renovating the interior ..............................................2,720,825

CAMP LINCOLN - SPRINGFIELD For construction of a military academy facility..............................................................................................153,719

ELGIN ARMORY - KANE COUNTY For upgrading the interior and exterior .................................................757,368

MACOMB ARMORY - McDONOUGH For completing the mechanical/electrical systems upgrade, renovating the interior, and installing a kitchen, in addition to funds previously appropriated ......................................................2,484,125 For replacing the mechanical and electrical systems and installing a kitchen ......................................................678,666

NORTH RIVERSIDE ARMORY

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For rehabilitating the interior and exterior ..............................................................................................14,648

NORTHWEST ARMORY - CHICAGO For upgrading the electrical system ...................................................2,815,000 For replacing the mechanical systems.....................................................46,187

SYCAMORE ARMORY For replacing the electrical system, renovating the interior and installing air conditioning..................................................................................22,310 Total......................................................................................$9,692,848 Section 145. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article 37, Section 145, of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

LAWRENCEVILLE ARMORY (From Article 37, Section 145 of Public Act 95-734) For rehabilitating the exterior and replacing roofing systems............................................................... 176,837 Total.........................................................................................$176,837 Section 150. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 150 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Revenue for the projects hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD (From Article 37, Section 150 of Public Act 95-734) For completing the upgrade of building management controls, in addition to funds previously appropriated ...................................................................400,000 For replacing the dock exhaust system .................................................172,722 For upgrading building management controls .........................................................................................3,495,466 For upgrading the plumbing system......................................................908,359 For renovating the interior and upgrading HVAC .........................................................................2,847,517 Total......................................................................................$7,824,064 Section 160. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 160 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Revenue for the project hereinafter enumerated:

WILLARD ICE BUILDING – SPRINGFIELD (From Article 37, Section 160 of Public Act 95-734) For completing the upgrade of the Plumbing System.............................................................................600,000 Total.........................................................................................$600,000 Section 165. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 165 of Public Act 95-734, and Sections 55, 190 and 195 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of State Police for the projects hereinafter enumerated:

EFFINGHAM DISTRICT 12 (From Section 55 of Public Act 95-746) For Effingham District 12 Firing Range ...............................................433,535

CHICAGO FORENSIC LABORATORY

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(From Article 37, Section 165 of Public Act 95-734) For planning and beginning the construction of an addition to the Chicago Forensic Laboratory ....................................................................................1,129,393

DISTRICT 13 HEADQUARTERS - DuQUOIN For constructing a district 13 headquarters.........................................................................................6,951 (From Section 195 of Public Act 95-746) To upgrade a firing range......................................................................563,636

SPRINGFIELD ARMORY (From Article 37, Section 165 of Public Act 95-734) For planning and design of the rehabilitation and site improvements of the Springfield Armory, in addition to funds previously appropriated.....................................................................................352,523

STATE POLICE TRAINING ACADEMY - SPRINGFIELD For planning and beginning the construction of an addition to the CODIS Laboratory ..........................................................................277,750

ULLIN DISTRICT 22 (From Section 190 of Public Act 95-746) For emergency roof and interior and exterior repairs...................................................................................78,268

STATEWIDE (From Article 37, Section 165 of Public Act 95-734) For replacing communications towers equipment and tower buildings........................................................539,398 For replacing radio communication towers, equipment buildings and installing emergency power generators at the following locations at the approximate costs set forth below ....................................................................................250,000 Harlem & Irving – Cook County.......................................................62,500 Savanna – Carroll County .................................................................62,500 Fairfield – Wayne County .................................................................62,500 Niota – Hancock County ...................................................................62,500 Total......................................................................................$3,631,454 Section 175. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 175 of Public Act 95-734, and Section 85 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Veterans' Affairs for the projects hereinafter enumerated:

MANTENO VETERANS' HOME - KANKAKEE COUNTY (From Article 37, Section 175 of Public Act 95-734) For replacing air conditioner chillers .................................................1,094,873 For replacing condensing units .............................................................122,241 For upgrading or construction of roads and parking lots .................................................................................28,785 For planning and constructing additional storage and support areas...................................................................73,248 For upgrading storm sewer .....................................................................97,768

QUINCY VETERANS' HOME - ADAMS COUNTY For constructing a bus and ambulance garage ............................................................................849,073 For improvements to various buildings and replacement of Fletcher Building

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to meet licensure standards...........................................................2,286,031 (From Section 85 of Public Act 95-746) To replace a chimney stack and ash handling system...........................................................................................2,300,000 Total......................................................................................$6,852,019 Section 185. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 185 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Veterans' Affairs for the project hereinafter enumerated:

MANTENO VETERANS HOME (From Article 37, Section 185 of Public Act 95-734) For completing the upgrade of emergency generators ............................................................................................8,555 Total.............................................................................................$8,555 Section 190. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made for such purposes in Article 37, Section 190 of Public Act 95-734, and Sections 15 and 200 of Public Act 95-746, are reappropriated from the Capital Development Fund to the Capital Development Board for the projects hereinafter enumerated:

CHICAGO (From Article 37, Section 190 of Public Act 95-734) For expanding and renovating the Bio-Safety 3 Laboratory for the Department of Public Health..............................................................832,114

ATTORNEY GENERAL BUILDING - SPRINGFIELD (From Section 15 of Public Act 95-746) For upgrading the snow melt system at the Attorney General Building ........................................................104,000 (From Article 37, Section 190 of Public Act 95-734) For upgrading environmental equipment and HVAC, in addition to funds previously appropriated - Archives Building ......................................................35,833

STATEWIDE For improving energy efficiency.............................................................82,228 (From Section 200 of Public Act 95-746) For Emergency Repairs and Hazardous Material Abatement at State-Owned Facilities, State Universities, and Community Colleges ..................................................................14,351,747 (From Article 37, Section 190 of Public Act 95-734) For the purposes of capital planning and condition assessment and analysis of State capital facilities, to be expended only upon the direction of the Director of the Bureau of the Budget .......................................................................................189,167 For abating hazardous materials .............................................................67,658 For retrofitting or upgrading mechanized refrigeration equipment (CFCs).......................................................650,000 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act (ADA)............................................44,004 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act (ADA)..........................................200,755 For abating hazardous materials ...............................................................7,284

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For retrofitting or upgrading mechanized refrigeration equipment (CFCs)....................................................3,866,523 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act......................................................986,432 For abating hazardous materials .............................................................36,455 For retrofitting or upgrading mechanized refrigeration equipment (CFCs)....................................................2,207,568 For upgrading and remediating aboveground and underground storage tanks ...............................1,540,497 For retrofitting or upgrading mechanized refrigeration equipment (CFCs).......................................................423,603 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act..........................................115,979 For abatement of hazardous materials ......................................................2,015 For upgrading/retrofitting mechanized refrigeration equipment (CFCs).........................................................47,547 For surveys and modifications to buildings to meet requirements of the federal Americans with Disabilities Act......................................................136,536 For demolition of buildings ....................................................................74,066 For retrofitting/upgrading mechanical refrigeration equipment .....................................................................30,551 For the planning, upgrade and replacement of potentially hazardous underground storage tanks..................................................8,979 Total....................................................................................$26,041,541 Section 195. The amount of $478,102, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 195 of Public Act 95-734, is reappropriated from the Asbestos Abatement Fund to the Capital Development Board for surveying and abating asbestos-containing materials statewide. Section 200. The amount of $807,093, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 200 of Public Act 95-734, is reappropriated from the Asbestos Abatement Fund to the Capital Development Board for asbestos surveys and emergency abatement in relation to asbestos abatement in state governmental buildings or higher education residential and auxiliary enterprise buildings. Section 210. The following named amount or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 210 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for the State Board of Education for the projects hereinafter enumerated:

STATEWIDE (From Article 37, Section 210 of Public Act 95-734) Grants for facility construction ..........................................................2,724,785 Section 215. The sum of $7,404,907, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 215 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 220. The sum of $3,535,520, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 220 Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 225. The sum of $1,872,926, or so much thereof as may be necessary and remains

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unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 225 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 230. The sum of $145,888, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 230 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes. Section 245. The sum of $18,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 245 of Public Act 95-734, is reappropriated from the School Construction Fund to the Capital Development Board for grants to school districts for school improvement projects authorized by the School Construction Law. Section 270. The sum of $475,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 270 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for water resource management projects as authorized by subsection (g) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 275. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 275 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the projects hereinafter enumerated:

CITY COLLEGES OF CHICAGO (From Article 37, Section 275 of Public Act 95-734) For various bondable capital improvements .........................................570,171

CITY COLLEGES OF CHICAGO/KENNEDY KING For remodeling for Workforce Preparation Centers..........................................................................................3,575,930 For remodeling for a culinary arts educational facility .....................................................................10,875,000

CITY COLLEGES OF CHICAGO - MALCOLM X COLLEGE For remodeling the Allied Health program facilities..........................................................................4,304,223

COLLEGE OF DUPAGE For upgrading the Instructional Center heating, ventilating and air conditioning systems .........................................................................90,937

COLLEGE OF LAKE COUNTY For planning and beginning construction of a technology building - Phase 1.................................................................................................7,364

KANKAKEE COMMUNITY COLLEGE For constructing a laboratory/classroom facility..............................................................................................244,893

LAKELAND COLLEGE Student Services Building addition....................................................6,498,007

MCHENRY COUNTY COLLEGE For constructing classrooms and a student services building and remodeling space, in addition to funds previously appropriated.....................................................................................473,076

MORAINE VALLEY COMMUNITY COLLEGE - PALOS HILLS For constructing a classroom/administration building, providing site improvements and

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purchasing equipment, in addition to funds previously appropriated ...........................................................41,635

PRAIRIE STATE COLLEGE - CHICAGO HEIGHTS For constructing an addition to the Adult Training/Outreach Center, in addition to funds previously appropriated .........................................................811,858

SOUTH SUBURBAN COLLEGE For improving flood retention...............................................................437,000

TRITON COMMUNITY COLLEGE - RIVER GROVE For rehabilitating the Liberal Arts Building........................................................................................1,536,546 For rehabilitating the potable water distribution system ............................................................................70,146

STATEWIDE For the Illinois Community College Board miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community Colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for this purpose.......................................1,483,480

STATEWIDE For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.........................................................4,948,041 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.........................................................3,683,848

STATEWIDE - CONSTRUCTION DEFECTS For planning, construction and renovation to correct defectively designed or constructed community college facilities, provided that monies recovered based upon claims arising out of such defective design or construction shall be paid to the state as required by Section 105.12 of the Public Community College Act as reimbursement for monies expended pursuant to this appropriation .....................................................................................36,622 Total....................................................................................$39,688,777 Section 280. The amount of $400,281, or so much thereof as may be necessary, and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 280 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to

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the Capital Development Board for the Illinois Community College Board for grants to community colleges repair, renovation, and miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 285. The sum of $1,328,332, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 285 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 290. The sum of $1,665,864, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 290 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 295. The sum of $2,556,705, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 295 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 300. The sum of $668,166, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 300 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for grants to community colleges for miscellaneous capital improvements including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 305. The sum of $13,568, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 305 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for miscellaneous capital improvements at various educational facilities statewide, in addition to funds previously appropriated. Section 310. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 310 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

ILLINOIS MATHEMATICS AND SCIENCE ACADEMY - AURORA (From Article 37, Section 310 of Public Act 95-734) To plan and begin construction of a space for the delivery of teacher training and development and student enrichment programs .......................................................................108,843 Section 315. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article

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37, Section 315 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

STATEWIDE (From Article 37, Section 315 of Public Act 95-734) For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes......................................................................................17,586,358 Chicago State University ...................................................................322,100 Eastern Illinois University .................................................................515,500 Governors State University....................................................................2,533 Illinois State University .....................................................................984,871 Northeastern Illinois University.........................................................383,700 Northern Illinois University ............................................................1,159,000 Western Illinois University ................................................................219,551 Southern Illinois University - Carbondale.................................................................................801,859 Southern Illinois University - Edwardsville ..............................................................................763,100 University of Illinois - Chicago...................................................................................2,777,300 University of Illinois - Springfield .................................................................................227,400 University of Illinois - Urbana/Champaign .................................................................4,131,963 Illinois Community College Board .........................................................................5,297,481 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.................................15,675,018 Chicago State University ...................................................................260,819 Eastern Illinois University .................................................................515,500 Governors State University....................................................................1,001 Illinois State University .....................................................................111,197 Northeastern Illinois University ..................................................................................383,700 Northern Illinois University ............................................................1,159,000 Southern Illinois University - Carbondale...................................................................................31,277 Southern Illinois University - Edwardsville .....................................................................................712 University of Illinois - Chicago...................................................................................2,777,300 University of Illinois - Springfield .................................................................................212,512

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University of Illinois - Urbana/Champaign .................................................................4,150,300 Illinois Community College Board .........................................................................6,071,700 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes...................................4,197,338 Chicago State University .....................................................................30,849 Eastern Illinois University .................................................................515,500 Illinois State University .........................................................................1,007 Northern Illinois University ...............................................................573,953 Western Illinois University ................................................................138,442 Southern Illinois University - Carbondale.................................................................................131,311 University of Illinois - Chicago...................................................................................2,049,066 University of Illinois - Springfield .................................................................................209,126 University of Illinois - Urbana/Champaign ....................................................................548,084 For miscellaneous capital improvements, including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes .........................................................................2,824,140 Eastern Illinois University .................................................................477,768 Illinois State University .....................................................................106,016 Northern Illinois University ............................................................1,207,568 Southern Illinois University - Carbondale...................................................................................71,189 University of Illinois - Chicago......................................................................................245,200 University of Illinois - Urbana/Champaign ....................................................................716,399 For miscellaneous capital improvements including construction, reconstruction remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes ....................................................1,758,682

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Chicago State University.................................................................124,987 Eastern Illinois University .................................................................42,140 Northeastern Illinois University ........................................................32,560 Northern Illinois University.............................................................690,260 Western Illinois University................................................................12,865 University of Illinois - Champaign/Urbana Campus ..............................................................855,870 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes......................................788,859 For Eastern Illinois University..............................................................261,412 For Northeastern Illinois University ........................................................3,449 For Northern Illinois University .............................................................58,820 For University of Illinois - Urbana-Champaign..........................................................................465,178 For miscellaneous capital improvements, including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes ................................................235,399 For Northern Illinois University ......................................................151,292 For Southern Illinois University - Carbondale ...........................................................................................22,188 For Southern Illinois University - Edwardsville ........................................................................................11,240 For University of Illinois - Urbana-Champaign ..............................................................................50,679 For miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes ................................................763,341 For Chicago State University ............................................................17,768 For Eastern Illinois University ........................................................150,380 For Governors State University.........................................................71,798 For Illinois State University ..............................................................85,165 For Northeastern Illinois University .................................................36,177 For Northern Illinois University ......................................................207,446

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For University of Illinois .................................................................194,607 SOUTHERN ILLINOIS UNIVERSITY

For Southern Illinois University for miscellaneous capital improvements including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials services and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes .......................................................118,119

UNIVERSITY OF ILLINOIS For the Board of Trustees of the University of Illinois for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required for completing the work at the colleges and universities. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes..............................................................89,723 For the Board of Higher Education for miscellaneous capital improvements, including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services, and all other expenses required to complete the work at the colleges and universities hereinafter enumerated. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes: Northern Illinois University ....................................................................17,454 Total....................................................................................$44,054,431 Section 320. The sum of $130,565, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purposes in Article 37, Section 320 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for miscellaneous capital improvements, including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required for completing the work at the colleges and universities. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 325. The following named amounts, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from reappropriations heretofore made for such purposes in Article 37, Section 325 of Public Act 95-734, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated: (From Article 37, Section 325 of Public Act 95-734) For miscellaneous capital improvements

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including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ......................................................................140,767 Eastern Illinois University ....................................................................257,800 Governors State University.....................................................................94,900 Illinois State University ........................................................................510,700 Northeastern Illinois University............................................................191,800 Northern Illinois University ..................................................................579,500 Western Illinois University .....................................................................96,101 Southern Illinois University - Carbondale ............................................560,973 Southern Illinois University - Edwardsville .........................................381,500 University of Illinois - Chicago .........................................................1,388,600 University of Illinois - Springfield........................................................114,600 University of Illinois - Urbana/Champaign........................................2,075,100 Illinois Community College Board ....................................................2,888,562 Total......................................................................................$9,280,903 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ..................................................................... 161,000 Eastern Illinois University ....................................................................255,993 Governors State University.....................................................................21,306 Northeastern Illinois University............................................................191,800 Northern Illinois University ..................................................................579,500 Southern Illinois University - Carbondale ..............................................22,934 Southern Illinois University - Edwardsville............................................82,753 University of Illinois - Chicago .........................................................1,388,600 University of Illinois - Springfield........................................................114,600 University of Illinois - Urbana/Champaign........................................1,891,423 Illinois Community College Board ....................................................2,805,684 Total......................................................................................$7,515,593 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ..........................................................................1,002 Eastern Illinois University ....................................................................185,800 Governors State University.....................................................................45,618 Illinois State University ..........................................................................27,182 Northern Illinois University ..................................................................579,500

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Western Illinois University .......................................................................9,341 Southern Illinois University - Carbondale ..............................................14,758 University of Illinois - Chicago ............................................................974,174 University of Illinois - Springfield..........................................................76,866 University of Illinois - Urbana/Champaign........................................1,539,425 Total......................................................................................$3,453,666 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Eastern Illinois University ......................................................................21,618 Governors State University.....................................................................26,826 Illinois State University ........................................................................111,595 Northeastern Illinois University..............................................................87,701 Northern Illinois University ..................................................................335,923 University of Illinois - Chicago ............................................................103,101 University of Illinois - Springfield..........................................................30,052 University of Illinois - Urbana/Champaign...........................................258,177 Total.........................................................................................$974,993 For miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Chicago State University ..........................................................................7,549 Eastern Illinois University ....................................................................134,474 Northeastern Illinois University..............................................................32,547 Northern Illinois University ..................................................................340,000 University of Illinois- Champaign/Urbana..............................................65,946 Total.........................................................................................$580,516 Section 330. The sum of $1,598,774, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 330 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 335. The sum of $1,253,180, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 335 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 340. The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2009, from reappropriations heretofore made in Article

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37, Section 340 of Public Act 95-734, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

CHICAGO STATE UNIVERSITY (From Article 37, Section 340 of Public Act 95-734) For replacing primary electrical feeder cable......................................................................................115,049 For the construction of a conference Center, Daycare Facility and for renovating Building K (Robinson Center) in addition to funds previously appropriated ................................................................4,860,186 For the construction of a day care facility...........................................................................................4,888,875 For the construction of a student financial outreach building ...........................................................4,719,982 For constructing a new library facility, site improvements, utilities, and purchasing equipment, in addition to funds previously appropriated ..................................................1,007,921 For technology improvements and deferred maintenance....................................................................1,171,770 For remodeling Building K, in addition to funds previously appropriated ..................................................8,473,432 For planning and beginning to remodel Building K and improving site .....................................................1,000,474 For a grant to Chicago State University for all costs associated with construction of a Convocation Center ........................................................................14,687 For upgrading campus infrastructure, in addition to the funds previously appropriated ...................................................................573,846 For renovating buildings and upgrading mechanical systems ...........................................................................61,412

EASTERN ILLINOIS UNIVERSITY For upgrading the electrical distribution system .......................................................................2,031,880 For renovating and expanding the Fine Arts Center, in addition to funds previously appropriated .........................................................113,408 For planning and beginning to renovate and expand the Fine Arts Center - Phase 1, in addition to funds previously appropriated ...................................................................133,604 For upgrading campus buildings for health, safety and environmental improvements .........................................360,718

GOVERNORS STATE UNIVERSITY For constructing addition and remodeling the teaching & learning complex, in addition to funds previously appropriated ..............................................................14,557,170

ILLINOIS STATE UNIVERSITY For renovating Stevenson and Turner Halls for life/safety .......................................................................8,786,380 For the upgrade and remodeling of Schroeder Hall..........................................................................2,038,924 For remodeling Julian and Moulton Halls ............................................376,727

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NORTHEASTERN ILLINOIS UNIVERSITY For renovating Building "C" and remodeling and expanding Building "E" and Building "F"...........................................................................6,233,200 For planning and beginning to remodel Buildings A, B and E.......................................................................212,743 For remodeling in the Science Building to upgrade heating, ventilating and air conditioning systems ....................................................................2,021,400 For replacing fire alarm systems, lighting and ceilings......................................................................................120,812

NORTHERN ILLINOIS UNIVERSITY For renovating the Founders Library basement, in addition to funds previously appropriated.....................................................................................626,578 For planning a classroom building and developing site in Hoffman Estates ..............................................1,314,500 For completing the construction of the Engineering Building, in addition to amounts previously appropriated for such purpose ......................................................................................37,233 For renovating Altgeld Hall and purchasing equipment......................................................................219,777 For upgrading storm waterway controls in addition to funds previously appropriated .......................................217,884

SOUTHERN ILLINOIS UNIVERSITY For planning, construction and equipment for a cancer center .............................................................................68,143

SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE For renovating and constructing an addition to the Morris Library, in addition to funds previously appropriated.....................................................................................160,721

SIU SCHOOL OF MEDICINE - SPRINGFIELD For constructing and for equipment for an addition to the combined laboratory, in addition to funds previously appropriated.......................................................................................65,248

UNIVERSITY OF ILLINOIS AT CHICAGO Plan, construct, and equip the Chemical Sciences Building .......................................................................57,600,000 For planning, construction and equipment for a chemical sciences building...................................................3,549,048 To plan and begin construction of a medical imaging research/clinical facility................................................................................................49,753 For remodeling the Clinical Sciences Building ............................................................................854,132 For the renovation of the court area and Lecture Center, in addition to funds previously appropriated .....................................................................54,793

UNIVERSITY OF ILLINOIS AT CHAMPAIGN-URBANA For planning, analysis and design of Lincoln Hall. Design cannot proceed beyond Program Analysis/Preliminary Design unless approved in writing by the Governor.................................................................................2,000,000

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Expansion of Microelectronics Lab ......................................................151,766 For planning, construction and equipment for a biotechnology genomic facility...............................................959,838 For planning, construction and equipment for a supercomputing application facility ........................................247,984

UNIVERSITY CENTER OF LAKE COUNTY For constructing a university center and purchasing equipment, in addition to funds previously appropriated ...........................................................30,303 For land, planning, remodeling, construction and all costs necessary to construct a facility................................................................................................35,981

WESTERN ILLINOIS UNIVERSITY - MACOMB Plan and construct performing arts center..........................................2,688,234 For improvements to Memorial Hall ...............................................................................................9,487,227 Total..................................................................................$144,293,743 Section 360. The amount of $73,780, or so much thereof as may be necessary, and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 360 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the University of Illinois for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 370. The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 370 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for the project hereinafter enumerated:

EAST ST. LOUIS COLLEGE CENTER (From Article 37, Section 370 of Public Act 95-734) For construction of facilities, remodeling, site improvements, utilities and other costs necessary for adapting the former campus of Metropolitan Community College for a Community College Center and Southern Illinois University, in addition to funds previously appropriated ................................................................2,146,323 Section 375. The sum of $16,105,527, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 375 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 380. The sum of $21,965,216, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 380 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 385. The sum of $9,270,559, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 385 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other

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expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 390. The sum of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 37, Section 390 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction, and equipment for a Nanofabrication and Molecular Center. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 400. The sum of $16,741, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 37, Section 400 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for miscellaneous capital improvements to state facilities including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the facilities. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 405. The sum of $69,083,113, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 405 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the development and improvement of educational, scientific, technical and vocational programs and facilities and the expansion of health and human services, and for any other purposes authorized in subsection (c) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 410. The sum of $118,682,832, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 37, Section 410 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for educational purposes by State universities and colleges, the Illinois Community College Board created by the Public Community College Act and for grants to public community colleges as authorized by Sections 5-11 and 5-12 of the Public Community College Act as authorized by subsection (a) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. No contract shall be entered into or obligation incurred for any expenditure made in this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 65................................................................$904,211,595

ARTICLE 75 EASTERN ILLINOIS UNIVERSITY

Section 5. The sum of $1,323,408, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 38, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University to purchase equipment for the renovation and expansion of the Fine Arts Center. No contract shall be entered into or obligation incurred for any expenditure from the appropriation made in this Section until after the purpose and amounts have been approved in writing by the Governor. Total, Article 75....................................................................$1,323,408

ARTICLE 80 NORTHEASTERN ILLINOIS UNIVERSITY

Section 5. The sum of $1,552,933, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 39, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Board of Trustees of Northeastern Illinois University to purchase equipment and remodel buildings A, B and E. This appropriation is in addition to any funds previously appropriated. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 80....................................................................$1,552,933

ARTICLE 85 UNIVERSITY OF ILLINOIS

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Section 5. The sum of $4,210,698, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 40, Section 5 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois for all costs associated with the space needs of the Department of Natural Resources, Illinois Natural History Survey Division and State Water Survey Division on the campus of the University of Illinois in Champaign, including construction, capital facilities, planning, relocation, renovation and rehabilitation, mechanical systems, materials, services and all other costs required to complete the work. Section 10. The sum of $106,727, or so much thereof as may be necessary and remains unexpended on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 40, Section 10 of Public Act 95-734, is reappropriated from the Capital Development Fund to the University of Illinois for digitalization infrastructure for WILL-TV (Urbana-Champaign). Section 20. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Sections 5, and 10 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 85....................................................................$4,317,425

ARTICLE 90 ILLINOIS COMMERCE COMMISSION

Section 5. The sum of $57,423, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 41, Section 5 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Illinois Commerce Commission for train whistle abatement in counties with over 3,000,000 in population, where a public highway crosses a railroad at grade. Total, Article 90.........................................................................$57,423

ARTICLE 95 ENVIRONMENTAL PROTECTION AGENCY

Section 5. The sum of $110,400,000, or so much thereof as may be necessary, is appropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund. Section 7 The sum of $110,400,000, or so much thereof as may be necessary, is appropriated from the Water Revolving Fund to the Environmental Protection Agency for the Water Revolving Loan Program. Section 10. The sum of $5,300,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Environmental Protection Agency for financial assistance to municipalities with designated River Edge Redevelopment Zones for brownfields redevelopment in accordance with Section 58.13 of the Environmental Protection Act, including costs in prior years. Section 15. The sum of $75,000,000, or so much thereof as may be necessary, is appropriated from the Anti-Pollution Fund to the Environmental Protection Agency for reimbursements to eligible owners/operators of Leaking Underground Storage Tanks, including claims submitted in prior years and for costs associated with site remediation. Section 20. The sum of $204,000,000, or so much thereof as may be necessary, is appropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government for sewer systems and wastewater treatment facilities pursuant to rules defining the Water Pollution Control Revolving Loan program and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged loan program. Section 25. The sum of $152,000,000, or so much thereof as may be necessary, is appropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government and privately owned community water supplies for drinking water infrastructure projects pursuant to the Safe Drinking Water Act, as amended, and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged program. Section 35. No contract shall be entered into or obligation incurred for any expenditure made in Sections 5, 10, 15 and 30 of this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 95................................................................$546,700,000

ARTICLE 100

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ENVIRONMENTAL PROTECTION AGENCY Section 5. The sum of $596,915,013, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 42, Section 20, and Article 43, Section 5 of Public Act 95-734, as amended, are reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government for sewer systems and wastewater treatment facilities pursuant to rules defining the Water Pollution Control Revolving Loan program and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged loan program. Section 10. The sum of $236,430,498, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 42, Section 25, and Article 43 , Section 10 of Public Act 95-734, as amended, are reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government and privately owned community water supplies for drinking water infrastructure projects pursuant to the Safe Drinking Water Act, as amended, and for transfer of funds to establish reserve accounts, construction accounts or any other necessary funds or accounts in order to implement a leveraged loan program. Section 15. The sum of $8,942,400, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 43, Section 15 of Public Act 95-734, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund. Section 20. The sum of $1,827,595, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 20 of Public Act 95-734, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund. Section 25. The sum of $4,402,121, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 43, Section 25 of Public Act 95-734, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for grants to units of local government for wastewater facilities, pursuant to provisions of the "Anti-Pollution Bond Act." Section 30. The amount of $46,234,397, or so much thereof as may be necessary and remains unexpended on June 30, 2009, from reappropriations heretofore made for such purposes in Article 43, Section 30 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for wastewater compliance grants to units of local government or sewer systems and wastewater treatment facilities pursuant to procedures and rules established under the Anti-Pollution Bond Act. These grants are limited to projects for which the local government provides at least 30% of the project cost. There is an approved project compliance plan, and there is an enforceable compliance schedule prior to the grant award. The grant award will be based on eligible project cost contained in the approved compliance plan. Section 35. The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 43, Section 35 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Brownfields Redevelopment Fund for use pursuant to Sections 58.13 and 58.15 of the Environmental Protection Act. Section 40. The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 43, Section 40 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Brownfields Redevelopment Fund for use pursuant to Sections 58.13 and 58.15 of the Environmental Protection Act. Section 45. The sum of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 43, Section 45 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Hazardous Waste Fund for use pursuant to Section 22.2 of the Environmental Protection Act. Section 50. The sum of $471,885, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 43, Section 50 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the

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Environmental Protection Agency for grants and contracts for public drinking water infrastructure, including design and construction, where private drinking water wells have been contaminated by a hazardous substance. Section 55. The sum of $4,995,121, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 55 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for financial assistance to municipalities with designated River Edge Redevelopment Zones for brownfields redevelopment in accordance with Section 58.13 of the Environmental Protection Act, including costs in prior years. Section 60. The sum of $8,462,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 60 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for the protection, preservation, restoration and conservation of environmental and natural resources, for deposits into the Water Revolving Fund, and for any other purposes authorized in subsection (d) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 65. The sum of $16,600,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 43, Section 65 of Public Act 95-734, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for the protection, preservation, restoration and conservation of environmental and natural resources, for deposits into the Water Revolving Fund, and for any other purposes authorized in subsection (d) of Section 4 of the Build Illinois Bond Act and for grants to State Agencies for such purposes. Sec. 70. The sum of $180,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 15, Section 260 of Public Act 95-731 as amended by Public Act 96-004, is reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to units of local government for sewer systems and wastewater treatment facilities pursuant to the American Recovery and Reinvestment Act of 2009. Sec. 75. The sum of $80,200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 15, Section 265 of Public Act 95-731 as amended by Public Act 96-004, is reappropriated from the Water Revolving Fund to the Environmental Protection Agency for financial assistance to local governments and privately owned community water supplies for drinking water infrastructure projects pursuant to the American Recovery and Reinvestment Act of 2009. Section 80. No contract shall be entered into or obligation incurred for any expenditure made in Sections 15 through 65 of this Article until after the purpose and amounts have been approved in writing by the Governor. Total, Article 100........................................................... $1,199,481,730

ARTICLE 105 HISTORIC PRESERVATION AGENCY

Section 5. The sum of $143,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 44, Section 5 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Historic Preservation Agency for support facilities, acquisition or improvements for Sugar Loaf and/or Fox Mounds or other properties within the Cahokia Mounds National Historic Landmark Boundary. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 105.....................................................................$143,000

ARTICLE 110 ILLINOIS FINANCE AUTHORITY

Section 5. The sum of $6,000,000, or so much thereof as may be necessary, is appropriated from the Fire Truck Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, and township fire departments as successor in interest to the Illinois Rural Bond Bank.

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Section 10. The sum of $4,000,000, or so much thereof as may be necessary, is appropriated from the Ambulance Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, township fire departments or non-profit ambulance services as successor in interest to the Illinois Rural Bond Bank. Total, Article 110................................................................$10,000,000

ARTICLE 115 ILLINOIS FINANCE AUTHORITY

Section 5. The sum of $10,630,807, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations and reappropriations heretofore made in Article 45, Section 5, and Article 46, Section 5 of Public Act 95-734, as amended, is reappropriated from the Fire Truck Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, and township fire departments as successor in interest to the Illinois Rural Bond Bank, pursuant to Section 845-75 of Public Act 93-0205. Section 10. The sum of $4,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 45, Section 10 of Public Act 95-734, is reappropriated from the Ambulance Revolving Loan Fund to the Illinois Finance Authority for the purpose of making loans to fire departments, fire protection districts, township fire departments or non-profit ambulance services as successor in interest to the Illinois Rural Bond Bank. Total, Article 115................................................................$14,630,807

ARTICLE 120 ILLINOIS COMMUNITY COLLEGE BOARD

Section 5. The sum of $1,606,823, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 47, Section 5 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund for the Illinois Community College Board for remodeling of facilities for compliance with the Americans with Disabilities Act. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes. Section 10. No contract shall be entered into or obligation incurred for any expenditures from appropriations in Section 5 of this Article until after the purposes and amounts have been approved in writing by the Governor. Total, Article 120..................................................................$1,606,823

ARTICLE 125 Section 5. No monies may be expended from any appropriation or reappropriation under any section of this Article unless a grant or contractual agreement for the expenditure was agreed to in writing prior to August 31, 2007. The Comptroller shall not approve the expenditure until he or she receives a copy of that signed grant or contractual agreement. The Comptroller shall keep a copy of any such grant or contractual agreement he or she receives. Section 10. The sum of $4,580,704, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 10 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 15. The sum of $3,130,040, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 15 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8 or Article 10 of the Build Illinois Act. Section 20. The sum of $2,600,251, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 20 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 25. The sum of $5,567,122, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 25 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited

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to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 30. The sum of $4,524,172, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 30 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act. Section 40. The sum of $208,908,598, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 40 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of making grants and loans to local governments for planning, engineering, acquisition, construction, reconstruction, development, improvement and extension of the public infrastructure, and for any other purposes authorized in subsection (a) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 45. The sum of $47,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 45 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of fostering economic development and increased employment and the well being of the citizens of Illinois, and for any other purposes authorized in subsection (b) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 50. The sum of $30,646,616, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 50 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the development and improvement of educational, scientific, technical and vocational programs and facilities and the expansion of health and human services, and for any other purposes authorized in subsection (c) of Section 4 of the Build Illinois Bond Act and for grants to State agencies for such purposes. Section 55. The sum of $30,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 55 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for open spaces, recreational and conservation purposes and the protection of land and for deposits into the Conservation 2000 Projects Fund as authorized by subsection (c) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 60. The sum of $36,743,496, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 60 of Public Act 95-734, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to local governments for the acquisition, financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land as authorized by subsection (l) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 65. The amount of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 48, Section 65 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to local governments for the acquisition, financing, architectural planning, development, alteration, installation, and construction of capital facilities consisting of buildings, structures, durable equipment, and land as authorized by subsection (l) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 70. The amount of $25,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made in Article 48, Section 70 of Public Act 95-734, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants pursuant but not limited to Article 8, Article 9, or Article 10 of the Build Illinois Act. Section 75. The sum of $13,801,931, or so much thereof as may be necessary and remains

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unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 48, Section 75 of Public Act 95-734, as amended, is reappropriated from the Fund for Illinois’ Future to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities and not-for-profit organizations for education and training, infrastructure improvements and other capital projects including but not limited to planning, construction, reconstruction, equipment, utilities and vehicles, and all costs associated with economic development programs, community service programs, public health programs, public safety programs, other programs and activities, and for grants to other State agencies for any capital or operating purposes. Section 80. The amount of $2,476,501 or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made in Article 48, Section 80 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for grants to units of local government and other eligible entities for all costs associated with land acquisition, construction and rehabilitation projects. Section 85. The sum of $2,585,800, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 85 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for child care facilities, mental and public health facilities, and facilities for the care of disabled veterans and their spouses as authorized by subsection (d) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 90. The sum of $77,778,276, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 90 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for correctional purposes at State prison and correctional centers as authorized by subsection (b) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 95. The sum of $24,224,289, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 95 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for open spaces, recreational and conservation purposes and the protection of land and for deposits into the Conservation 2000 Projects Fund as authorized by subsection (c) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 100. The sum of $6,790,503, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 100 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for child care facilities, mental and public health facilities, and facilities for the care of disabled veterans and their spouses as authorized by subsection (d) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Section 105. The sum of $97,297,389, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from a reappropriation heretofore made for such purpose in Article 48, Section 105 of Public Act 95-734, is reappropriated from the Capital Development Fund to the Capital Development Board for use by the State, its departments, authorities, public corporations, commissions and agencies as authorized by subsection (e) of Section 3 of the General Obligation Bond Act or for grants to State agencies for such purposes. Total, Article 125..............................................................$634,155,688

ARTICLE 130 Section 5. The following named amounts, or so much thereof as may be necessary, are appropriated from the Capital Development Fund to the Capital Development Board for the following purposes:

DEPARTMENT OF NATURAL RESOURCES PERE MARQUETTE STATE PARK

For replacing lodge pool dehumidifier, in addition to funds previously appropriated............................................................700,000

STEPHEN FORBES STATE PARK For replacing dump and fish cleaning stations, in addition

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to funds previously appropriated........................................................550,000 BUFFALO ROCK STATE PARK

For replacing the septic system, in addition to funds previously appropriated .....................................................................650,000

DEPARTMENT OF CORRECTIONS ILLINOIS RIVER CORRECTIONAL CENTER

For replacing domestic hot water heater, in addition to funds previously appropriated............................................................625,000

TAYLORVILLE CORRECTIONAL CENTER For replacing operators and main gates, in addition to funds previously appropriated............................................................300,000

DEPARTMENT OF HUMAN SERVICES CHICAGO-READ MENTAL HEALTH CENTER

For renovating Unit J-East for forensic use, in addition to funds previously appropriated.........................................................3,500,000

ELGIN MENTAL HEALTH CENTER For converting the Read Building for office space, in addition to funds previously appropriated.....................................................1,750,000

MADDEN MENTAL HEALTH CENTER For renovating residential pavilions, in addition to funds previously appropriated............................................................550,000

KILEY DEVELOPMENTAL CENTER For improving power reliability and installing emergency lighting, in addition to funds previously appropriated .....................................................................940,000

ILLINOIS HISTORIC PRESERVATION AGENCY LINCOLN’S TOMB

For replacing the HVAC system, in addition to funds previously appropriated .....................................................................250,000

DEPARTMENT OF VETERANS AFFAIRS For planning and beginning the construction of a skilled care veterans home .................................................................................2,000,000

DEPARTMENT OF STATE POLICE For planning and beginning the construction of a Metro East forensic laboratory, in addition to funds previously appropriated............................................................750,000

DEPARTMENT OF MILITARY AFFAIRS For constructing an army aviation support facility ..................................................................6,252,000

STATEWIDE For American with Disabilities Act (ADA) upgrades at the following locations at the approximate cost set forth below .........................................................................3,500,000 DNR – I & M Canal Corridor ......................................................1,800,000 IBHE – Eastern Illinois University ....................................................................................1,848,000

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For providing construction contingency for the following projects at the approximate cost set forth below, in addition to funds previously appropriated .....................................................................773,500

LINCOLN’S TOMB HISTORIC SITE Rehab site/Provide irrigation system...............................................................................85,600

MICHAEL BILANDIC BUILDING Upgrade HVAC and Domestic Water System................................................................................................184,700

SUBURBAN NORTH REGIONAL OFFICE FACILITY Renovate for Office Space...............................................................300,200

SECRETARY OF STATE Upgrade Electrical Systems at three Motor Vehicle Facilities ....................................................................203,000

ARTICLE 140 Section 5. The sum of $50,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Secretary of State for capital grants to public libraries for permanent improvements.

Section 99. Effective date. This Act takes effect July 1, 2009, but this Act does not take effect at all unless House Bill 255 of the 96th General Assembly, as amended, becomes law.”.

The foregoing message from the Senate reporting Senate Amendments numbered 1 and 2 to HOUSE BILL 312 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House of Representatives in the passage of a bill of the following title to-wit: HOUSE BILL 255

A bill for AN ACT concerning revenue. Together with the attached amendments thereto (which amendments have been printed by the

Senate), in the adoption of which I am instructed to ask the concurrence of the House, to-wit: Senate Amendment No. 1 to HOUSE BILL NO. 255 Senate Amendment No. 3 to HOUSE BILL NO. 255 Passed the Senate, as amended, May 20, 2009.

Jillayne Rock, Secretary of the Senate

AMENDMENT NO. 1 . Amend House Bill 255 by replacing everything after the enacting clause with thefollowing:

"ARTICLE 5. Section 1. Short title. This Article may be cited as the Video Gaming Act. Any references in this Article to "thisAct" mean this Article. Section 5. Definitions. As used in this Act: "Board" means the Illinois Gaming Board. "Credit" means 5, 10, or 25 cents either won or purchased by a player. "Distributor" means an individual, partnership, or corporation licensed under this Act to buy, sell, lease, ordistribute video gaming terminals or major components or parts of video gaming terminals to or from terminaloperators. "Terminal operator" means an individual, partnership or corporation that is licensed under this Act and thatowns, services, and maintains video gaming terminals for placement in licensed establishments, licensed fraternalestablishments, or licensed veterans establishments. "Licensed technician" means an individual who is licensed under this Act to repair, service, and maintain video

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[May 20, 2009] 266 gaming terminals. "Manufacturer" means an individual, partnership, or corporation that is licensed under this Act and thatmanufactures or assembles video gaming terminals. "Supplier" means an individual, partnership, or corporation that is licensed under this Act to supply majorcomponents or parts to video gaming terminals to licensed terminal operators. "Net terminal income" means money put into a video gaming terminal minus credits paid out to players. "Video gaming terminal" means any electronic video game machine that, upon insertion of cash, is available toplay or simulate the play of a video game, including but not limited to video poker, line up, and blackjack, authorized by the Board utilizing a video display and microprocessors in which the player may receive free gamesor credits that can be redeemed for cash. The term does not include a machine that directly dispenses coins, cash, or tokens or is for amusement purposes only. "Licensed establishment" means any licensed retail establishment where alcoholic liquor is drawn, poured,mixed, or otherwise served for consumption on the premises. "Licensed establishment" does not include a facility operated by an organization licensee, an intertrack wagering licensee, or an intertrack wagering location licenseelicensed under the Illinois Horse Racing Act of 1975 or a riverboat licensed under the Riverboat Gambling Act. "Licensed fraternal establishment" means the location where a qualified fraternal organization that derives itscharter from a national fraternal organization regularly meets. "Licensed veterans establishment" means the location where a qualified veterans organization that derives its charter from a national veterans organization regularly meets. "Licensed truck stop establishment" means a facility that is at least a 3-acre facility with a convenience store and with separate diesel islands for fueling commercial motor vehicles and parking spaces for commercial motorvehicles as defined in Section 18b-101 of the Illinois Vehicle Code. Section 15. Minimum requirements for licensing and registration. Every video gaming terminal offered for playshall first be tested and approved pursuant to the rules of the Board, and each video gaming terminal offered in thisState for play shall conform to an approved model. The Board may utilize the services of an independent outsidetesting laboratory for the examination of video gaming machines and associated equipment as required by thisSection. Each approved model shall, at a minimum, meet the following criteria: (1) It must conform to all requirements of federal law and regulations, including FCC Class A Emissions Standards. (2) It must theoretically pay out a mathematically demonstrable percentage during the

expected lifetime of the machine of all amounts played, which must not be less than 80%. Video gamingterminals that may be affected by skill must meet this standard when using a method of play that will provide thegreatest return to the player over a period of continuous play.

(3) It must use a random selection process to determine the outcome of each play of a

game. The random selection process must meet 99% confidence limits using a standard chi-squared test for (randomness) goodness of fit.

(4) It must display an accurate representation of the game outcome. (5) It must not automatically alter pay tables or any function of the video gaming

terminal based on internal computation of hold percentage or have any means of manipulation that affects therandom selection process or probabilities of winning a game.

(6) It must not be adversely affected by static discharge or other electromagnetic interference. (7) It must be capable of detecting and displaying the following conditions during idle states or on demand: power reset; door open; and door just closed. (8) It must have the capacity to display complete play history (outcome, intermediate

play steps, credits available, bets placed, credits paid, and credits cashed out) for the most recent game playedand 10 games prior thereto.

(9) The theoretical payback percentage of a video gaming terminal must not be capable of being changed without making a hardware or software change in the video gaming terminal. (10) Video gaming terminals must be designed so that replacement of parts or modules required for normal maintenance does not necessitate replacement of the electromechanical meters. (11) It must have nonresettable meters housed in a locked area of the terminal that

keep a permanent record of all cash inserted into the machine, all winnings made by the terminal printer, creditsplayed in for video gaming terminals, and credits won by video gaming players. The video gaming terminal mustprovide the means for on-demand display of stored information as determined by the Board.

(12) Electronically stored meter information required by this Section must be preserved for a minimum of 180 days after a power loss to the service.

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267 [May 20, 2009] (13) It must have one or more mechanisms that accept cash in the form of bills. The

mechanisms shall be designed to prevent obtaining credits without paying by stringing, slamming, drilling, orother means.

(14) It shall have accounting software that keeps an electronic record which includes,

but is not limited to, the following: total cash inserted into the video gaming terminal; the value of winningtickets claimed by players; the total credits played; and the total credits awarded by a video gaming terminal.

(15) It shall be linked by a central communications system to provide auditing program

information as approved by the Board. In no event may the communications system approved by the Board limitparticipation to only one manufacturer of video gaming terminals by either the cost in implementing the necessary program modifications to communicate or the inability to communicate with the centralcommunications system.

(16) It shall be able to receive and broadcast amber alert messages. Section 20. Direct dispensing of receipt tickets only. A video gaming terminal may not directly dispense coins,cash, tokens, or any other article of exchange or value except for receipt tickets. Tickets shall be dispensed bypressing the ticket dispensing button on the video gaming terminal at the end of one's turn or play. The ticket shallindicate the total amount of credits and the cash award, the time of day in a 24-hour format showing hours and minutes, the date, the terminal serial number, the sequential number of the ticket, and an encrypted validation number from which the validity of the prize may be determined. The player shall turn in this ticket to theappropriate person at the licensed establishment, licensed truck stop establishment, licensed fraternal establishment, or licensed veterans establishment to receive the cash award. The cost of the credit shall be 5 cents, 10 cents, or 25cents, and the maximum wager played per hand shall not exceed $2. No cash award for the maximum wager on anyindividual hand shall exceed $500. Section 25. Restriction of licensees. (a) Manufacturer. A person may not be licensed as a manufacturer of a video gaming terminal in Illinois unlessthe person has a valid manufacturer's license issued under this Act. A manufacturer may only sell video gaming terminals for use in Illinois to persons having a valid distributor's license. (b) Distributor. A person may not sell, distribute, or lease or market a video gaming terminal in Illinois unless theperson has a valid distributor's license issued under this Act. A distributor may only sell video gaming terminals foruse in Illinois to persons having a valid distributor's or terminal operator's license. (c) Terminal operator. A person may not own, maintain, or place a video gaming terminal unless he has a valid terminal operator's license issued under this Act. A terminal operator may only place video gaming terminals foruse in Illinois in licensed establishments, licensed truck stop establishments, licensed fraternal establishments, and licensed veterans establishments. No terminal operator may give anything of value, including but not limited to aloan or financing arrangement, to a licensed establishment, licensed truck stop establishment, licensed fraternal establishment, or licensed veterans establishment as any incentive or inducement to locate video terminals in thatestablishment. Of the after-tax profits from a video gaming terminal, 50% shall be paid to the terminal operator and50% shall be paid to the licensed establishment, licensed truck stop establishment, licensed fraternal establishment,or licensed veterans establishment. No terminal operator may own or have a substantial interest in more than 5% ofthe video gaming terminals licensed in this State. (d) Licensed technician. A person may not service, maintain, or repair a video gaming terminal in this Stateunless he or she (1) has a valid technician's license issued under this Act, (2) is a terminal operator, or (3) isemployed by a terminal operator, distributor, or manufacturer. (e) Licensed establishment. No video gaming terminal may be placed in any licensed establishment, licensedveterans establishment, licensed truck stop establishment, or licensed fraternal establishment unless the owner or agent of the owner of the licensed establishment, licensed veterans establishment, licensed truck stop establishment,or licensed fraternal establishment has entered into a written use agreement with the terminal operator forplacement of the terminals. A copy of the use agreement shall be on file in the terminal operator's place of businessand available for inspection by individuals authorized by the Board. A licensed establishment, licensed truck stopestablishment, licensed veterans establishment, or licensed fraternal establishment may operate up to 5 videogaming terminals on its premises at any time, unless the Board authorizes a greater number. (f) Residency requirement. Each licensed distributor and terminal operator must be an Illinois resident. However, if an out of state distributor or terminal operator has performed its respective business within Illinois for at least 48months prior to the effective date of this Act, the out of state person may be eligible for licensing under this Act, upon application to and approval of the Board. (g) Financial interest restrictions. As used in this Act, "substantial interest" in a partnership, a corporation, anorganization, an association, or a business means: (A) When, with respect to a sole proprietorship, an individual or his or her spouse

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owns, operates, manages, or conducts, directly or indirectly, the organization, association, or business, or any part thereof; or

(B) When, with respect to a partnership, the individual or his or her spouse shares in any of the profits, or potential profits, of the partnership activities; or (C) When, with respect to a corporation, an individual or his or her spouse is an

officer or director, or the individual or his or her spouse is a holder, directly or beneficially, of 5% or more of any class of stock of the corporation; or

(D) When, with respect to an organization not covered in (A), (B) or (C) above, an

individual or his or her spouse is an officer or manages the business affairs, or the individual or his or her spouse is the owner of or otherwise controls 10% or more of the assets of the organization; or

(E) When an individual or his or her spouse furnishes 5% or more of the capital,

whether in cash, goods, or services, for the operation of any business, association, or organization during any calendar year.

(h) Location restriction. A licensed establishment, licensed truck stop establishment, licensed fraternal establishment, or licensed veterans establishment that is located within 1,000 feet of a facility operated by anorganizational licensee, an intertrack wagering licensee, or an intertrack wagering location licensee licensed under the Illinois Horse Racing Act of 1975, the home dock of a riverboat licensed under the Riverboat Gambling Act, aschool, or a place of worship under the Religious Corporation Act is ineligible to operate a video gaming terminal. Section 27. Prohibition of video gaming by political subdivision. A municipality may pass an ordinanceprohibiting video gaming within the corporate limits of the municipality. A county board may, for theunincorporated area of the county, pass an ordinance prohibiting video gaming within the unincorporated area ofthe county. Section 30. Multiple types of licenses prohibited. A video gaming terminal manufacturer may not be licensed asa video gaming terminal operator or own, manage, or control a licensed establishment, licensed truck stop establishment, licensed fraternal establishment, or licensed veterans establishment, and shall be licensed only to sellto distributors. A video gaming terminal distributor may not be licensed as a video gaming terminal operator or own, manage, or control a licensed establishment, licensed truck stop establishment, licensed fraternalestablishment, or licensed veterans establishment, and shall only contract with a licensed terminal operator. A videogaming terminal operator may not be licensed as a video gaming terminal manufacturer or distributor or own,manage, or control a licensed establishment, licensed truck stop establishment, licensed fraternal establishment, orlicensed veterans establishment, and shall be licensed only to contract with licensed distributors and licensedestablishments, licensed truck stop establishments, licensed fraternal establishments, and licensed veteransestablishments. An owner or manager of a licensed establishment, licensed truck stop establishment, licensed fraternal establishment, or licensed veterans establishment may not be licensed as a video gaming terminalmanufacturer, distributor, or operator, and shall only contract with a licensed operator to place and service thisequipment. Section 35. Display of license; confiscation; violation as felony. Each video gaming terminal shall be licensed bythe Board before placement or operation on the premises of a licensed establishment, licensed truck stopestablishment, licensed fraternal establishment, or licensed veterans establishment. The license of each videogaming terminal shall be maintained at the location where the video gaming terminal is operated. Failure to do so isa petty offense with a fine not to exceed $100. Any licensed establishment, licensed truck stop establishment,licensed fraternal establishment, or licensed veterans establishment used for the conduct of gambling games inviolation of this Act shall be considered a gambling place in violation of Section 28-3 of the Criminal Code of 1961. Every gambling device found in a licensed establishment, licensed truck stop establishment, licensedfraternal establishment, or licensed veterans establishment operating gambling games in violation of this Act shallbe subject to seizure, confiscation, and destruction as provided in Section 28-5 of the Criminal Code of 1961. Any license issued under the Liquor Control Act of 1934 to any owner or operator of a licensed establishment, licensedtruck stop establishment, licensed fraternal establishment, or licensed veterans establishment that operates orpermits the operation of a video gaming terminal within its establishment in violation of this Act shall beimmediately revoked. No person may own, operate, have in his or her possession or custody or under his or her control, or permit to be kept in any place under his or her possession or control, any device that awards credits andcontains a circuit, meter, or switch capable of removing and recording the removal of credits when the award of credits is dependent upon chance. A violation of this Section is a Class 4 felony. All devices that are owned,operated, or possessed in violation of this Section are hereby declared to be public nuisances and shall be subject toseizure, confiscation, and destruction as provided in Section 28-5 of the Criminal Code of 1961. The provisions of this Section do not apply to devices or electronic video game terminals licensed pursuant to this Act. Section 40. Video gaming terminal use by minors prohibited. No licensee shall cause or permit any person under

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269 [May 20, 2009] the age of 21 years to use or play a video gaming terminal. Any licensee who knowingly permits a person under theage of 21 years to use or play a video gaming terminal is guilty of a business offense and shall be fined an amount not to exceed $5,000. Section 45. Issuance of license. (a) The burden is upon each applicant to demonstrate his suitability for licensure. Each video gaming terminalmanufacturer, distributor, supplier, operator, licensed establishment, licensed truck stop establishment, licensedfraternal establishment, and licensed veterans establishment shall be licensed by the Board. The Board may issue ordeny a license under this Act to any person pursuant to the same criteria set forth in Section 9 of the Riverboat Gambling Act. (b) A non-refundable application fee shall be paid at the time an application for a license is filed with the Boardin the following amounts: (1) Manufacturer.....................................................................................................$5,000 (2) Distributor......................................................................................................$5,000 (3) Terminal operator.............................................................................................$5,000 (4) Supplier...........................................................................................................$2,500 (5) Technician...........................................................................................................$100 (c) (Blank). (d) Each licensed distributor, terminal operator, or person with a substantial interest in a distributor or terminaloperator must have resided in Illinois for at least 24 months prior to application unless he or she has performed hisor her respective business in Illinois for at least 48 months prior to the effective date of this Act. The Board shall establish an annual fee for each license not to exceed the following: (1) Manufacturer...................................................................................................$10,000 (2) Distributor.....................................................................................................$10,000 (3) Terminal operator.............................................................................................$5,000 (4) Supplier...........................................................................................................$2,000 (5) Technician...........................................................................................................$100 (6) Licensed establishment, licensed truck stop establishment, licensed fraternal establishment, or licensed veterans establishment...................................................................................$100 (7) Video gaming terminal..........................................................................................$100 Section 50. Distribution of license fees. (a) All fees collected under Section 45 shall be deposited into the State Gaming Fund. (b) Fees collected under Section 45 shall be used as follows: (1) Twenty-five percent shall be paid to programs for the treatment of compulsive gambling. (2) Seventy-five percent shall be used for the administration of this Act. (c) All licenses issued by the Board under this Act are renewable annually unless sooner cancelled or terminated. No license issued under this Act is transferable or assignable. Section 55. Precondition for licensed establishment. In all cases of application for a licensed establishment, tooperate a video gaming terminal, each licensed truck stop establishment, licensed fraternal establishment, orlicensed veterans establishment shall possess a valid liquor license issued by the Illinois Liquor ControlCommission in effect at the time of application and at all times thereafter during which a video gaming terminal is made available to the public for play at that location. Section 57. Insurance. Each licensed establishment, licensed truck stop establishment, licensed fraternalestablishment, and licensed veterans establishment shall maintain insurance on any gaming device on its premisesin an amount set by the Board. Section 58. Location of terminals. Video gaming terminals must be located in an area restricted to persons over21 years of age the entrance to which is within the view of at least one employee, who is over 21 years of age, ofthe establishment in which they are located. Section 60. Imposition and distribution of tax. (a) A tax of 30% is imposed on net terminal income and shall be collected by the Board. (b) Of the tax collected under this Section, five-sixths shall be deposited into the Capital Projects Fund andone-sixth shall be deposited into the Local Government Video Gaming Distributive Fund. (c) Revenues generated from the play of video gaming terminals shall be deposited by the terminal operator, whois responsible for tax payments, in a specially created, separate bank account maintained by the video gamingterminal operator to allow for electronic fund transfers of moneys for tax payment.

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[May 20, 2009] 270 (d) Each licensed establishment, licensed truck stop establishment, licensed fraternal establishment, and licensedveterans establishment shall maintain an adequate video gaming fund, with the amount to be determined by the Board. Section 65. Fees. A non-home rule unit of government may not impose any fee for the operation of a videogaming terminal in excess of $25 per year. Section 70. Referendum. Upon the filing in the office of the clerk, at least 90 days before an election in any municipality or county, as the case may be, of a petition directed to such clerk, containing the signatures of not lessthan 25% of the legal voters of that municipality or county, the clerk shall certify such proposition to the proper election officials, who shall submit the proposition at such election to the voters of such municipality or county.The proposition shall be in the following form: --------------------------------------------------------------------------------------------------------------------- Shall video gaming YES be prohibited in ---------------------------------------------------------------------- .................? NO --------------------------------------------------------------------------------------------------------------------- If a majority of the voters voting upon such last mentioned proposition in any municipality or county vote "YES",such video gaming shall be prohibited in such municipality or county. The petition mentioned in this Section shallbe a public document and shall be subject to inspection by the public. Section 75. Revenue sharing; Local Government Video Gaming Distributive Fund. (a) As soon as may be after the first day of each month, the Department of Revenue shall allocate among thosemunicipalities and counties of this State that have not prohibited video gaming pursuant to Section 27 or Section 70the amount available in the Local Government Video Gaming Distributive Fund, a special fund in the State Treasury, as provided in Section 60. The Department shall then certify such allocations to the State Comptroller,who shall pay over to those eligible municipalities and counties the respective amounts allocated to them. The amount of such funds allocable to each such municipality and county shall be in proportion to the tax revenuegenerated from video gaming within the eligible municipality or county compared to the tax revenue generatedfrom video gaming Statewide. (b) The amounts allocated and paid to a municipality or county of this State pursuant to the provisions of thisSection may be used for any general corporate purpose authorized for that municipality or county. (c) Upon determination by the Department that an amount has been paid pursuant to this Section in excess of theamount to which the county or municipality receiving such payment was entitled, the county or municipality shall,upon demand by the Department, repay such amount. If such repayment is not made within a reasonable time, the Department shall withhold from future payments an amount equal to such overpayment. The Department shallredistribute the amount of such payment to the county or municipality entitled thereto.

ARTICLE 800. Section 801. Short title. This Article may be cited as the Capital Spending Accountability Law. Section 805. Reports on capital spending. On the first day of each quarterly period in each fiscal year, theGovernor's Office of Management and Budget shall provide to the Comptroller, the Treasurer, the President and theMinority Leader of the Senate, and the Speaker and the Minority Leader of the House of Representatives a reporton the status of all capital projects in the State. The report must be provided in both written and electronic format. The report must include all of the following: (1) A brief description or stated purpose of each capital project where applicable (as referred to in this Section, "project"). (2) The amount and source of funds (whether from bond funds or other revenues)

appropriated for each project, organized into categories including roads, mass transit, schools, environment, civiccenters and other categories as applicable (as referred to in this Section, "category or categories"), with subtotals for each category.

(3) The date the appropriation bill relating to each project was signed by the Governor, organized into categories. (4) The date the written release of the Governor for each project was submitted to the

Comptroller or is projected to be submitted and, if a release for any project has not been submitted within 6months after its appropriation became law, an explanation why the project has not yet been released, all organized into categories.

(5) The amount of expenditures to date by the State relating to each project and

estimated amount of total State expenditures and proposed schedule of future State expenditures relating to each project, all organized into categories.

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271 [May 20, 2009] (6) A timeline for completion of each project, including the dates, if applicable, of

execution by the State of any grant agreement, any required engineering or design work or environmentalapprovals, and the estimated or actual dates of the start and completion of construction, all organized intocategories. Any substantial variances on any project from this reported timeline must be explained in the nextquarterly report.

(7) A summary report of the status of all projects, including the amount of undisbursed funds intended to be held or used in the next quarter.

ARTICLE 900. Section 900. The Illinois Lottery Law is amended by changing Sections 2 and 3 and adding Sections 7.12, 7.15, 7.16, 7.17, and 9.1, as follows: (20 ILCS 1605/2) (from Ch. 120, par. 1152) Sec. 2. This Act is enacted to implement and establish within the State a lottery to be conducted operated by the State through the Department. The , the entire net proceeds of the Lottery which are to be used for the support of the State's Common School Fund, except as provided in subsection (o) of Section 9.1 and Sections 21.2, 21.5, 21.6, 21.7, and 21.8. The General Assembly finds that it is in the public interest for the Department to conduct the functions of the Lottery with the assistance of a private manager under a management agreement overseen by theDepartment. The Department shall be accountable to the General Assembly and the people of the State through a comprehensive system of regulation, audits, reports, and enduring operational oversight. The Department's ongoingconduct of the Lottery through a management agreement with a private manager shall act to promote and ensure theintegrity, security, honesty, and fairness of the Lottery's operation and administration. It is the intent of the GeneralAssembly that the Department shall conduct the Lottery with the assistance of a private manager under amanagement agreement at all times in a manner consistent with 18 U.S.C. 1307(a)(1), 1307(b)(1), 1953(b)(4). (Source: P.A. 94-120, eff. 7-6-05; 94-585, eff. 8-15-05; 95-331, eff. 8-21-07; 95-673, eff. 10-11-07; 95-674, eff. 10-11-07; 95-876, eff. 8-21-08.) (20 ILCS 1605/3) (from Ch. 120, par. 1153) Sec. 3. For the purposes of this Act: a. "Lottery" or "State Lottery" means the lottery or lotteries established and operated pursuant to this Act. b. "Board" means the Lottery Control Board created by this Act. c. "Department" means the Department of Revenue. d. "Director" means the Director of Revenue. e. "Chairman" means the Chairman of the Lottery Control Board. f. "Multi-state game directors" means such persons, including the Superintendent, as may be designated by anagreement between the Division and one or more additional lotteries operated under the laws of another state orstates. g. "Division" means the Division of the State Lottery of the Department of Revenue. h. "Superintendent" means the Superintendent of the Division of the State Lottery of the Department of Revenue. i. "Management agreement" means an agreement or contract between the Department on behalf of the State witha private manager, as an independent contractor, whereby the private manager provides management services to the Lottery in exchange for the receipt of no more than 5% of Lottery ticket and share sales and related proceeds solong as the Department continues to exercise actual control over all significant business decisions made by the private manager as set forth in Section 9.1. j. "Person" means any individual, firm, association, joint venture, partnership, estate, trust, syndicate, fiduciary,corporation, or other legal entity, group, or combination. k. "Private manager" means a person that provides management services to the Lottery on behalf of theDepartment under a management agreement. (Source: P.A. 94-776, eff. 5-19-06.) (20 ILCS 1605/7.12 new) Sec. 7.12. Internet pilot program. The General Assembly finds that: (1) the consumer market in Illinois has changed since the creation of the Illinois State Lottery in 1974; (2) the Internet has become an integral part of everyday life for a significant number of Illinois residents notonly in regards to their professional life, but also in regards to personal business and communication; and (3) the current practices of selling lottery tickets does not appeal to the new form of market participants whoprefer to make purchases on the internet at their own convenience. It is the intent of the General Assembly to create an Internet pilot program for the sale of lottery tickets to capturethis new form of market participant. The Department shall create a pilot program that allows an individual to purchase lottery tickets or shares on the

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[May 20, 2009] 272 Internet without using a Lottery retailer with on-line status, as those terms are defined by rule. The Departmentshall adopt rules necessary for the administration of this program. These rules shall include requirements for marketing of the Lottery to infrequent players. The provisions of this Act and the rules adopted under this Act shallapply to the sale of lottery tickets or shares under this program. Before beginning the pilot program, the Department of Revenue must seek a clarifying memorandum from thefederal Department of Justice that it is legal for Illinois residents and non-Illinois residents to purchase and the private company to sell lottery tickets on the Internet on behalf of the State of Illinois under the federal Unlawful Internet Gambling Enforcement Act of 2006. The Department shall limit the individuals authorized to purchase lottery tickets on the Internet to individualswho are 18 years of age or older and Illinois residents, unless the clarifying memorandum from the federal Department of Justice indicates that it is legal for non-Illinois residents to purchase lottery tickets on the Internet, and shall set a limitation on the monthly purchases that may be made through any one individual's lottery account. The Department is obligated to implement the pilot program set forth in this Section and Sections 7.15, 7.16, and7.17 only to the extent permitted by the federal Department of Justice in its clarifying memorandum. Only Lotto and Mega Million games offered by the Illinois Lottery may be offered through the pilot program. The pilot program must be conducted pursuant to a contract with a private vendor that has the expertise,technical capability, and knowledge of the Illinois lottery marketplace to conduct the program. The Department ofthe Lottery must ensure cooperation from existing vendors for the program. The pilot program shall last for not less than 36 months, but not more than 48 months. (20 ILCS 1605/7.15 new) Sec. 7.15. Verification of age and residency for Internet program; security for Internet lottery accounts. TheDepartment must establish a procedure to verify that an individual is 18 years of age or older and an Illinoisresident before he or she may establish one Internet lottery account and purchase lottery tickets or shares throughthe Internet program. Non-residents of Illinois shall only be allowed to participate in the pilot program if the federalDepartment of Justice indicates that it is legal for non-residents to do so. By rule, the Department shall establish funding procedures for Internet lottery accounts and shall provide a mechanism for each Internet lottery account tohave a personal identification number to prevent the unauthorized use of Internet lottery accounts. If any participant in the pilot program violates any of provisions of this amendatory Act of the 96th General Assembly or ruleestablished by the Department, all such winnings shall be forfeited. Such forfeited winnings shall be deposited in the Common School Fund. (20 ILCS 1605/7.16 new) Sec. 7.16. Voluntary self-exclusion program for Internet lottery sales. Any resident, or non-resident if allowed to participate in the pilot program, may voluntarily prohibit themselves from establishing an Internet lottery account. The Department shall incorporate the voluntary self-exclusion program for Internet lottery accounts into any existing self-exclusion program that it operates on the effective date of this amendatory Act of the 96th General Assembly. (20 ILCS 1605/7.17 new) Sec. 7.17. Contracts. The contract with a private vendor to fulfill the pilot program requirements of Sections7.12, 7.15, and 7.16 of this Act must be separate from lottery contracts existing on the effective date of this Section. The Department shall enter into a contract with a private vendor no later than December 1, 2009 and the privatevendor must begin performance on the contract no later than January 1, 2010. The Department must ensurecooperation from all existing contractors supporting the Lottery and any private manager selected under Section 9.1of the Act. All contracts entered into (i) with a private vendor to fulfill the requirements for the pilot program under Section7.12 or (ii) for the development and provision of technology and controls under this Section shall be awardedpursuant to Section 20-35 of the Illinois Procurement Code. The Department shall award contracts for the development and provision of technology and controls to ensure compliance with the age and residency requirements for the purchase of lottery tickets on the Internet pursuant tocompetitive bidding processes. The technology and controls must include appropriate data security standards toprevent unauthorized access to Internet lottery accounts. (20 ILCS 1605/9.1 new) Sec. 9.1. Private manager and management agreement. (a) As used in this Section: "Offeror" means a person or group of persons that responds to a request for qualifications under this Section. "Request for qualifications" means all materials and documents prepared by the Department to solicit thefollowing from offerors: (1) Statements of qualifications.

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273 [May 20, 2009] (2) Proposals to enter into a management agreement. "Final offeror" means the offeror ultimately selected by the Governor to be the private manager for the Lotteryunder subsection (h) of this Section. (b) By March 1, 2010, the Department shall enter into a management agreement with a private manager for the total management of the Lottery with integrated functions, such as lottery game design, supply of goods andservices, and advertising and as specified in this Section. (c) In connection with the selection of the private manager, the Department shall endeavor to expeditiously terminate the existing contracts in support of the Lottery as follows: (1) where such contracts contain a provision authorizing termination upon notice, the Department shallprovide notice of termination to occur upon the effective date of the management agreement with the privatemanager; (2) upon the expiration of any initial term or renewal term of the current Lottery contracts, the Departmentshall not renew such contract for a term extending beyond the effective date of the management agreement with the private manager; or (3) in the event any current contract provides for termination of that contract upon the implementation of acontract with the private manager, the Department shall perform all necessary actions to terminate the contract. If the contracts to support the current operation of the Lottery in effect on the effective date of this amendatoryAct of the 96th General Assembly are not subject to termination as provided for in this subsection (c), then the Department may include a provision in the contract with the private manager specifying a mutually agreeablemethodology for incorporation. (d) The management agreement with the private manager shall include all of the following: (1) A term not to exceed 10 years, including any renewals. (2) A provision specifying that the Department: (A) has the authority to direct or countermand operating decisions by the private manager at any time; (B) has ready access to information regarding Lottery operations; (C) has the right to demand and receive information from the private manager concerning any aspect of theLottery operations at any time; and (D) retains ownership of all trade names, trademarks, and intellectual property associated with the Lottery. (3) A provision imposing an affirmative duty on the private manager to provide the Department with anyinformation the private manager reasonably believes the Department would want to know to enable the Department to conduct the Lottery. (4) A provision requiring the private manager to provide the Department with advance notice of any operatingdecision that bears significantly on the public interest, including, but not limited to, decisions on the kinds of games to be offered to the public and decisions affecting the relative risk and reward of the games being offered, so theDepartment has a reasonable opportunity to evaluate and countermand that decision. (5) A provision providing the private manager with a percentage of Lottery ticket or share sales or relatedproceeds in consideration for managing the Lottery, including terms that may provide the private manager with anincrease in compensation if Lottery revenues grow by a specified percentage in a given year. (6) (Blank). (7) A provision requiring the deposit of all Lottery proceeds to be deposited into the State Lottery Fund. (8) A provision requiring the private manager to locate its principal office within the State. (9) A requirement that so long as the private manager complies with all the conditions of the agreement underthe oversight of the Department, the private manager shall have the following duties and obligations with respect to the management of the Lottery: (A) The right to use equipment and other assets used in the operation of the Lottery. (B) The rights and obligations under contracts with retailers with retailers and vendors. (C) The implementation of a comprehensive security program by the private manager. (D) The implementation of a comprehensive system of internal audits. (E) The implementation of a program by the private manager to curb compulsive gambling by persons playing the Lottery. (F) A system for determining (i) the type of Lottery games, (ii) the method of selecting winning tickets, (iii)the manner of payment of prizes to holders of winning tickets, (iv) the frequency of drawings of winning tickets, (v) the method to be used in selling tickets, (vi) a system for verifying the validity of tickets claimed to be winningtickets, (vii) the basis upon which retailer commissions are established by the manager, and (viii) minimum payouts. (10) A requirement that advertising and promotion must be consistent with Section 7.8a of this Act. (11) A requirement that the private manager market the Lottery to those residents who are new, infrequent, or

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[May 20, 2009] 274 lapsed players of the Lottery, especially those who are most likely to make regular purchases on the Internet aspermitted by law. (12) A code of ethics for the private manager's officers and employees. (13) A requirement that the Department monitor and oversee the private manager's practices and take action that the Department considers appropriate to ensure that the private manager is in compliance with the terms of themanagement agreement, while allowing the manager, unless specifically prohibited by law or the management agreement, to negotiate and sign its own contracts with vendors. (14) A provision requiring the private manager to periodically file, at least on an annual basis, appropriatefinancial statements in a form and manner acceptable to the Department. (15) Cash reserves requirements. (16) Procedural requirements for obtaining the prior approval of the Department when a managementagreement or an interest in a management agreement is sold, assigned, transferred, or pledged as collateral to secure financing. (17) Grounds for the termination of the management agreement by the Department or the private manager. (18) Procedures for amendment of the agreement. (19) A provision prohibiting the Department from entering into another management agreement under thissection as long as the original management agreement has not been terminated. (20) The transition of rights and obligations, including any associated equipment or other assets used in the operation of the Lottery, from the manager to any successor manager of the lottery, including the Department,following the termination of or foreclosure upon the management agreement. (21) Right of use of copyrights, trademarks, and service marks held by the Department in the name of the State. The agreement must provide that any use of them by the manager shall only be for the purpose of fulfillingits obligations under the management agreement during the term of the agreement. (e) Notwithstanding any other law to the contrary, the Department shall select a private manager through acompetitive request for qualifications process consistent with Section 20-35 of the Illinois Procurement Code, which shall take into account: (1) the offeror's ability to market the Lottery to those residents who are new, infrequent, or lapsed players ofthe Lottery, especially those who are most likely to make regular purchases on the Internet; (2) the offeror's ability to address the State's concern with the social effects of gambling on those who can least afford to do so; (3) the offeror's ability to provide the most successful management of the Lottery for the benefit of the peopleof the State based on current and past business practices or plans of the offeror; and (4) the offeror's poor or inadequate past performance in servicing, equipping, operating or managing a lotteryon behalf of Illinois, another State or foreign government and attracting persons who are not currently regular players of a lottery. (f) The Department shall retain the services of an advisor or advisors with significant experience in themanagement, operation, and procurement of goods, services, and equipment for a government-run lottery to assist in the preparation of the terms of the request for qualifications. No advisor or advisors retained may be affiliatedwith an offeror or have any prior or present affiliation with any contractor or subcontractor presently providinggoods, services or equipment to the Department to support the Lottery. The Department shall not include terms inthe request for qualifications that provides an advantage whether directly or indirectly to any contractor orsubcontractor presenting providing goods, services or equipment to the Department to support the Lottery, including terms contained in a contractor or subcontractor's responses to requests for proposals or qualificationssubmitted to Illinois, another State or foreign government. The request for proposals offered by the Department on December 22, 2008 as "LOT08GAMESYS" and reference number "22016176" is declared void. The Department shall issue the request for qualifications no later than 30 calendar days after the effective date ofthis amendatory Act of the 96th General Assembly. The deadline for the submission of responsive qualificationsproposals shall be 30 calendar days after the date the request for qualifications is issued. (g) The Department shall select at least 2 offerors as finalists to potentially serve as the private manager no later than February 1, 2010. Upon making preliminary selections, the Department shall schedule a public hearing on thefinalists' proposals and provide public notice of the hearing at least 7 calendar days before the hearing. The notice must include all of the following: (1) The date, time, and place of the hearing. (2) The subject matter of the hearing. (3) A brief description of the management agreement to be awarded. (4) The identity of the offerors that have been selected as finalists to serve as the private manager. (5) The address and telephone number of the Department.

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275 [May 20, 2009] (h) At the public hearing, the Department shall (i) provide sufficient time for each finalist to present and explain its proposal to the Department and the Governor or the Governor's designee, including an opportunity to respond toquestions posed by the Department, Governor, or designee and (ii) allow the public and non-selected offerors to comment on the presentations. The Governor or a designee shall attend the public hearing. After the public hearing,the Department shall have 14 calendar days to recommend to the Governor whether a management agreementshould be entered into with a particular finalist. After reviewing the Department's recommendation, the Governor may accept or reject the Department's recommendation, and shall select a final offeror as the private manager bypublication of a notice in the Illinois Procurement Bulletin. The Governor shall include in the notice a detailed explanation and the reasons why the final offeror is superior to other offerors and will provide managementservices in a manner that best achieves the objectives of this Section. The Governor shall designate a final offeroras the private manager with sufficient time for the Department to enter into a management agreement on or beforeMarch 1, 2010. The Governor shall also sign the management agreement with the private manager. (i) Any action to contest the validity of a management agreement entered into under this Section must be broughtwithin 14 calendar days after the publication of the notice of the designation of the private manager as provided insubsection (h) of this Section. (j) The Lottery shall remain, for so long as a private manager manages the Lottery in accordance with provisionsof this Act, a Lottery conducted by the State, and the State shall not be authorized to sell or transfer the Lottery to athird party. (k) Any tangible personal property used exclusively in connection with the lottery that is owned by theDepartment and leased to the private manager shall be owned by the Department in the name of the State and shallbe considered to be public property devoted to an essential public and governmental function. (l) The Department may exercise any of its powers under this Section or any other law as necessary or desirablefor the execution of the Department's powers under this Section. (m) Neither this Section nor any management agreement entered into under this Section prohibits the General Assembly from authorizing forms of gambling that are not in direct competition with the Lottery. (n) The private manager shall be subject to a complete investigation in the third, seventh, and tenth years of the agreement (if the agreement is for a 10-year term) by the Department in cooperation with the Auditor General todetermine whether the private manager has complied with this Section and the management agreement. The privatemanager shall bear the cost of an investigation or reinvestigation of the private manager under this subsection. (o) The powers conferred by this Section are in addition and supplemental to the powers conferred by any otherlaw. If any other law or rule is inconsistent with this Section, this Section controls as to any management agreemententered into under this Section. This Section and any rules adopted under this Section contain full and completeauthority for a management agreement between the Department and a manager. No law, procedure, proceeding, publication, notice, consent, approval, order, or act by the Department or any other officer, Department, agency, orinstrumentality of the State or any political subdivision is required for the Department to enter into a management agreement under this Section. This Section contains full and complete authority for the Department to approve anysubcontracts entered into by a private manager under the terms of a management agreement. Notwithstanding any other State law to the contrary, the Department shall distribute all proceeds of lottery ticketsand shares sold in the following priority and manner: (1) Provide the sums due to the private manager under the management agreement with the Department. (2) Provide the sums due to the private vendor for lottery tickets and shares sold on the Internet via the pilotprogram as compensation under its contract with the Department. (3) On the last day of each month or as soon thereafter as possible, the State Comptroller shall direct and the State Treasurer shall transfer from the Lottery Fund to the Common School Fund an amount that is equal to theproceeds transferred in the corresponding month of fiscal year 2009, as adjusted for inflation, to the CommonSchool Fund. (4) On or before the last day of each fiscal year, deposit any remaining proceeds, subject to payments underitems (1), (2), and (3) into the Capital Projects Fund each fiscal year. Section 905. The State Finance Act is amended by changing Section 8.3 and by adding Sections 5.723, 5.724, and 6z-77 as follows: (30 ILCS 105/5.723 new) Sec. 5.723. The Capital Projects Fund. (30 ILCS 105/5.724 new) Sec. 5.724. The Local Government Video Gaming Distributive Fund. (30 ILCS 105/6z-77 new) Sec. 6z-77. The Capital Projects Fund. The Capital Projects Fund is created as a special fund in the StateTreasury. The State Comptroller and State Treasurer shall transfer from the Capital Projects Fund to the General

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[May 20, 2009] 276 Revenue Fund $61,294,550 on October 1, 2009, $122,589,100 on January 1, 2010, and $61,294,550 on April 1,2010. Beginning on July 1, 2010, and on July 1 and January 1 of each year thereafter, the State Comptroller andState Treasurer shall transfer the sum of $122,589,100 from the Capital Projects Fund to the General RevenueFund. Subject to appropriation, the Capital Projects Fund may be used only for capital projects and the payment ofdebt service on bonds issued for capital projects. All interest earned on moneys in the Fund shall be deposited into the Fund. The Fund shall not be subject to administrative charges or chargebacks, such as but not limited to thoseauthorized under Section 8h. (30 ILCS 105/8.3) (from Ch. 127, par. 144.3) Sec. 8.3. Money in the Road Fund shall, if and when the State of Illinois incurs any bonded indebtedness for theconstruction of permanent highways, be set aside and used for the purpose of paying and discharging annually theprincipal and interest on that bonded indebtedness then due and payable, and for no other purpose. The surplus, if any, in the Road Fund after the payment of principal and interest on that bonded indebtedness then annually dueshall be used as follows: first -- to pay the cost of administration of Chapters 2 through 10 of the Illinois Vehicle Code, except the cost of administration of Articles I and II of Chapter 3 of that Code; and secondly -- for expenses of the Department of Transportation for construction,

reconstruction, improvement, repair, maintenance, operation, and administration of highways in accordance withthe provisions of laws relating thereto, or for any purpose related or incident to and connected therewith,including the separation of grades of those highways with railroads and with highways and including the payment of awards made by the Illinois Workers' Compensation Commission under the terms of the Workers'Compensation Act or Workers' Occupational Diseases Act for injury or death of an employee of the Division of Highways in the Department of Transportation; or for the acquisition of land and the erection of buildings forhighway purposes, including the acquisition of highway right-of-way or for investigations to determine the reasonably anticipated future highway needs; or for making of surveys, plans, specifications and estimates forand in the construction and maintenance of flight strips and of highways necessary to provide access to militaryand naval reservations, to defense industries and defense-industry sites, and to the sources of raw materials and for replacing existing highways and highway connections shut off from general public use at military and navalreservations and defense-industry sites, or for the purchase of right-of-way, except that the State shall be reimbursed in full for any expense incurred in building the flight strips; or for the operating and maintaining ofhighway garages; or for patrolling and policing the public highways and conserving the peace; or for theoperating expenses of the Department relating to the administration of public transportation programs; or for anyof those purposes or any other purpose that may be provided by law.

Appropriations for any of those purposes are payable from the Road Fund. Appropriations may also be made from the Road Fund for the administrative expenses of any State agency that are related to motor vehicles or arisefrom the use of motor vehicles. Beginning with fiscal year 1980 and thereafter, no Road Fund monies shall be appropriated to the following Departments or agencies of State government for administration, grants, or operations; but this limitation is not arestriction upon appropriating for those purposes any Road Fund monies that are eligible for federalreimbursement; 1. Department of Public Health; 2. Department of Transportation, only with respect to subsidies for one-half fare Student Transportation and Reduced Fare for Elderly; 3. Department of Central Management Services, except for expenditures incurred for group insurance premiums of appropriate personnel; 4. Judicial Systems and Agencies. Beginning with fiscal year 1981 and thereafter, no Road Fund monies shall be appropriated to the followingDepartments or agencies of State government for administration, grants, or operations; but this limitation is not arestriction upon appropriating for those purposes any Road Fund monies that are eligible for federalreimbursement: 1. Department of State Police, except for expenditures with respect to the Division of Operations; 2. Department of Transportation, only with respect to Intercity Rail Subsidies and Rail Freight Services. Beginning with fiscal year 1982 and thereafter, no Road Fund monies shall be appropriated to the followingDepartments or agencies of State government for administration, grants, or operations; but this limitation is not arestriction upon appropriating for those purposes any Road Fund monies that are eligible for federal reimbursement: Department of Central Management Services, except for awards made by the Illinois Workers'

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277 [May 20, 2009] Compensation Commission under the terms of the Workers' Compensation Act or Workers' Occupational DiseasesAct for injury or death of an employee of the Division of Highways in the Department of Transportation. Beginning with fiscal year 1984 and thereafter, no Road Fund monies shall be appropriated to the followingDepartments or agencies of State government for administration, grants, or operations; but this limitation is not a restriction upon appropriating for those purposes any Road Fund monies that are eligible for federalreimbursement: 1. Department of State Police, except not more than 40% of the funds appropriated for the Division of Operations; 2. State Officers. Beginning with fiscal year 1984 and thereafter, no Road Fund monies shall be appropriated to any Department oragency of State government for administration, grants, or operations except as provided hereafter; but this limitation is not a restriction upon appropriating for those purposes any Road Fund monies that are eligible forfederal reimbursement. It shall not be lawful to circumvent the above appropriation limitations by governmental reorganization or other methods. Appropriations shall be made from the Road Fund only in accordance with theprovisions of this Section. Money in the Road Fund shall, if and when the State of Illinois incurs any bonded indebtedness for theconstruction of permanent highways, be set aside and used for the purpose of paying and discharging during eachfiscal year the principal and interest on that bonded indebtedness as it becomes due and payable as provided in theTransportation Bond Act, and for no other purpose. The surplus, if any, in the Road Fund after the payment ofprincipal and interest on that bonded indebtedness then annually due shall be used as follows: first -- to pay the cost of administration of Chapters 2 through 10 of the Illinois Vehicle Code; and secondly -- no Road Fund monies derived from fees, excises, or license taxes relating

to registration, operation and use of vehicles on public highways or to fuels used for the propulsion of thosevehicles, shall be appropriated or expended other than for costs of administering the laws imposing those fees,excises, and license taxes, statutory refunds and adjustments allowed thereunder, administrative costs of theDepartment of Transportation, including, but not limited to, the operating expenses of the Department relating tothe administration of public transportation programs, payment of debts and liabilities incurred in constructionand reconstruction of public highways and bridges, acquisition of rights-of-way for and the cost of construction, reconstruction, maintenance, repair, and operation of public highways and bridges under the direction andsupervision of the State, political subdivision, or municipality collecting those monies, and the costs for patrolling and policing the public highways (by State, political subdivision, or municipality collecting thatmoney) for enforcement of traffic laws. The separation of grades of such highways with railroads and costsassociated with protection of at-grade highway and railroad crossing shall also be permissible.

Appropriations for any of such purposes are payable from the Road Fund or the Grade Crossing Protection Fundas provided in Section 8 of the Motor Fuel Tax Law. Except as provided in this paragraph, beginning with fiscal year 1991 and thereafter, no Road Fund monies shallbe appropriated to the Department of State Police for the purposes of this Section in excess of its total fiscal year1990 Road Fund appropriations for those purposes unless otherwise provided in Section 5g of this Act. For fiscalyears 2003, 2004, 2005, 2006, and 2007 only, no Road Fund monies shall be appropriated to the Department ofState Police for the purposes of this Section in excess of $97,310,000. For fiscal year 2008 only, no Road Fund monies shall be appropriated to the Department of State Police for the purposes of this Section in excess of$106,100,000. For fiscal year 2009 only, no Road Fund monies shall be appropriated to the Department of StatePolice for the purposes of this Section in excess of $114,700,000. Beginning in fiscal year 2010, no road fund moneys shall be appropriated to the Department of State Police. It shall not be lawful to circumvent this limitation on appropriations by governmental reorganization or other methods unless otherwise provided in Section 5g of thisAct. In fiscal year 1994, no Road Fund monies shall be appropriated to the Secretary of State for the purposes of thisSection in excess of the total fiscal year 1991 Road Fund appropriations to the Secretary of State for those purposes, plus $9,800,000. It shall not be lawful to circumvent this limitation on appropriations by governmentalreorganization or other method. Beginning with fiscal year 1995 and thereafter, no Road Fund monies shall be appropriated to the Secretary ofState for the purposes of this Section in excess of the total fiscal year 1994 Road Fund appropriations to theSecretary of State for those purposes. It shall not be lawful to circumvent this limitation on appropriations by governmental reorganization or other methods. Beginning with fiscal year 2000, total Road Fund appropriations to the Secretary of State for the purposes of thisSection shall not exceed the amounts specified for the following fiscal years:

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[May 20, 2009] 278 Fiscal Year 2000 $80,500,000; Fiscal Year 2001 $80,500,000; Fiscal Year 2002 $80,500,000; Fiscal Year 2003 $130,500,000; Fiscal Year 2004 $130,500,000; Fiscal Year 2005 $130,500,000; Fiscal Year 2006 $130,500,000; Fiscal Year 2007 $130,500,000; Fiscal Year 2008 $130,500,000; Fiscal Year 2009 $130,500,000. ; Fiscal Year 2010 and each year thereafter $30,500,000. Beginning in fiscal year 2010, no road fund moneys shall be appropriated to the Secretary of State. It shall not be lawful to circumvent this limitation on appropriations by governmental reorganization or othermethods. No new program may be initiated in fiscal year 1991 and thereafter that is not consistent with the limitations imposed by this Section for fiscal year 1984 and thereafter, insofar as appropriation of Road Fund monies isconcerned. Nothing in this Section prohibits transfers from the Road Fund to the State Construction Account Fund under Section 5e of this Act; nor to the General Revenue Fund, as authorized by this amendatory Act of the 93rd GeneralAssembly. The additional amounts authorized for expenditure in this Section by Public Acts 92-0600, 93-0025, 93-0839, and 94-91 shall be repaid to the Road Fund from the General Revenue Fund in the next succeeding fiscal year thatthe General Revenue Fund has a positive budgetary balance, as determined by generally accepted accountingprinciples applicable to government. The additional amounts authorized for expenditure by the Secretary of State and the Department of State Policein this Section by this amendatory Act of the 94th General Assembly shall be repaid to the Road Fund from theGeneral Revenue Fund in the next succeeding fiscal year that the General Revenue Fund has a positive budgetarybalance, as determined by generally accepted accounting principles applicable to government. (Source: P.A. 94-91, eff. 7-1-05; 94-839, eff. 6-6-06; 95-707, eff. 1-11-08; 95-744, eff. 7-18-08.) Section 910. The Use Tax Act is amended by changing Sections 3-10 and 9 as follows: (35 ILCS 105/3-10) (from Ch. 120, par. 439.3-10) Sec. 3-10. Rate of tax. Unless otherwise provided in this Section, the tax imposed by this Act is at the rate of 6.25% of either the selling price or the fair market value, if any, of the tangible personal property. In all caseswhere property functionally used or consumed is the same as the property that was purchased at retail, then the taxis imposed on the selling price of the property. In all cases where property functionally used or consumed is aby-product or waste product that has been refined, manufactured, or produced from property purchased at retail,then the tax is imposed on the lower of the fair market value, if any, of the specific property so used in this State oron the selling price of the property purchased at retail. For purposes of this Section "fair market value" means theprice at which property would change hands between a willing buyer and a willing seller, neither being under any compulsion to buy or sell and both having reasonable knowledge of the relevant facts. The fair market value shallbe established by Illinois sales by the taxpayer of the same property as that functionally used or consumed, or if there are no such sales by the taxpayer, then comparable sales or purchases of property of like kind and character inIllinois. Beginning on July 1, 2000 and through December 31, 2000, with respect to motor fuel, as defined in Section 1.1 of the Motor Fuel Tax Law, and gasohol, as defined in Section 3-40 of the Use Tax Act, the tax is imposed at the rate of 1.25%. With respect to gasohol, the tax imposed by this Act applies to (i) 70% of the proceeds of sales made on or afterJanuary 1, 1990, and before July 1, 2003, (ii) 80% of the proceeds of sales made on or after July 1, 2003 and on orbefore December 31, 2013, and (iii) 100% of the proceeds of sales made thereafter. If, at any time, however, the taxunder this Act on sales of gasohol is imposed at the rate of 1.25%, then the tax imposed by this Act applies to 100%of the proceeds of sales of gasohol made during that time. With respect to majority blended ethanol fuel, the tax imposed by this Act does not apply to the proceeds of sales made on or after July 1, 2003 and on or before December 31, 2013 but applies to 100% of the proceeds of salesmade thereafter. With respect to biodiesel blends with no less than 1% and no more than 10% biodiesel, the tax imposed by thisAct applies to (i) 80% of the proceeds of sales made on or after July 1, 2003 and on or before December 31, 2013and (ii) 100% of the proceeds of sales made thereafter. If, at any time, however, the tax under this Act on sales of

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279 [May 20, 2009] biodiesel blends with no less than 1% and no more than 10% biodiesel is imposed at the rate of 1.25%, then the taximposed by this Act applies to 100% of the proceeds of sales of biodiesel blends with no less than 1% and no morethan 10% biodiesel made during that time. With respect to 100% biodiesel and biodiesel blends with more than 10% but no more than 99% biodiesel, thetax imposed by this Act does not apply to the proceeds of sales made on or after July 1, 2003 and on or beforeDecember 31, 2013 but applies to 100% of the proceeds of sales made thereafter. With respect to food for human consumption that is to be consumed off the premises where it is sold (other thanalcoholic beverages, soft drinks, and food that has been prepared for immediate consumption) and prescription and nonprescription medicines, drugs, medical appliances, modifications to a motor vehicle for the purpose of renderingit usable by a disabled person, and insulin, urine testing materials, syringes, and needles used by diabetics, forhuman use, the tax is imposed at the rate of 1%. For the purposes of this Section, until August 1, 2009: the term "soft drinks" means any complete, finished, ready-to-use, non-alcoholic drink, whether carbonated or not, including but not limited to soda water, cola, fruit juice, vegetable juice, carbonated water, and all other preparationscommonly known as soft drinks of whatever kind or description that are contained in any closed or sealed bottle,can, carton, or container, regardless of size; but "soft . "Soft drinks" does not include coffee, tea, non-carbonated water, infant formula, milk or milk products as defined in the Grade A Pasteurized Milk and Milk Products Act, ordrinks containing 50% or more natural fruit or vegetable juice. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "soft drinks" mean non-alcoholic beverages that contain natural or artificial sweeteners. "Soft drinks" do not include beverages that contain milk ormilk products, soy, rice or similar milk substitutes, or greater than 50% of vegetable or fruit juice by volume. Notwithstanding any other provisions of this Act, "food for human consumption that is to be consumed off thepremises where it is sold" includes all food sold through a vending machine, except soft drinks, candy, and food products that are dispensed hot from a vending machine, regardless of the location of the vending machine. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "food for human consumption thatis to be consumed off the premises where it is sold" does not include candy. For purposes of this Section, "candy"means a preparation of sugar, honey, or other natural or artificial sweeteners in combination with chocolate, fruits,nuts or other ingredients or flavorings in the form of bars, drops, or pieces. "Candy" does not include anypreparation that contains flour or requires refrigeration. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "nonprescription medicines anddrugs" does not include grooming and hygiene products. For purposes of this Section, "grooming and hygieneproducts" includes, but is not limited to, soaps and cleaning solutions, shampoo, toothpaste, mouthwash,antiperspirants, and sun tan lotions and screens, unless those products are available by prescription only, regardlessof whether the products meet the definition of "over-the-counter-drugs". For the purposes of this paragraph, "over-the-counter-drug" means a drug for human use that contains a label that identifies the product as a drug as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" label includes: (A) A "Drug Facts" panel; or (B) A statement of the "active ingredient(s)" with a list of those ingredients contained in the compound, substance or preparation. If the property that is purchased at retail from a retailer is acquired outside Illinois and used outside Illinoisbefore being brought to Illinois for use here and is taxable under this Act, the "selling price" on which the tax is computed shall be reduced by an amount that represents a reasonable allowance for depreciation for the period ofprior out-of-state use. (Source: P.A. 93-17, eff. 6-11-03.) (35 ILCS 105/9) (from Ch. 120, par. 439.9) Sec. 9. Except as to motor vehicles, watercraft, aircraft, and trailers that are required to be registered with anagency of this State, each retailer required or authorized to collect the tax imposed by this Act shall pay to theDepartment the amount of such tax (except as otherwise provided) at the time when he is required to file his returnfor the period during which such tax was collected, less a discount of 2.1% prior to January 1, 1990, and 1.75% onand after January 1, 1990, or $5 per calendar year, whichever is greater, which is allowed to reimburse the retailer for expenses incurred in collecting the tax, keeping records, preparing and filing returns, remitting the tax andsupplying data to the Department on request. In the case of retailers who report and pay the tax on a transaction by transaction basis, as provided in this Section, such discount shall be taken with each such tax remittance instead ofwhen such retailer files his periodic return. A retailer need not remit that part of any tax collected by him to the extent that he is required to remit and does remit the tax imposed by the Retailers' Occupation Tax Act, with respectto the sale of the same property. Where such tangible personal property is sold under a conditional sales contract, or under any other form of sale wherein the payment of the principal sum, or a part thereof, is extended beyond the close of the period for which

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[May 20, 2009] 280 the return is filed, the retailer, in collecting the tax (except as to motor vehicles, watercraft, aircraft, and trailers that are required to be registered with an agency of this State), may collect for each tax return period, only the taxapplicable to that part of the selling price actually received during such tax return period. Except as provided in this Section, on or before the twentieth day of each calendar month, such retailer shall filea return for the preceding calendar month. Such return shall be filed on forms prescribed by the Department andshall furnish such information as the Department may reasonably require. The Department may require returns to be filed on a quarterly basis. If so required, a return for each calendarquarter shall be filed on or before the twentieth day of the calendar month following the end of such calendarquarter. The taxpayer shall also file a return with the Department for each of the first two months of each calendarquarter, on or before the twentieth day of the following calendar month, stating: 1. The name of the seller; 2. The address of the principal place of business from which he engages in the business of selling tangible personal property at retail in this State; 3. The total amount of taxable receipts received by him during the preceding calendar

month from sales of tangible personal property by him during such preceding calendar month, including receiptsfrom charge and time sales, but less all deductions allowed by law;

4. The amount of credit provided in Section 2d of this Act; 5. The amount of tax due; 5-5. The signature of the taxpayer; and 6. Such other reasonable information as the Department may require. If a taxpayer fails to sign a return within 30 days after the proper notice and demand for signature by theDepartment, the return shall be considered valid and any amount shown to be due on the return shall be deemedassessed. Beginning October 1, 1993, a taxpayer who has an average monthly tax liability of $150,000 or more shall makeall payments required by rules of the Department by electronic funds transfer. Beginning October 1, 1994, ataxpayer who has an average monthly tax liability of $100,000 or more shall make all payments required by rulesof the Department by electronic funds transfer. Beginning October 1, 1995, a taxpayer who has an average monthly tax liability of $50,000 or more shall make all payments required by rules of the Department by electronic fundstransfer. Beginning October 1, 2000, a taxpayer who has an annual tax liability of $200,000 or more shall make all payments required by rules of the Department by electronic funds transfer. The term "annual tax liability" shall bethe sum of the taxpayer's liabilities under this Act, and under all other State and local occupation and use tax lawsadministered by the Department, for the immediately preceding calendar year. The term "average monthly taxliability" means the sum of the taxpayer's liabilities under this Act, and under all other State and local occupationand use tax laws administered by the Department, for the immediately preceding calendar year divided by 12.Beginning on October 1, 2002, a taxpayer who has a tax liability in the amount set forth in subsection (b) of Section2505-210 of the Department of Revenue Law shall make all payments required by rules of the Department by electronic funds transfer. Before August 1 of each year beginning in 1993, the Department shall notify all taxpayers required to makepayments by electronic funds transfer. All taxpayers required to make payments by electronic funds transfer shall make those payments for a minimum of one year beginning on October 1. Any taxpayer not required to make payments by electronic funds transfer may make payments by electronicfunds transfer with the permission of the Department. All taxpayers required to make payment by electronic funds transfer and any taxpayers authorized to voluntarilymake payments by electronic funds transfer shall make those payments in the manner authorized by theDepartment. The Department shall adopt such rules as are necessary to effectuate a program of electronic funds transfer andthe requirements of this Section. Before October 1, 2000, if the taxpayer's average monthly tax liability to the Department under this Act, theRetailers' Occupation Tax Act, the Service Occupation Tax Act, the Service Use Tax Act was $10,000 or moreduring the preceding 4 complete calendar quarters, he shall file a return with the Department each month by the20th day of the month next following the month during which such tax liability is incurred and shall makepayments to the Department on or before the 7th, 15th, 22nd and last day of the month during which such liabilityis incurred. On and after October 1, 2000, if the taxpayer's average monthly tax liability to the Department under this Act, the Retailers' Occupation Tax Act, the Service Occupation Tax Act, and the Service Use Tax Act was$20,000 or more during the preceding 4 complete calendar quarters, he shall file a return with the Department each month by the 20th day of the month next following the month during which such tax liability is incurred and shallmake payment to the Department on or before the 7th, 15th, 22nd and last day of the month during which such

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281 [May 20, 2009] liability is incurred. If the month during which such tax liability is incurred began prior to January 1, 1985, eachpayment shall be in an amount equal to 1/4 of the taxpayer's actual liability for the month or an amount set by theDepartment not to exceed 1/4 of the average monthly liability of the taxpayer to the Department for the preceding 4 complete calendar quarters (excluding the month of highest liability and the month of lowest liability in such 4quarter period). If the month during which such tax liability is incurred begins on or after January 1, 1985, and prior to January 1, 1987, each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for themonth or 27.5% of the taxpayer's liability for the same calendar month of the preceding year. If the month during which such tax liability is incurred begins on or after January 1, 1987, and prior to January 1, 1988, each paymentshall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 26.25% of the taxpayer'sliability for the same calendar month of the preceding year. If the month during which such tax liability is incurredbegins on or after January 1, 1988, and prior to January 1, 1989, or begins on or after January 1, 1996, eachpayment shall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 25% of thetaxpayer's liability for the same calendar month of the preceding year. If the month during which such tax liabilityis incurred begins on or after January 1, 1989, and prior to January 1, 1996, each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 25% of the taxpayer's liability for the samecalendar month of the preceding year or 100% of the taxpayer's actual liability for the quarter monthly reporting period. The amount of such quarter monthly payments shall be credited against the final tax liability of thetaxpayer's return for that month. Before October 1, 2000, once applicable, the requirement of the making of quartermonthly payments to the Department shall continue until such taxpayer's average monthly liability to theDepartment during the preceding 4 complete calendar quarters (excluding the month of highest liability and themonth of lowest liability) is less than $9,000, or until such taxpayer's average monthly liability to the Department as computed for each calendar quarter of the 4 preceding complete calendar quarter period is less than $10,000.However, if a taxpayer can show the Department that a substantial change in the taxpayer's business has occurred which causes the taxpayer to anticipate that his average monthly tax liability for the reasonably foreseeable futurewill fall below the $10,000 threshold stated above, then such taxpayer may petition the Department for change insuch taxpayer's reporting status. On and after October 1, 2000, once applicable, the requirement of the making ofquarter monthly payments to the Department shall continue until such taxpayer's average monthly liability to theDepartment during the preceding 4 complete calendar quarters (excluding the month of highest liability and themonth of lowest liability) is less than $19,000 or until such taxpayer's average monthly liability to the Departmentas computed for each calendar quarter of the 4 preceding complete calendar quarter period is less than $20,000. However, if a taxpayer can show the Department that a substantial change in the taxpayer's business has occurredwhich causes the taxpayer to anticipate that his average monthly tax liability for the reasonably foreseeable future will fall below the $20,000 threshold stated above, then such taxpayer may petition the Department for a change insuch taxpayer's reporting status. The Department shall change such taxpayer's reporting status unless it finds thatsuch change is seasonal in nature and not likely to be long term. If any such quarter monthly payment is not paid atthe time or in the amount required by this Section, then the taxpayer shall be liable for penalties and interest on thedifference between the minimum amount due and the amount of such quarter monthly payment actually and timelypaid, except insofar as the taxpayer has previously made payments for that month to the Department in excess ofthe minimum payments previously due as provided in this Section. The Department shall make reasonable rules and regulations to govern the quarter monthly payment amount and quarter monthly payment dates for taxpayerswho file on other than a calendar monthly basis. If any such payment provided for in this Section exceeds the taxpayer's liabilities under this Act, the Retailers'Occupation Tax Act, the Service Occupation Tax Act and the Service Use Tax Act, as shown by an originalmonthly return, the Department shall issue to the taxpayer a credit memorandum no later than 30 days after the date of payment, which memorandum may be submitted by the taxpayer to the Department in payment of tax liabilitysubsequently to be remitted by the taxpayer to the Department or be assigned by the taxpayer to a similar taxpayer under this Act, the Retailers' Occupation Tax Act, the Service Occupation Tax Act or the Service Use Tax Act, inaccordance with reasonable rules and regulations to be prescribed by the Department, except that if such excesspayment is shown on an original monthly return and is made after December 31, 1986, no credit memorandumshall be issued, unless requested by the taxpayer. If no such request is made, the taxpayer may credit such excesspayment against tax liability subsequently to be remitted by the taxpayer to the Department under this Act, the Retailers' Occupation Tax Act, the Service Occupation Tax Act or the Service Use Tax Act, in accordance withreasonable rules and regulations prescribed by the Department. If the Department subsequently determines that all or any part of the credit taken was not actually due to the taxpayer, the taxpayer's 2.1% or 1.75% vendor's discountshall be reduced by 2.1% or 1.75% of the difference between the credit taken and that actually due, and thetaxpayer shall be liable for penalties and interest on such difference. If the retailer is otherwise required to file a monthly return and if the retailer's average monthly tax liability to the

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[May 20, 2009] 282 Department does not exceed $200, the Department may authorize his returns to be filed on a quarter annual basis, with the return for January, February, and March of a given year being due by April 20 of such year; with the returnfor April, May and June of a given year being due by July 20 of such year; with the return for July, August and September of a given year being due by October 20 of such year, and with the return for October, November andDecember of a given year being due by January 20 of the following year. If the retailer is otherwise required to file a monthly or quarterly return and if the retailer's average monthly taxliability to the Department does not exceed $50, the Department may authorize his returns to be filed on an annualbasis, with the return for a given year being due by January 20 of the following year. Such quarter annual and annual returns, as to form and substance, shall be subject to the same requirements asmonthly returns. Notwithstanding any other provision in this Act concerning the time within which a retailer may file his return, in the case of any retailer who ceases to engage in a kind of business which makes him responsible for filing returnsunder this Act, such retailer shall file a final return under this Act with the Department not more than one monthafter discontinuing such business. In addition, with respect to motor vehicles, watercraft, aircraft, and trailers that are required to be registered withan agency of this State, every retailer selling this kind of tangible personal property shall file, with the Department, upon a form to be prescribed and supplied by the Department, a separate return for each such item of tangiblepersonal property which the retailer sells, except that if, in the same transaction, (i) a retailer of aircraft, watercraft,motor vehicles or trailers transfers more than one aircraft, watercraft, motor vehicle or trailer to another aircraft,watercraft, motor vehicle or trailer retailer for the purpose of resale or (ii) a retailer of aircraft, watercraft, motorvehicles, or trailers transfers more than one aircraft, watercraft, motor vehicle, or trailer to a purchaser for use as aqualifying rolling stock as provided in Section 3-55 of this Act, then that seller may report the transfer of all theaircraft, watercraft, motor vehicles or trailers involved in that transaction to the Department on the same uniforminvoice-transaction reporting return form. For purposes of this Section, "watercraft" means a Class 2, Class 3, orClass 4 watercraft as defined in Section 3-2 of the Boat Registration and Safety Act, a personal watercraft, or any boat equipped with an inboard motor. The transaction reporting return in the case of motor vehicles or trailers that are required to be registered with anagency of this State, shall be the same document as the Uniform Invoice referred to in Section 5-402 of the Illinois Vehicle Code and must show the name and address of the seller; the name and address of the purchaser; the amountof the selling price including the amount allowed by the retailer for traded-in property, if any; the amount allowed by the retailer for the traded-in tangible personal property, if any, to the extent to which Section 2 of this Act allowsan exemption for the value of traded-in property; the balance payable after deducting such trade-in allowance from the total selling price; the amount of tax due from the retailer with respect to such transaction; the amount of taxcollected from the purchaser by the retailer on such transaction (or satisfactory evidence that such tax is not due in that particular instance, if that is claimed to be the fact); the place and date of the sale; a sufficient identification ofthe property sold; such other information as is required in Section 5-402 of the Illinois Vehicle Code, and such other information as the Department may reasonably require. The transaction reporting return in the case of watercraft and aircraft must show the name and address of theseller; the name and address of the purchaser; the amount of the selling price including the amount allowed by the retailer for traded-in property, if any; the amount allowed by the retailer for the traded-in tangible personal property, if any, to the extent to which Section 2 of this Act allows an exemption for the value of traded-in property; the balance payable after deducting such trade-in allowance from the total selling price; the amount of tax due from the retailer with respect to such transaction; the amount of tax collected from the purchaser by the retaileron such transaction (or satisfactory evidence that such tax is not due in that particular instance, if that is claimed tobe the fact); the place and date of the sale, a sufficient identification of the property sold, and such otherinformation as the Department may reasonably require. Such transaction reporting return shall be filed not later than 20 days after the date of delivery of the item that isbeing sold, but may be filed by the retailer at any time sooner than that if he chooses to do so. The transactionreporting return and tax remittance or proof of exemption from the tax that is imposed by this Act may betransmitted to the Department by way of the State agency with which, or State officer with whom, the tangiblepersonal property must be titled or registered (if titling or registration is required) if the Department and such agency or State officer determine that this procedure will expedite the processing of applications for title orregistration. With each such transaction reporting return, the retailer shall remit the proper amount of tax due (or shall submit satisfactory evidence that the sale is not taxable if that is the case), to the Department or its agents, whereupon theDepartment shall issue, in the purchaser's name, a tax receipt (or a certificate of exemption if the Department is satisfied that the particular sale is tax exempt) which such purchaser may submit to the agency with which, or State

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283 [May 20, 2009] officer with whom, he must title or register the tangible personal property that is involved (if titling or registration is required) in support of such purchaser's application for an Illinois certificate or other evidence of title orregistration to such tangible personal property. No retailer's failure or refusal to remit tax under this Act precludes a user, who has paid the proper tax to the retailer, from obtaining his certificate of title or other evidence of title or registration (if titling or registration isrequired) upon satisfying the Department that such user has paid the proper tax (if tax is due) to the retailer. The Department shall adopt appropriate rules to carry out the mandate of this paragraph. If the user who would otherwise pay tax to the retailer wants the transaction reporting return filed and thepayment of tax or proof of exemption made to the Department before the retailer is willing to take these actions andsuch user has not paid the tax to the retailer, such user may certify to the fact of such delay by the retailer, and may(upon the Department being satisfied of the truth of such certification) transmit the information required by the transaction reporting return and the remittance for tax or proof of exemption directly to the Department and obtainhis tax receipt or exemption determination, in which event the transaction reporting return and tax remittance (if a tax payment was required) shall be credited by the Department to the proper retailer's account with the Department,but without the 2.1% or 1.75% discount provided for in this Section being allowed. When the user pays the tax directly to the Department, he shall pay the tax in the same amount and in the same form in which it would beremitted if the tax had been remitted to the Department by the retailer. Where a retailer collects the tax with respect to the selling price of tangible personal property which he sells and the purchaser thereafter returns such tangible personal property and the retailer refunds the selling price thereof tothe purchaser, such retailer shall also refund, to the purchaser, the tax so collected from the purchaser. When filing his return for the period in which he refunds such tax to the purchaser, the retailer may deduct the amount of the taxso refunded by him to the purchaser from any other use tax which such retailer may be required to pay or remit to the Department, as shown by such return, if the amount of the tax to be deducted was previously remitted to theDepartment by such retailer. If the retailer has not previously remitted the amount of such tax to the Department, heis entitled to no deduction under this Act upon refunding such tax to the purchaser. Any retailer filing a return under this Section shall also include (for the purpose of paying tax thereon) the totaltax covered by such return upon the selling price of tangible personal property purchased by him at retail from a retailer, but as to which the tax imposed by this Act was not collected from the retailer filing such return, and suchretailer shall remit the amount of such tax to the Department when filing such return. If experience indicates such action to be practicable, the Department may prescribe and furnish a combination orjoint return which will enable retailers, who are required to file returns hereunder and also under the Retailers'Occupation Tax Act, to furnish all the return information required by both Acts on the one form. Where the retailer has more than one business registered with the Department under separate registration underthis Act, such retailer may not file each return that is due as a single return covering all such registered businesses, but shall file separate returns for each such registered business. Beginning January 1, 1990, each month the Department shall pay into the State and Local Sales Tax ReformFund, a special fund in the State Treasury which is hereby created, the net revenue realized for the preceding monthfrom the 1% tax on sales of food for human consumption which is to be consumed off the premises where it is sold(other than alcoholic beverages, soft drinks and food which has been prepared for immediate consumption) andprescription and nonprescription medicines, drugs, medical appliances and insulin, urine testing materials, syringesand needles used by diabetics. Beginning January 1, 1990, each month the Department shall pay into the County and Mass Transit District Fund4% of the net revenue realized for the preceding month from the 6.25% general rate on the selling price of tangiblepersonal property which is purchased outside Illinois at retail from a retailer and which is titled or registered by an agency of this State's government. Beginning January 1, 1990, each month the Department shall pay into the State and Local Sales Tax ReformFund, a special fund in the State Treasury, 20% of the net revenue realized for the preceding month from the 6.25% general rate on the selling price of tangible personal property, other than tangible personal property which ispurchased outside Illinois at retail from a retailer and which is titled or registered by an agency of this State's government. Beginning August 1, 2000, each month the Department shall pay into the State and Local Sales Tax ReformFund 100% of the net revenue realized for the preceding month from the 1.25% rate on the selling price of motorfuel and gasohol. Beginning January 1, 1990, each month the Department shall pay into the Local Government Tax Fund 16% ofthe net revenue realized for the preceding month from the 6.25% general rate on the selling price of tangiblepersonal property which is purchased outside Illinois at retail from a retailer and which is titled or registered by anagency of this State's government.

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[May 20, 2009] 284 Beginning September 1, 2009, each month the Department shall pay into the Capital Projects Fund an amountthat is equal to an amount estimated by the Department to represent 80% of the net revenue realized for thepreceding month from the sale of candy, grooming and hygiene products, and soft drinks that had been taxed at arate of 1% prior to August 1, 2009 but that is now taxed at 6.25%. Of the remainder of the moneys received by the Department pursuant to this Act, (a) 1.75% thereof shall be paidinto the Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and on and after July 1, 1989, 3.8% thereof shall be paid into the Build Illinois Fund; provided, however, that if in any fiscal year the sum of (1) the aggregate of 2.2%or 3.8%, as the case may be, of the moneys received by the Department and required to be paid into the BuildIllinois Fund pursuant to Section 3 of the Retailers' Occupation Tax Act, Section 9 of the Use Tax Act, Section 9 ofthe Service Use Tax Act, and Section 9 of the Service Occupation Tax Act, such Acts being hereinafter called the"Tax Acts" and such aggregate of 2.2% or 3.8%, as the case may be, of moneys being hereinafter called the "Tax Act Amount", and (2) the amount transferred to the Build Illinois Fund from the State and Local Sales Tax ReformFund shall be less than the Annual Specified Amount (as defined in Section 3 of the Retailers' Occupation Tax Act), an amount equal to the difference shall be immediately paid into the Build Illinois Fund from other moneysreceived by the Department pursuant to the Tax Acts; and further provided, that if on the last business day of anymonth the sum of (1) the Tax Act Amount required to be deposited into the Build Illinois Bond Account in theBuild Illinois Fund during such month and (2) the amount transferred during such month to the Build Illinois Fundfrom the State and Local Sales Tax Reform Fund shall have been less than 1/12 of the Annual Specified Amount,an amount equal to the difference shall be immediately paid into the Build Illinois Fund from other moneysreceived by the Department pursuant to the Tax Acts; and, further provided, that in no event shall the payments required under the preceding proviso result in aggregate payments into the Build Illinois Fund pursuant to thisclause (b) for any fiscal year in excess of the greater of (i) the Tax Act Amount or (ii) the Annual Specified Amount for such fiscal year; and, further provided, that the amounts payable into the Build Illinois Fund under thisclause (b) shall be payable only until such time as the aggregate amount on deposit under each trust indenturesecuring Bonds issued and outstanding pursuant to the Build Illinois Bond Act is sufficient, taking into account anyfuture investment income, to fully provide, in accordance with such indenture, for the defeasance of or the paymentof the principal of, premium, if any, and interest on the Bonds secured by such indenture and on any Bondsexpected to be issued thereafter and all fees and costs payable with respect thereto, all as certified by the Director ofthe Bureau of the Budget (now Governor's Office of Management and Budget). If on the last business day of any month in which Bonds are outstanding pursuant to the Build Illinois Bond Act, the aggregate of the moneysdeposited in the Build Illinois Bond Account in the Build Illinois Fund in such month shall be less than the amount required to be transferred in such month from the Build Illinois Bond Account to the Build Illinois BondRetirement and Interest Fund pursuant to Section 13 of the Build Illinois Bond Act, an amount equal to suchdeficiency shall be immediately paid from other moneys received by the Department pursuant to the Tax Acts tothe Build Illinois Fund; provided, however, that any amounts paid to the Build Illinois Fund in any fiscal yearpursuant to this sentence shall be deemed to constitute payments pursuant to clause (b) of the preceding sentence and shall reduce the amount otherwise payable for such fiscal year pursuant to clause (b) of the preceding sentence.The moneys received by the Department pursuant to this Act and required to be deposited into the Build Illinois Fund are subject to the pledge, claim and charge set forth in Section 12 of the Build Illinois Bond Act. Subject to payment of amounts into the Build Illinois Fund as provided in the preceding paragraph or in anyamendment thereto hereafter enacted, the following specified monthly installment of the amount requested in thecertificate of the Chairman of the Metropolitan Pier and Exposition Authority provided under Section 8.25f of theState Finance Act, but not in excess of the sums designated as "Total Deposit", shall be deposited in the aggregate from collections under Section 9 of the Use Tax Act, Section 9 of the Service Use Tax Act, Section 9 of the ServiceOccupation Tax Act, and Section 3 of the Retailers' Occupation Tax Act into the McCormick Place Expansion Project Fund in the specified fiscal years.

Fiscal Year Total Deposit1993 $01994 53,000,0001995 58,000,0001996 61,000,0001997 64,000,0001998 68,000,0001999 71,000,0002000 75,000,0002001 80,000,0002002 93,000,000

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285 [May 20, 2009]

2003 99,000,0002004 103,000,0002005 108,000,0002006 113,000,0002007 119,000,0002008 126,000,0002009 132,000,0002010 139,000,0002011 146,000,0002012 153,000,0002013 161,000,0002014 170,000,0002015 179,000,0002016 189,000,0002017 199,000,0002018 210,000,0002019 221,000,0002020 233,000,0002021 246,000,0002022 260,000,000

2023 and 275,000,000each fiscal year

thereafter that bonds are outstanding under

Section 13.2 of the Metropolitan Pier and

Exposition Authority Act, but not after fiscal year 2042.

Beginning July 20, 1993 and in each month of each fiscal year thereafter, one-eighth of the amount requested in the certificate of the Chairman of the Metropolitan Pier and Exposition Authority for that fiscal year, less theamount deposited into the McCormick Place Expansion Project Fund by the State Treasurer in the respective monthunder subsection (g) of Section 13 of the Metropolitan Pier and Exposition Authority Act, plus cumulative deficiencies in the deposits required under this Section for previous months and years, shall be deposited into theMcCormick Place Expansion Project Fund, until the full amount requested for the fiscal year, but not in excess of the amount specified above as "Total Deposit", has been deposited. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fundpursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning July 1, 1993, the Department shall each month pay into the Illinois Tax Increment Fund 0.27% of 80% of the net revenue realizedfor the preceding month from the 6.25% general rate on the selling price of tangible personal property. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fundpursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning with the receipt ofthe first report of taxes paid by an eligible business and continuing for a 25-year period, the Department shall each month pay into the Energy Infrastructure Fund 80% of the net revenue realized from the 6.25% general rate on theselling price of Illinois-mined coal that was sold to an eligible business. For purposes of this paragraph, the term"eligible business" means a new electric generating facility certified pursuant to Section 605-332 of the Department of Commerce and Economic Opportunity Law of the Civil Administrative Code of Illinois. Of the remainder of the moneys received by the Department pursuant to this Act, 75% thereof shall be paid intothe State Treasury and 25% shall be reserved in a special account and used only for the transfer to the CommonSchool Fund as part of the monthly transfer from the General Revenue Fund in accordance with Section 8a of theState Finance Act. As soon as possible after the first day of each month, upon certification of the Department of Revenue, theComptroller shall order transferred and the Treasurer shall transfer from the General Revenue Fund to the MotorFuel Tax Fund an amount equal to 1.7% of 80% of the net revenue realized under this Act for the second precedingmonth. Beginning April 1, 2000, this transfer is no longer required and shall not be made. Net revenue realized for a month shall be the revenue collected by the State pursuant to this Act, less the amountpaid out during that month as refunds to taxpayers for overpayment of liability. For greater simplicity of administration, manufacturers, importers and wholesalers whose products are sold at

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[May 20, 2009] 286 retail in Illinois by numerous retailers, and who wish to do so, may assume the responsibility for accounting andpaying to the Department all tax accruing under this Act with respect to such sales, if the retailers who are affecteddo not make written objection to the Department to this arrangement. (Source: P.A. 94-793, eff. 5-19-06; 94-1074, eff. 12-26-06.) Section 915. The Service Use Tax Act is amended by changing Sections 3-10 and 9 as follows: (35 ILCS 110/3-10) (from Ch. 120, par. 439.33-10) Sec. 3-10. Rate of tax. Unless otherwise provided in this Section, the tax imposed by this Act is at the rate of6.25% of the selling price of tangible personal property transferred as an incident to the sale of service, but, for thepurpose of computing this tax, in no event shall the selling price be less than the cost price of the property to theserviceman. Beginning on July 1, 2000 and through December 31, 2000, with respect to motor fuel, as defined in Section 1.1of the Motor Fuel Tax Law, and gasohol, as defined in Section 3-40 of the Use Tax Act, the tax is imposed at the rate of 1.25%. With respect to gasohol, as defined in the Use Tax Act, the tax imposed by this Act applies to (i) 70% of the selling price of property transferred as an incident to the sale of service on or after January 1, 1990, and before July1, 2003, (ii) 80% of the selling price of property transferred as an incident to the sale of service on or after July 1, 2003 and on or before December 31, 2013, and (iii) 100% of the selling price thereafter. If, at any time, however,the tax under this Act on sales of gasohol, as defined in the Use Tax Act, is imposed at the rate of 1.25%, then the tax imposed by this Act applies to 100% of the proceeds of sales of gasohol made during that time. With respect to majority blended ethanol fuel, as defined in the Use Tax Act, the tax imposed by this Act doesnot apply to the selling price of property transferred as an incident to the sale of service on or after July 1, 2003 andon or before December 31, 2013 but applies to 100% of the selling price thereafter. With respect to biodiesel blends, as defined in the Use Tax Act, with no less than 1% and no more than 10% biodiesel, the tax imposed by this Act applies to (i) 80% of the selling price of property transferred as an incident tothe sale of service on or after July 1, 2003 and on or before December 31, 2013 and (ii) 100% of the proceeds of the selling price thereafter. If, at any time, however, the tax under this Act on sales of biodiesel blends, as defined inthe Use Tax Act, with no less than 1% and no more than 10% biodiesel is imposed at the rate of 1.25%, then the taximposed by this Act applies to 100% of the proceeds of sales of biodiesel blends with no less than 1% and no morethan 10% biodiesel made during that time. With respect to 100% biodiesel, as defined in the Use Tax Act, and biodiesel blends, as defined in the Use Tax Act, with more than 10% but no more than 99% biodiesel, the tax imposed by this Act does not apply to theproceeds of the selling price of property transferred as an incident to the sale of service on or after July 1, 2003 andon or before December 31, 2013 but applies to 100% of the selling price thereafter. At the election of any registered serviceman made for each fiscal year, sales of service in which the aggregateannual cost price of tangible personal property transferred as an incident to the sales of service is less than 35%, or 75% in the case of servicemen transferring prescription drugs or servicemen engaged in graphic arts production, ofthe aggregate annual total gross receipts from all sales of service, the tax imposed by this Act shall be based on the serviceman's cost price of the tangible personal property transferred as an incident to the sale of those services. The tax shall be imposed at the rate of 1% on food prepared for immediate consumption and transferred incident to a sale of service subject to this Act or the Service Occupation Tax Act by an entity licensed under the HospitalLicensing Act, the Nursing Home Care Act, or the Child Care Act of 1969. The tax shall also be imposed at the rateof 1% on food for human consumption that is to be consumed off the premises where it is sold (other than alcoholicbeverages, soft drinks, and food that has been prepared for immediate consumption and is not otherwise included inthis paragraph) and prescription and nonprescription medicines, drugs, medical appliances, modifications to amotor vehicle for the purpose of rendering it usable by a disabled person, and insulin, urine testing materials,syringes, and needles used by diabetics, for human use. For the purposes of this Section, until August 1, 2009: the term "soft drinks" means any complete, finished, ready-to-use, non-alcoholic drink, whether carbonated or not, including but not limited to soda water, cola, fruit juice, vegetable juice, carbonated water, and all otherpreparations commonly known as soft drinks of whatever kind or description that are contained in any closed orsealed bottle, can, carton, or container, regardless of size; but "soft . "Soft drinks" does not include coffee, tea, non-carbonated water, infant formula, milk or milk products as defined in the Grade A Pasteurized Milk and MilkProducts Act, or drinks containing 50% or more natural fruit or vegetable juice. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "soft drinks" mean non-alcoholic beverages that contain natural or artificial sweeteners. "Soft drinks" do not include beverages that contain milk ormilk products, soy, rice or similar milk substitutes, or greater than 50% of vegetable or fruit juice by volume. Notwithstanding any other provisions of this Act, "food for human consumption that is to be consumed off thepremises where it is sold" includes all food sold through a vending machine, except soft drinks, candy, and food

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287 [May 20, 2009] products that are dispensed hot from a vending machine, regardless of the location of the vending machine. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "food for human consumption thatis to be consumed off the premises where it is sold" does not include candy. For purposes of this Section, "candy" means a preparation of sugar, honey, or other natural or artificial sweeteners in combination with chocolate, fruits,nuts or other ingredients or flavorings in the form of bars, drops, or pieces. "Candy" does not include any preparation that contains flour or requires refrigeration. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "nonprescription medicines anddrugs" does not include grooming and hygiene products. For purposes of this Section, "grooming and hygiene products" includes, but is not limited to, soaps and cleaning solutions, shampoo, toothpaste, mouthwash,antiperspirants, and sun tan lotions and screens, unless those products are available by prescription only, regardless of whether the products meet the definition of "over-the-counter-drugs". For the purposes of this paragraph, "over-the-counter-drug" means a drug for human use that contains a label that identifies the product as a drug asrequired by 21 C.F.R. § 201.66. The "over-the-counter-drug" label includes: (A) A "Drug Facts" panel; or (B) A statement of the "active ingredient(s)" with a list of those ingredients contained in the compound,substance or preparation. If the property that is acquired from a serviceman is acquired outside Illinois and used outside Illinois beforebeing brought to Illinois for use here and is taxable under this Act, the "selling price" on which the tax is computedshall be reduced by an amount that represents a reasonable allowance for depreciation for the period of priorout-of-state use. (Source: P.A. 93-17, eff. 6-11-03.) (35 ILCS 110/9) (from Ch. 120, par. 439.39) Sec. 9. Each serviceman required or authorized to collect the tax herein imposed shall pay to the Department the amount of such tax (except as otherwise provided) at the time when he is required to file his return for the periodduring which such tax was collected, less a discount of 2.1% prior to January 1, 1990 and 1.75% on and afterJanuary 1, 1990, or $5 per calendar year, whichever is greater, which is allowed to reimburse the serviceman forexpenses incurred in collecting the tax, keeping records, preparing and filing returns, remitting the tax andsupplying data to the Department on request. A serviceman need not remit that part of any tax collected by him tothe extent that he is required to pay and does pay the tax imposed by the Service Occupation Tax Act with respectto his sale of service involving the incidental transfer by him of the same property. Except as provided hereinafter in this Section, on or before the twentieth day of each calendar month, suchserviceman shall file a return for the preceding calendar month in accordance with reasonable Rules andRegulations to be promulgated by the Department. Such return shall be filed on a form prescribed by theDepartment and shall contain such information as the Department may reasonably require. The Department may require returns to be filed on a quarterly basis. If so required, a return for each calendar quarter shall be filed on or before the twentieth day of the calendar month following the end of such calendarquarter. The taxpayer shall also file a return with the Department for each of the first two months of each calendar quarter, on or before the twentieth day of the following calendar month, stating: 1. The name of the seller; 2. The address of the principal place of business from which he engages in business as a serviceman in this State; 3. The total amount of taxable receipts received by him during the preceding calendar month, including receipts from charge and time sales, but less all deductions allowed by law; 4. The amount of credit provided in Section 2d of this Act; 5. The amount of tax due; 5-5. The signature of the taxpayer; and 6. Such other reasonable information as the Department may require. If a taxpayer fails to sign a return within 30 days after the proper notice and demand for signature by the Department, the return shall be considered valid and any amount shown to be due on the return shall be deemedassessed. Beginning October 1, 1993, a taxpayer who has an average monthly tax liability of $150,000 or more shall make all payments required by rules of the Department by electronic funds transfer. Beginning October 1, 1994, ataxpayer who has an average monthly tax liability of $100,000 or more shall make all payments required by rulesof the Department by electronic funds transfer. Beginning October 1, 1995, a taxpayer who has an average monthlytax liability of $50,000 or more shall make all payments required by rules of the Department by electronic fundstransfer. Beginning October 1, 2000, a taxpayer who has an annual tax liability of $200,000 or more shall make all payments required by rules of the Department by electronic funds transfer. The term "annual tax liability" shall be

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[May 20, 2009] 288 the sum of the taxpayer's liabilities under this Act, and under all other State and local occupation and use tax laws administered by the Department, for the immediately preceding calendar year. The term "average monthly taxliability" means the sum of the taxpayer's liabilities under this Act, and under all other State and local occupation and use tax laws administered by the Department, for the immediately preceding calendar year divided by 12.Beginning on October 1, 2002, a taxpayer who has a tax liability in the amount set forth in subsection (b) of Section2505-210 of the Department of Revenue Law shall make all payments required by rules of the Department byelectronic funds transfer. Before August 1 of each year beginning in 1993, the Department shall notify all taxpayers required to makepayments by electronic funds transfer. All taxpayers required to make payments by electronic funds transfer shallmake those payments for a minimum of one year beginning on October 1. Any taxpayer not required to make payments by electronic funds transfer may make payments by electronicfunds transfer with the permission of the Department. All taxpayers required to make payment by electronic funds transfer and any taxpayers authorized to voluntarilymake payments by electronic funds transfer shall make those payments in the manner authorized by the Department. The Department shall adopt such rules as are necessary to effectuate a program of electronic funds transfer andthe requirements of this Section. If the serviceman is otherwise required to file a monthly return and if the serviceman's average monthly tax liability to the Department does not exceed $200, the Department may authorize his returns to be filed on a quarterannual basis, with the return for January, February and March of a given year being due by April 20 of such year; with the return for April, May and June of a given year being due by July 20 of such year; with the return for July,August and September of a given year being due by October 20 of such year, and with the return for October,November and December of a given year being due by January 20 of the following year. If the serviceman is otherwise required to file a monthly or quarterly return and if the serviceman's averagemonthly tax liability to the Department does not exceed $50, the Department may authorize his returns to be filed on an annual basis, with the return for a given year being due by January 20 of the following year. Such quarter annual and annual returns, as to form and substance, shall be subject to the same requirements asmonthly returns. Notwithstanding any other provision in this Act concerning the time within which a serviceman may file hisreturn, in the case of any serviceman who ceases to engage in a kind of business which makes him responsible forfiling returns under this Act, such serviceman shall file a final return under this Act with the Department not morethan 1 month after discontinuing such business. Where a serviceman collects the tax with respect to the selling price of property which he sells and the purchaser thereafter returns such property and the serviceman refunds the selling price thereof to the purchaser, suchserviceman shall also refund, to the purchaser, the tax so collected from the purchaser. When filing his return forthe period in which he refunds such tax to the purchaser, the serviceman may deduct the amount of the tax sorefunded by him to the purchaser from any other Service Use Tax, Service Occupation Tax, retailers' occupationtax or use tax which such serviceman may be required to pay or remit to the Department, as shown by such return, provided that the amount of the tax to be deducted shall previously have been remitted to the Department by suchserviceman. If the serviceman shall not previously have remitted the amount of such tax to the Department, he shall be entitled to no deduction hereunder upon refunding such tax to the purchaser. Any serviceman filing a return hereunder shall also include the total tax upon the selling price of tangiblepersonal property purchased for use by him as an incident to a sale of service, and such serviceman shall remit theamount of such tax to the Department when filing such return. If experience indicates such action to be practicable, the Department may prescribe and furnish a combination or joint return which will enable servicemen, who are required to file returns hereunder and also under the ServiceOccupation Tax Act, to furnish all the return information required by both Acts on the one form. Where the serviceman has more than one business registered with the Department under separate registrationhereunder, such serviceman shall not file each return that is due as a single return covering all such registeredbusinesses, but shall file separate returns for each such registered business. Beginning January 1, 1990, each month the Department shall pay into the State and Local Tax Reform Fund, aspecial fund in the State Treasury, the net revenue realized for the preceding month from the 1% tax on sales offood for human consumption which is to be consumed off the premises where it is sold (other than alcoholicbeverages, soft drinks and food which has been prepared for immediate consumption) and prescription andnonprescription medicines, drugs, medical appliances and insulin, urine testing materials, syringes and needles used by diabetics. Beginning January 1, 1990, each month the Department shall pay into the State and Local Sales Tax Reform

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289 [May 20, 2009] Fund 20% of the net revenue realized for the preceding month from the 6.25% general rate on transfers of tangible personal property, other than tangible personal property which is purchased outside Illinois at retail from a retailerand which is titled or registered by an agency of this State's government. Beginning August 1, 2000, each month the Department shall pay into the State and Local Sales Tax ReformFund 100% of the net revenue realized for the preceding month from the 1.25% rate on the selling price of motorfuel and gasohol. Beginning September 1, 2009, each month the Department shall pay into the Capital Projects Fund an amountthat is equal to an amount estimated by the Department to represent 80% of the net revenue realized for thepreceding month from the sale of candy, grooming and hygiene products, and soft drinks that had been taxed at a rate of 1% prior to August 1, 2009 but that is now taxed at 6.25%. Of the remainder of the moneys received by the Department pursuant to this Act, (a) 1.75% thereof shall be paidinto the Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and on and after July 1, 1989, 3.8% thereof shall bepaid into the Build Illinois Fund; provided, however, that if in any fiscal year the sum of (1) the aggregate of 2.2%or 3.8%, as the case may be, of the moneys received by the Department and required to be paid into the Build Illinois Fund pursuant to Section 3 of the Retailers' Occupation Tax Act, Section 9 of the Use Tax Act, Section 9 ofthe Service Use Tax Act, and Section 9 of the Service Occupation Tax Act, such Acts being hereinafter called the "Tax Acts" and such aggregate of 2.2% or 3.8%, as the case may be, of moneys being hereinafter called the "TaxAct Amount", and (2) the amount transferred to the Build Illinois Fund from the State and Local Sales Tax ReformFund shall be less than the Annual Specified Amount (as defined in Section 3 of the Retailers' Occupation TaxAct), an amount equal to the difference shall be immediately paid into the Build Illinois Fund from other moneysreceived by the Department pursuant to the Tax Acts; and further provided, that if on the last business day of anymonth the sum of (1) the Tax Act Amount required to be deposited into the Build Illinois Bond Account in theBuild Illinois Fund during such month and (2) the amount transferred during such month to the Build Illinois Fund from the State and Local Sales Tax Reform Fund shall have been less than 1/12 of the Annual Specified Amount,an amount equal to the difference shall be immediately paid into the Build Illinois Fund from other moneys received by the Department pursuant to the Tax Acts; and, further provided, that in no event shall the paymentsrequired under the preceding proviso result in aggregate payments into the Build Illinois Fund pursuant to thisclause (b) for any fiscal year in excess of the greater of (i) the Tax Act Amount or (ii) the Annual SpecifiedAmount for such fiscal year; and, further provided, that the amounts payable into the Build Illinois Fund under thisclause (b) shall be payable only until such time as the aggregate amount on deposit under each trust indenture securing Bonds issued and outstanding pursuant to the Build Illinois Bond Act is sufficient, taking into account anyfuture investment income, to fully provide, in accordance with such indenture, for the defeasance of or the payment of the principal of, premium, if any, and interest on the Bonds secured by such indenture and on any Bondsexpected to be issued thereafter and all fees and costs payable with respect thereto, all as certified by the Director of the Bureau of the Budget (now Governor's Office of Management and Budget). If on the last business day of anymonth in which Bonds are outstanding pursuant to the Build Illinois Bond Act, the aggregate of the moneysdeposited in the Build Illinois Bond Account in the Build Illinois Fund in such month shall be less than the amountrequired to be transferred in such month from the Build Illinois Bond Account to the Build Illinois BondRetirement and Interest Fund pursuant to Section 13 of the Build Illinois Bond Act, an amount equal to such deficiency shall be immediately paid from other moneys received by the Department pursuant to the Tax Acts tothe Build Illinois Fund; provided, however, that any amounts paid to the Build Illinois Fund in any fiscal year pursuant to this sentence shall be deemed to constitute payments pursuant to clause (b) of the preceding sentenceand shall reduce the amount otherwise payable for such fiscal year pursuant to clause (b) of the preceding sentence.The moneys received by the Department pursuant to this Act and required to be deposited into the Build IllinoisFund are subject to the pledge, claim and charge set forth in Section 12 of the Build Illinois Bond Act. Subject to payment of amounts into the Build Illinois Fund as provided in the preceding paragraph or in any amendment thereto hereafter enacted, the following specified monthly installment of the amount requested in thecertificate of the Chairman of the Metropolitan Pier and Exposition Authority provided under Section 8.25f of the State Finance Act, but not in excess of the sums designated as "Total Deposit", shall be deposited in the aggregatefrom collections under Section 9 of the Use Tax Act, Section 9 of the Service Use Tax Act, Section 9 of the ServiceOccupation Tax Act, and Section 3 of the Retailers' Occupation Tax Act into the McCormick Place ExpansionProject Fund in the specified fiscal years.

Fiscal Year Total Deposit1993 $01994 53,000,0001995 58,000,0001996 61,000,000

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[May 20, 2009] 290

1997 64,000,0001998 68,000,0001999 71,000,0002000 75,000,0002001 80,000,0002002 93,000,0002003 99,000,0002004 103,000,0002005 108,000,0002006 113,000,0002007 119,000,0002008 126,000,0002009 132,000,0002010 139,000,0002011 146,000,0002012 153,000,0002013 161,000,0002014 170,000,0002015 179,000,0002016 189,000,0002017 199,000,0002018 210,000,0002019 221,000,0002020 233,000,0002021 246,000,0002022 260,000,000

2023 and 275,000,000each fiscal year

thereafter that bonds are outstanding under

Section 13.2 of the Metropolitan Pier and

Exposition Authority Act, but not after fiscal year 2042.

Beginning July 20, 1993 and in each month of each fiscal year thereafter, one-eighth of the amount requested in the certificate of the Chairman of the Metropolitan Pier and Exposition Authority for that fiscal year, less theamount deposited into the McCormick Place Expansion Project Fund by the State Treasurer in the respective month under subsection (g) of Section 13 of the Metropolitan Pier and Exposition Authority Act, plus cumulativedeficiencies in the deposits required under this Section for previous months and years, shall be deposited into theMcCormick Place Expansion Project Fund, until the full amount requested for the fiscal year, but not in excess ofthe amount specified above as "Total Deposit", has been deposited. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fund pursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning July 1, 1993, theDepartment shall each month pay into the Illinois Tax Increment Fund 0.27% of 80% of the net revenue realizedfor the preceding month from the 6.25% general rate on the selling price of tangible personal property. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fundpursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning with the receipt of the first report of taxes paid by an eligible business and continuing for a 25-year period, the Department shall each month pay into the Energy Infrastructure Fund 80% of the net revenue realized from the 6.25% general rate on the selling price of Illinois-mined coal that was sold to an eligible business. For purposes of this paragraph, the term"eligible business" means a new electric generating facility certified pursuant to Section 605-332 of the Departmentof Commerce and Economic Opportunity Law of the Civil Administrative Code of Illinois. All remaining moneys received by the Department pursuant to this Act shall be paid into the General RevenueFund of the State Treasury. As soon as possible after the first day of each month, upon certification of the Department of Revenue, theComptroller shall order transferred and the Treasurer shall transfer from the General Revenue Fund to the MotorFuel Tax Fund an amount equal to 1.7% of 80% of the net revenue realized under this Act for the second preceding

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291 [May 20, 2009] month. Beginning April 1, 2000, this transfer is no longer required and shall not be made. Net revenue realized for a month shall be the revenue collected by the State pursuant to this Act, less the amount paid out during that month as refunds to taxpayers for overpayment of liability. (Source: P.A. 94-793, eff. 5-19-06; 94-1074, eff. 12-26-06.) Section 920. The Service Occupation Tax Act is amended by changing Sections 3-10 and 9 as follows: (35 ILCS 115/3-10) (from Ch. 120, par. 439.103-10) Sec. 3-10. Rate of tax. Unless otherwise provided in this Section, the tax imposed by this Act is at the rate of6.25% of the "selling price", as defined in Section 2 of the Service Use Tax Act, of the tangible personal property. For the purpose of computing this tax, in no event shall the "selling price" be less than the cost price to theserviceman of the tangible personal property transferred. The selling price of each item of tangible personal property transferred as an incident of a sale of service may be shown as a distinct and separate item on theserviceman's billing to the service customer. If the selling price is not so shown, the selling price of the tangiblepersonal property is deemed to be 50% of the serviceman's entire billing to the service customer. When, however, aserviceman contracts to design, develop, and produce special order machinery or equipment, the tax imposed bythis Act shall be based on the serviceman's cost price of the tangible personal property transferred incident to the completion of the contract. Beginning on July 1, 2000 and through December 31, 2000, with respect to motor fuel, as defined in Section 1.1of the Motor Fuel Tax Law, and gasohol, as defined in Section 3-40 of the Use Tax Act, the tax is imposed at the rate of 1.25%. With respect to gasohol, as defined in the Use Tax Act, the tax imposed by this Act shall apply to (i) 70% of thecost price of property transferred as an incident to the sale of service on or after January 1, 1990, and before July 1, 2003, (ii) 80% of the selling price of property transferred as an incident to the sale of service on or after July 1,2003 and on or before December 31, 2013, and (iii) 100% of the cost price thereafter. If, at any time, however, the tax under this Act on sales of gasohol, as defined in the Use Tax Act, is imposed at the rate of 1.25%, then the taximposed by this Act applies to 100% of the proceeds of sales of gasohol made during that time. With respect to majority blended ethanol fuel, as defined in the Use Tax Act, the tax imposed by this Act doesnot apply to the selling price of property transferred as an incident to the sale of service on or after July 1, 2003 andon or before December 31, 2013 but applies to 100% of the selling price thereafter. With respect to biodiesel blends, as defined in the Use Tax Act, with no less than 1% and no more than 10%biodiesel, the tax imposed by this Act applies to (i) 80% of the selling price of property transferred as an incident to the sale of service on or after July 1, 2003 and on or before December 31, 2013 and (ii) 100% of the proceeds of theselling price thereafter. If, at any time, however, the tax under this Act on sales of biodiesel blends, as defined in the Use Tax Act, with no less than 1% and no more than 10% biodiesel is imposed at the rate of 1.25%, then the taximposed by this Act applies to 100% of the proceeds of sales of biodiesel blends with no less than 1% and no morethan 10% biodiesel made during that time. With respect to 100% biodiesel, as defined in the Use Tax Act, and biodiesel blends, as defined in the Use TaxAct, with more than 10% but no more than 99% biodiesel material, the tax imposed by this Act does not apply to the proceeds of the selling price of property transferred as an incident to the sale of service on or after July 1, 2003and on or before December 31, 2013 but applies to 100% of the selling price thereafter. At the election of any registered serviceman made for each fiscal year, sales of service in which the aggregateannual cost price of tangible personal property transferred as an incident to the sales of service is less than 35%, or75% in the case of servicemen transferring prescription drugs or servicemen engaged in graphic arts production, of the aggregate annual total gross receipts from all sales of service, the tax imposed by this Act shall be based on theserviceman's cost price of the tangible personal property transferred incident to the sale of those services. The tax shall be imposed at the rate of 1% on food prepared for immediate consumption and transferred incidentto a sale of service subject to this Act or the Service Occupation Tax Act by an entity licensed under the HospitalLicensing Act, the Nursing Home Care Act, or the Child Care Act of 1969. The tax shall also be imposed at the rateof 1% on food for human consumption that is to be consumed off the premises where it is sold (other than alcoholicbeverages, soft drinks, and food that has been prepared for immediate consumption and is not otherwise included inthis paragraph) and prescription and nonprescription medicines, drugs, medical appliances, modifications to amotor vehicle for the purpose of rendering it usable by a disabled person, and insulin, urine testing materials, syringes, and needles used by diabetics, for human use. For the purposes of this Section, until August 1, 2009: the term "soft drinks" means any complete, finished, ready-to-use, non-alcoholic drink, whether carbonated or not, including but not limited to soda water, cola, fruit juice, vegetable juice, carbonated water, and all otherpreparations commonly known as soft drinks of whatever kind or description that are contained in any closed orsealed can, carton, or container, regardless of size; but "soft . "Soft drinks" does not include coffee, tea, non-carbonated water, infant formula, milk or milk products as defined in the Grade A Pasteurized Milk and Milk

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[May 20, 2009] 292 Products Act, or drinks containing 50% or more natural fruit or vegetable juice. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "soft drinks" mean non-alcoholic beverages that contain natural or artificial sweeteners. "Soft drinks" do not include beverages that contain milk or milk products, soy, rice or similar milk substitutes, or greater than 50% of vegetable or fruit juice by volume. Notwithstanding any other provisions of this Act, "food for human consumption that is to be consumed off thepremises where it is sold" includes all food sold through a vending machine, except soft drinks, candy, and food products that are dispensed hot from a vending machine, regardless of the location of the vending machine. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "food for human consumption thatis to be consumed off the premises where it is sold" does not include candy. For purposes of this Section, "candy"means a preparation of sugar, honey, or other natural or artificial sweeteners in combination with chocolate, fruits, nuts or other ingredients or flavorings in the form of bars, drops, or pieces. "Candy" does not include anypreparation that contains flour or requires refrigeration. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "nonprescription medicines anddrugs" does not include grooming and hygiene products. For purposes of this Section, "grooming and hygieneproducts" includes, but is not limited to, soaps and cleaning solutions, shampoo, toothpaste, mouthwash, antiperspirants, and sun tan lotions and screens, unless those products are available by prescription only, regardlessof whether the products meet the definition of "over-the-counter-drugs". For the purposes of this paragraph, "over-the-counter-drug" means a drug for human use that contains a label that identifies the product as a drug asrequired by 21 C.F.R. § 201.66. The "over-the-counter-drug" label includes: (A) A "Drug Facts" panel; or (B) A statement of the "active ingredient(s)" with a list of those ingredients contained in the compound,substance or preparation. (Source: P.A. 93-17, eff. 6-11-03.) (35 ILCS 115/9) (from Ch. 120, par. 439.109) Sec. 9. Each serviceman required or authorized to collect the tax herein imposed shall pay to the Department the amount of such tax at the time when he is required to file his return for the period during which such tax wascollectible, less a discount of 2.1% prior to January 1, 1990, and 1.75% on and after January 1, 1990, or $5 per calendar year, whichever is greater, which is allowed to reimburse the serviceman for expenses incurred incollecting the tax, keeping records, preparing and filing returns, remitting the tax and supplying data to theDepartment on request. Where such tangible personal property is sold under a conditional sales contract, or under any other form of salewherein the payment of the principal sum, or a part thereof, is extended beyond the close of the period for whichthe return is filed, the serviceman, in collecting the tax may collect, for each tax return period, only the taxapplicable to the part of the selling price actually received during such tax return period. Except as provided hereinafter in this Section, on or before the twentieth day of each calendar month, such serviceman shall file a return for the preceding calendar month in accordance with reasonable rules and regulationsto be promulgated by the Department of Revenue. Such return shall be filed on a form prescribed by the Department and shall contain such information as the Department may reasonably require. The Department may require returns to be filed on a quarterly basis. If so required, a return for each calendarquarter shall be filed on or before the twentieth day of the calendar month following the end of such calendarquarter. The taxpayer shall also file a return with the Department for each of the first two months of each calendarquarter, on or before the twentieth day of the following calendar month, stating: 1. The name of the seller; 2. The address of the principal place of business from which he engages in business as a serviceman in this State; 3. The total amount of taxable receipts received by him during the preceding calendar month, including receipts from charge and time sales, but less all deductions allowed by law; 4. The amount of credit provided in Section 2d of this Act; 5. The amount of tax due; 5-5. The signature of the taxpayer; and 6. Such other reasonable information as the Department may require. If a taxpayer fails to sign a return within 30 days after the proper notice and demand for signature by theDepartment, the return shall be considered valid and any amount shown to be due on the return shall be deemedassessed. Prior to October 1, 2003, and on and after September 1, 2004 a serviceman may accept a Manufacturer'sPurchase Credit certification from a purchaser in satisfaction of Service Use Tax as provided in Section 3-70 of the Service Use Tax Act if the purchaser provides the appropriate documentation as required by Section 3-70 of the

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293 [May 20, 2009] Service Use Tax Act. A Manufacturer's Purchase Credit certification, accepted prior to October 1, 2003 or on or after September 1, 2004 by a serviceman as provided in Section 3-70 of the Service Use Tax Act, may be used by that serviceman to satisfy Service Occupation Tax liability in the amount claimed in the certification, not to exceed6.25% of the receipts subject to tax from a qualifying purchase. A Manufacturer's Purchase Credit reported on anyoriginal or amended return filed under this Act after October 20, 2003 for reporting periods prior to September 1,2004 shall be disallowed. Manufacturer's Purchase Credit reported on annual returns due on or after January 1,2005 will be disallowed for periods prior to September 1, 2004. No Manufacturer's Purchase Credit may be usedafter September 30, 2003 through August 31, 2004 to satisfy any tax liability imposed under this Act, including anyaudit liability. If the serviceman's average monthly tax liability to the Department does not exceed $200, the Department mayauthorize his returns to be filed on a quarter annual basis, with the return for January, February and March of a given year being due by April 20 of such year; with the return for April, May and June of a given year being due byJuly 20 of such year; with the return for July, August and September of a given year being due by October 20 ofsuch year, and with the return for October, November and December of a given year being due by January 20 of thefollowing year. If the serviceman's average monthly tax liability to the Department does not exceed $50, the Department mayauthorize his returns to be filed on an annual basis, with the return for a given year being due by January 20 of thefollowing year. Such quarter annual and annual returns, as to form and substance, shall be subject to the same requirements asmonthly returns. Notwithstanding any other provision in this Act concerning the time within which a serviceman may file hisreturn, in the case of any serviceman who ceases to engage in a kind of business which makes him responsible forfiling returns under this Act, such serviceman shall file a final return under this Act with the Department not morethan 1 month after discontinuing such business. Beginning October 1, 1993, a taxpayer who has an average monthly tax liability of $150,000 or more shall makeall payments required by rules of the Department by electronic funds transfer. Beginning October 1, 1994, ataxpayer who has an average monthly tax liability of $100,000 or more shall make all payments required by rulesof the Department by electronic funds transfer. Beginning October 1, 1995, a taxpayer who has an average monthlytax liability of $50,000 or more shall make all payments required by rules of the Department by electronic fundstransfer. Beginning October 1, 2000, a taxpayer who has an annual tax liability of $200,000 or more shall make all payments required by rules of the Department by electronic funds transfer. The term "annual tax liability" shall bethe sum of the taxpayer's liabilities under this Act, and under all other State and local occupation and use tax laws administered by the Department, for the immediately preceding calendar year. The term "average monthly taxliability" means the sum of the taxpayer's liabilities under this Act, and under all other State and local occupationand use tax laws administered by the Department, for the immediately preceding calendar year divided by 12.Beginning on October 1, 2002, a taxpayer who has a tax liability in the amount set forth in subsection (b) of Section2505-210 of the Department of Revenue Law shall make all payments required by rules of the Department by electronic funds transfer. Before August 1 of each year beginning in 1993, the Department shall notify all taxpayers required to makepayments by electronic funds transfer. All taxpayers required to make payments by electronic funds transfer shall make those payments for a minimum of one year beginning on October 1. Any taxpayer not required to make payments by electronic funds transfer may make payments by electronicfunds transfer with the permission of the Department. All taxpayers required to make payment by electronic funds transfer and any taxpayers authorized to voluntarilymake payments by electronic funds transfer shall make those payments in the manner authorized by theDepartment. The Department shall adopt such rules as are necessary to effectuate a program of electronic funds transfer andthe requirements of this Section. Where a serviceman collects the tax with respect to the selling price of tangible personal property which he sells and the purchaser thereafter returns such tangible personal property and the serviceman refunds the selling pricethereof to the purchaser, such serviceman shall also refund, to the purchaser, the tax so collected from thepurchaser. When filing his return for the period in which he refunds such tax to the purchaser, the serviceman maydeduct the amount of the tax so refunded by him to the purchaser from any other Service Occupation Tax, ServiceUse Tax, Retailers' Occupation Tax or Use Tax which such serviceman may be required to pay or remit to theDepartment, as shown by such return, provided that the amount of the tax to be deducted shall previously have beenremitted to the Department by such serviceman. If the serviceman shall not previously have remitted the amount of such tax to the Department, he shall be entitled to no deduction hereunder upon refunding such tax to the purchaser.

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[May 20, 2009] 294 If experience indicates such action to be practicable, the Department may prescribe and furnish a combination or joint return which will enable servicemen, who are required to file returns hereunder and also under the Retailers'Occupation Tax Act, the Use Tax Act or the Service Use Tax Act, to furnish all the return information required byall said Acts on the one form. Where the serviceman has more than one business registered with the Department under separate registrationshereunder, such serviceman shall file separate returns for each registered business. Beginning January 1, 1990, each month the Department shall pay into the Local Government Tax Fund therevenue realized for the preceding month from the 1% tax on sales of food for human consumption which is to beconsumed off the premises where it is sold (other than alcoholic beverages, soft drinks and food which has been prepared for immediate consumption) and prescription and nonprescription medicines, drugs, medical appliancesand insulin, urine testing materials, syringes and needles used by diabetics. Beginning January 1, 1990, each month the Department shall pay into the County and Mass Transit District Fund4% of the revenue realized for the preceding month from the 6.25% general rate. Beginning August 1, 2000, each month the Department shall pay into the County and Mass Transit District Fund 20% of the net revenue realized for the preceding month from the 1.25% rate on the selling price of motor fuel andgasohol. Beginning January 1, 1990, each month the Department shall pay into the Local Government Tax Fund 16% ofthe revenue realized for the preceding month from the 6.25% general rate on transfers of tangible personal property. Beginning August 1, 2000, each month the Department shall pay into the Local Government Tax Fund 80% ofthe net revenue realized for the preceding month from the 1.25% rate on the selling price of motor fuel and gasohol. Beginning September 1, 2009, each month the Department shall pay into the Capital Projects Fund an amountthat is equal to an amount estimated by the Department to represent 80% of the net revenue realized for the preceding month from the sale of candy, grooming and hygiene products, and soft drinks that had been taxed at arate of 1% prior to August 1, 2009 but that is now taxed at 6.25%. Of the remainder of the moneys received by the Department pursuant to this Act, (a) 1.75% thereof shall be paidinto the Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and on and after July 1, 1989, 3.8% thereof shall bepaid into the Build Illinois Fund; provided, however, that if in any fiscal year the sum of (1) the aggregate of 2.2%or 3.8%, as the case may be, of the moneys received by the Department and required to be paid into the BuildIllinois Fund pursuant to Section 3 of the Retailers' Occupation Tax Act, Section 9 of the Use Tax Act, Section 9 of the Service Use Tax Act, and Section 9 of the Service Occupation Tax Act, such Acts being hereinafter called the"Tax Acts" and such aggregate of 2.2% or 3.8%, as the case may be, of moneys being hereinafter called the "Tax Act Amount", and (2) the amount transferred to the Build Illinois Fund from the State and Local Sales Tax ReformFund shall be less than the Annual Specified Amount (as defined in Section 3 of the Retailers' Occupation TaxAct), an amount equal to the difference shall be immediately paid into the Build Illinois Fund from other moneysreceived by the Department pursuant to the Tax Acts; and further provided, that if on the last business day of anymonth the sum of (1) the Tax Act Amount required to be deposited into the Build Illinois Account in the Build Illinois Fund during such month and (2) the amount transferred during such month to the Build Illinois Fund fromthe State and Local Sales Tax Reform Fund shall have been less than 1/12 of the Annual Specified Amount, an amount equal to the difference shall be immediately paid into the Build Illinois Fund from other moneys receivedby the Department pursuant to the Tax Acts; and, further provided, that in no event shall the payments requiredunder the preceding proviso result in aggregate payments into the Build Illinois Fund pursuant to this clause (b) forany fiscal year in excess of the greater of (i) the Tax Act Amount or (ii) the Annual Specified Amount for suchfiscal year; and, further provided, that the amounts payable into the Build Illinois Fund under this clause (b) shallbe payable only until such time as the aggregate amount on deposit under each trust indenture securing Bondsissued and outstanding pursuant to the Build Illinois Bond Act is sufficient, taking into account any future investment income, to fully provide, in accordance with such indenture, for the defeasance of or the payment of theprincipal of, premium, if any, and interest on the Bonds secured by such indenture and on any Bonds expected to be issued thereafter and all fees and costs payable with respect thereto, all as certified by the Director of the Bureau ofthe Budget (now Governor's Office of Management and Budget). If on the last business day of any month in whichBonds are outstanding pursuant to the Build Illinois Bond Act, the aggregate of the moneys deposited in the BuildIllinois Bond Account in the Build Illinois Fund in such month shall be less than the amount required to betransferred in such month from the Build Illinois Bond Account to the Build Illinois Bond Retirement and InterestFund pursuant to Section 13 of the Build Illinois Bond Act, an amount equal to such deficiency shall beimmediately paid from other moneys received by the Department pursuant to the Tax Acts to the Build IllinoisFund; provided, however, that any amounts paid to the Build Illinois Fund in any fiscal year pursuant to thissentence shall be deemed to constitute payments pursuant to clause (b) of the preceding sentence and shall reducethe amount otherwise payable for such fiscal year pursuant to clause (b) of the preceding sentence. The moneys

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295 [May 20, 2009] received by the Department pursuant to this Act and required to be deposited into the Build Illinois Fund aresubject to the pledge, claim and charge set forth in Section 12 of the Build Illinois Bond Act. Subject to payment of amounts into the Build Illinois Fund as provided in the preceding paragraph or in anyamendment thereto hereafter enacted, the following specified monthly installment of the amount requested in the certificate of the Chairman of the Metropolitan Pier and Exposition Authority provided under Section 8.25f of theState Finance Act, but not in excess of the sums designated as "Total Deposit", shall be deposited in the aggregate from collections under Section 9 of the Use Tax Act, Section 9 of the Service Use Tax Act, Section 9 of the ServiceOccupation Tax Act, and Section 3 of the Retailers' Occupation Tax Act into the McCormick Place ExpansionProject Fund in the specified fiscal years.

Fiscal Year Total Deposit1993 $01994 53,000,0001995 58,000,0001996 61,000,0001997 64,000,0001998 68,000,0001999 71,000,0002000 75,000,0002001 80,000,0002002 93,000,0002003 99,000,0002004 103,000,0002005 108,000,0002006 113,000,0002007 119,000,0002008 126,000,0002009 132,000,0002010 139,000,0002011 146,000,0002012 153,000,0002013 161,000,0002014 170,000,0002015 179,000,0002016 189,000,0002017 199,000,0002018 210,000,0002019 221,000,0002020 233,000,0002021 246,000,0002022 260,000,000

2023 and 275,000,000each fiscal year

thereafter that bonds are outstanding under

Section 13.2 of the Metropolitan Pier and

Exposition Authority Act, but not after fiscal year 2042.

Beginning July 20, 1993 and in each month of each fiscal year thereafter, one-eighth of the amount requested in the certificate of the Chairman of the Metropolitan Pier and Exposition Authority for that fiscal year, less the amount deposited into the McCormick Place Expansion Project Fund by the State Treasurer in the respective monthunder subsection (g) of Section 13 of the Metropolitan Pier and Exposition Authority Act, plus cumulativedeficiencies in the deposits required under this Section for previous months and years, shall be deposited into theMcCormick Place Expansion Project Fund, until the full amount requested for the fiscal year, but not in excess ofthe amount specified above as "Total Deposit", has been deposited. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fundpursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning July 1, 1993, the

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[May 20, 2009] 296 Department shall each month pay into the Illinois Tax Increment Fund 0.27% of 80% of the net revenue realizedfor the preceding month from the 6.25% general rate on the selling price of tangible personal property. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fund pursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning with the receipt ofthe first report of taxes paid by an eligible business and continuing for a 25-year period, the Department shall each month pay into the Energy Infrastructure Fund 80% of the net revenue realized from the 6.25% general rate on theselling price of Illinois-mined coal that was sold to an eligible business. For purposes of this paragraph, the term "eligible business" means a new electric generating facility certified pursuant to Section 605-332 of the Department of Commerce and Economic Opportunity Law of the Civil Administrative Code of Illinois. Remaining moneys received by the Department pursuant to this Act shall be paid into the General Revenue Fundof the State Treasury. The Department may, upon separate written notice to a taxpayer, require the taxpayer to prepare and file with theDepartment on a form prescribed by the Department within not less than 60 days after receipt of the notice anannual information return for the tax year specified in the notice. Such annual return to the Department shallinclude a statement of gross receipts as shown by the taxpayer's last Federal income tax return. If the total receipts of the business as reported in the Federal income tax return do not agree with the gross receipts reported to theDepartment of Revenue for the same period, the taxpayer shall attach to his annual return a schedule showing a reconciliation of the 2 amounts and the reasons for the difference. The taxpayer's annual return to the Departmentshall also disclose the cost of goods sold by the taxpayer during the year covered by such return, opening andclosing inventories of such goods for such year, cost of goods used from stock or taken from stock and given awayby the taxpayer during such year, pay roll information of the taxpayer's business during such year and anyadditional reasonable information which the Department deems would be helpful in determining the accuracy of the monthly, quarterly or annual returns filed by such taxpayer as hereinbefore provided for in this Section. If the annual information return required by this Section is not filed when and as required, the taxpayer shall be liable as follows: (i) Until January 1, 1994, the taxpayer shall be liable for a penalty equal to 1/6 of

1% of the tax due from such taxpayer under this Act during the period to be covered by the annual return foreach month or fraction of a month until such return is filed as required, the penalty to be assessed and collectedin the same manner as any other penalty provided for in this Act.

(ii) On and after January 1, 1994, the taxpayer shall be liable for a penalty as described in Section 3-4 of the Uniform Penalty and Interest Act. The chief executive officer, proprietor, owner or highest ranking manager shall sign the annual return to certifythe accuracy of the information contained therein. Any person who willfully signs the annual return containingfalse or inaccurate information shall be guilty of perjury and punished accordingly. The annual return formprescribed by the Department shall include a warning that the person signing the return may be liable for perjury. The foregoing portion of this Section concerning the filing of an annual information return shall not apply to aserviceman who is not required to file an income tax return with the United States Government. As soon as possible after the first day of each month, upon certification of the Department of Revenue, theComptroller shall order transferred and the Treasurer shall transfer from the General Revenue Fund to the MotorFuel Tax Fund an amount equal to 1.7% of 80% of the net revenue realized under this Act for the second precedingmonth. Beginning April 1, 2000, this transfer is no longer required and shall not be made. Net revenue realized for a month shall be the revenue collected by the State pursuant to this Act, less the amount paid out during that month as refunds to taxpayers for overpayment of liability. For greater simplicity of administration, it shall be permissible for manufacturers, importers and wholesalerswhose products are sold by numerous servicemen in Illinois, and who wish to do so, to assume the responsibilityfor accounting and paying to the Department all tax accruing under this Act with respect to such sales, if theservicemen who are affected do not make written objection to the Department to this arrangement. (Source: P.A. 93-24, eff. 6-20-03; 93-840, eff. 7-30-04; 94-1074, eff. 12-26-06.) Section 925. The Retailers' Occupation Tax Act is amended by changing Sections 2-10 and 3 as follows: (35 ILCS 120/2-10) (from Ch. 120, par. 441-10) Sec. 2-10. Rate of tax. Unless otherwise provided in this Section, the tax imposed by this Act is at the rate of6.25% of gross receipts from sales of tangible personal property made in the course of business. Beginning on July 1, 2000 and through December 31, 2000, with respect to motor fuel, as defined in Section 1.1of the Motor Fuel Tax Law, and gasohol, as defined in Section 3-40 of the Use Tax Act, the tax is imposed at the rate of 1.25%. Within 14 days after the effective date of this amendatory Act of the 91st General Assembly, each retailer ofmotor fuel and gasohol shall cause the following notice to be posted in a prominently visible place on each retail

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297 [May 20, 2009] dispensing device that is used to dispense motor fuel or gasohol in the State of Illinois: "As of July 1, 2000, the State of Illinois has eliminated the State's share of sales tax on motor fuel and gasohol through December 31, 2000.The price on this pump should reflect the elimination of the tax." The notice shall be printed in bold print on a sign that is no smaller than 4 inches by 8 inches. The sign shall be clearly visible to customers. Any retailer who fails topost or maintain a required sign through December 31, 2000 is guilty of a petty offense for which the fine shall be $500 per day per each retail premises where a violation occurs. With respect to gasohol, as defined in the Use Tax Act, the tax imposed by this Act applies to (i) 70% of theproceeds of sales made on or after January 1, 1990, and before July 1, 2003, (ii) 80% of the proceeds of sales made on or after July 1, 2003 and on or before December 31, 2013, and (iii) 100% of the proceeds of sales madethereafter. If, at any time, however, the tax under this Act on sales of gasohol, as defined in the Use Tax Act, is imposed at the rate of 1.25%, then the tax imposed by this Act applies to 100% of the proceeds of sales of gasoholmade during that time. With respect to majority blended ethanol fuel, as defined in the Use Tax Act, the tax imposed by this Act does not apply to the proceeds of sales made on or after July 1, 2003 and on or before December 31, 2013 but applies to100% of the proceeds of sales made thereafter. With respect to biodiesel blends, as defined in the Use Tax Act, with no less than 1% and no more than 10% biodiesel, the tax imposed by this Act applies to (i) 80% of the proceeds of sales made on or after July 1, 2003 andon or before December 31, 2013 and (ii) 100% of the proceeds of sales made thereafter. If, at any time, however, the tax under this Act on sales of biodiesel blends, as defined in the Use Tax Act, with no less than 1% and no morethan 10% biodiesel is imposed at the rate of 1.25%, then the tax imposed by this Act applies to 100% of theproceeds of sales of biodiesel blends with no less than 1% and no more than 10% biodiesel made during that time. With respect to 100% biodiesel, as defined in the Use Tax Act, and biodiesel blends, as defined in the Use TaxAct, with more than 10% but no more than 99% biodiesel, the tax imposed by this Act does not apply to the proceeds of sales made on or after July 1, 2003 and on or before December 31, 2013 but applies to 100% of theproceeds of sales made thereafter. With respect to food for human consumption that is to be consumed off the premises where it is sold (other thanalcoholic beverages, soft drinks, and food that has been prepared for immediate consumption) and prescription andnonprescription medicines, drugs, medical appliances, modifications to a motor vehicle for the purpose of rendering it usable by a disabled person, and insulin, urine testing materials, syringes, and needles used by diabetics, forhuman use, the tax is imposed at the rate of 1%. For the purposes of this Section, until August 1, 2009: the term "soft drinks" means any complete, finished, ready-to-use, non-alcoholic drink, whether carbonated or not, including but not limited to soda water, cola, fruit juice, vegetable juice, carbonated water, and all other preparationscommonly known as soft drinks of whatever kind or description that are contained in any closed or sealed bottle,can, carton, or container, regardless of size; but "soft . "Soft drinks" does not include coffee, tea, non-carbonated water, infant formula, milk or milk products as defined in the Grade A Pasteurized Milk and Milk Products Act, ordrinks containing 50% or more natural fruit or vegetable juice. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "soft drinks" mean non-alcoholic beverages that contain natural or artificial sweeteners. "Soft drinks" do not include beverages that contain milk ormilk products, soy, rice or similar milk substitutes, or greater than 50% of vegetable or fruit juice by volume. Notwithstanding any other provisions of this Act, "food for human consumption that is to be consumed off thepremises where it is sold" includes all food sold through a vending machine, except soft drinks, candy, and food products that are dispensed hot from a vending machine, regardless of the location of the vending machine. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "food for human consumption thatis to be consumed off the premises where it is sold" does not include candy. For purposes of this Section, "candy" means a preparation of sugar, honey, or other natural or artificial sweeteners in combination with chocolate, fruits,nuts or other ingredients or flavorings in the form of bars, drops, or pieces. "Candy" does not include anypreparation that contains flour or requires refrigeration. Notwithstanding any other provisions of this Act, beginning August 1, 2009, "nonprescription medicines anddrugs" does not include grooming and hygiene products. For purposes of this Section, "grooming and hygiene products" includes, but is not limited to, soaps and cleaning solutions, shampoo, toothpaste, mouthwash,antiperspirants, and sun tan lotions and screens, unless those products are available by prescription only, regardlessof whether the products meet the definition of "over-the-counter-drugs". For the purposes of this paragraph, "over-the-counter-drug" means a drug for human use that contains a label that identifies the product as a drug asrequired by 21 C.F.R. § 201.66. The "over-the-counter-drug" label includes: (A) A "Drug Facts" panel; or (B) A statement of the "active ingredient(s)" with a list of those ingredients contained in the compound,substance or preparation.

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[May 20, 2009] 298 (Source: P.A. 93-17, eff. 6-11-03.) (35 ILCS 120/3) (from Ch. 120, par. 442) Sec. 3. Except as provided in this Section, on or before the twentieth day of each calendar month, every personengaged in the business of selling tangible personal property at retail in this State during the preceding calendarmonth shall file a return with the Department, stating: 1. The name of the seller; 2. His residence address and the address of his principal place of business and the

address of the principal place of business (if that is a different address) from which he engages in the business of selling tangible personal property at retail in this State;

3. Total amount of receipts received by him during the preceding calendar month or

quarter, as the case may be, from sales of tangible personal property, and from services furnished, by him duringsuch preceding calendar month or quarter;

4. Total amount received by him during the preceding calendar month or quarter on

charge and time sales of tangible personal property, and from services furnished, by him prior to the month orquarter for which the return is filed;

5. Deductions allowed by law; 6. Gross receipts which were received by him during the preceding calendar month or quarter and upon the basis of which the tax is imposed; 7. The amount of credit provided in Section 2d of this Act; 8. The amount of tax due; 9. The signature of the taxpayer; and 10. Such other reasonable information as the Department may require. If a taxpayer fails to sign a return within 30 days after the proper notice and demand for signature by theDepartment, the return shall be considered valid and any amount shown to be due on the return shall be deemedassessed. Each return shall be accompanied by the statement of prepaid tax issued pursuant to Section 2e for which creditis claimed. Prior to October 1, 2003, and on and after September 1, 2004 a retailer may accept a Manufacturer's PurchaseCredit certification from a purchaser in satisfaction of Use Tax as provided in Section 3-85 of the Use Tax Act if the purchaser provides the appropriate documentation as required by Section 3-85 of the Use Tax Act. A Manufacturer's Purchase Credit certification, accepted by a retailer prior to October 1, 2003 and on and afterSeptember 1, 2004 as provided in Section 3-85 of the Use Tax Act, may be used by that retailer to satisfy Retailers'Occupation Tax liability in the amount claimed in the certification, not to exceed 6.25% of the receipts subject to tax from a qualifying purchase. A Manufacturer's Purchase Credit reported on any original or amended return filedunder this Act after October 20, 2003 for reporting periods prior to September 1, 2004 shall be disallowed. Manufacturer's Purchaser Credit reported on annual returns due on or after January 1, 2005 will be disallowed forperiods prior to September 1, 2004. No Manufacturer's Purchase Credit may be used after September 30, 2003through August 31, 2004 to satisfy any tax liability imposed under this Act, including any audit liability. The Department may require returns to be filed on a quarterly basis. If so required, a return for each calendarquarter shall be filed on or before the twentieth day of the calendar month following the end of such calendar quarter. The taxpayer shall also file a return with the Department for each of the first two months of each calendarquarter, on or before the twentieth day of the following calendar month, stating: 1. The name of the seller; 2. The address of the principal place of business from which he engages in the business of selling tangible personal property at retail in this State; 3. The total amount of taxable receipts received by him during the preceding calendar

month from sales of tangible personal property by him during such preceding calendar month, including receiptsfrom charge and time sales, but less all deductions allowed by law;

4. The amount of credit provided in Section 2d of this Act; 5. The amount of tax due; and 6. Such other reasonable information as the Department may require. Beginning on October 1, 2003, any person who is not a licensed distributor, importing distributor, or manufacturer, as defined in the Liquor Control Act of 1934, but is engaged in the business of selling, at retail,alcoholic liquor shall file a statement with the Department of Revenue, in a format and at a time prescribed by theDepartment, showing the total amount paid for alcoholic liquor purchased during the preceding month and suchother information as is reasonably required by the Department. The Department may adopt rules to require that thisstatement be filed in an electronic or telephonic format. Such rules may provide for exceptions from the filing

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299 [May 20, 2009] requirements of this paragraph. For the purposes of this paragraph, the term "alcoholic liquor" shall have themeaning prescribed in the Liquor Control Act of 1934. Beginning on October 1, 2003, every distributor, importing distributor, and manufacturer of alcoholic liquor asdefined in the Liquor Control Act of 1934, shall file a statement with the Department of Revenue, no later than the10th day of the month for the preceding month during which transactions occurred, by electronic means, showing the total amount of gross receipts from the sale of alcoholic liquor sold or distributed during the preceding month topurchasers; identifying the purchaser to whom it was sold or distributed; the purchaser's tax registration number; and such other information reasonably required by the Department. A distributor, importing distributor, ormanufacturer of alcoholic liquor must personally deliver, mail, or provide by electronic means to each retailer listed on the monthly statement a report containing a cumulative total of that distributor's, importing distributor's, ormanufacturer's total sales of alcoholic liquor to that retailer no later than the 10th day of the month for thepreceding month during which the transaction occurred. The distributor, importing distributor, or manufacturershall notify the retailer as to the method by which the distributor, importing distributor, or manufacturer willprovide the sales information. If the retailer is unable to receive the sales information by electronic means, the distributor, importing distributor, or manufacturer shall furnish the sales information by personal delivery or bymail. For purposes of this paragraph, the term "electronic means" includes, but is not limited to, the use of a secure Internet website, e-mail, or facsimile. If a total amount of less than $1 is payable, refundable or creditable, such amount shall be disregarded if it is lessthan 50 cents and shall be increased to $1 if it is 50 cents or more. Beginning October 1, 1993, a taxpayer who has an average monthly tax liability of $150,000 or more shall makeall payments required by rules of the Department by electronic funds transfer. Beginning October 1, 1994, ataxpayer who has an average monthly tax liability of $100,000 or more shall make all payments required by rulesof the Department by electronic funds transfer. Beginning October 1, 1995, a taxpayer who has an average monthlytax liability of $50,000 or more shall make all payments required by rules of the Department by electronic fundstransfer. Beginning October 1, 2000, a taxpayer who has an annual tax liability of $200,000 or more shall make allpayments required by rules of the Department by electronic funds transfer. The term "annual tax liability" shall be the sum of the taxpayer's liabilities under this Act, and under all other State and local occupation and use tax lawsadministered by the Department, for the immediately preceding calendar year. The term "average monthly tax liability" shall be the sum of the taxpayer's liabilities under this Act, and under all other State and local occupationand use tax laws administered by the Department, for the immediately preceding calendar year divided by 12.Beginning on October 1, 2002, a taxpayer who has a tax liability in the amount set forth in subsection (b) of Section2505-210 of the Department of Revenue Law shall make all payments required by rules of the Department byelectronic funds transfer. Before August 1 of each year beginning in 1993, the Department shall notify all taxpayers required to makepayments by electronic funds transfer. All taxpayers required to make payments by electronic funds transfer shallmake those payments for a minimum of one year beginning on October 1. Any taxpayer not required to make payments by electronic funds transfer may make payments by electronicfunds transfer with the permission of the Department. All taxpayers required to make payment by electronic funds transfer and any taxpayers authorized to voluntarily make payments by electronic funds transfer shall make those payments in the manner authorized by theDepartment. The Department shall adopt such rules as are necessary to effectuate a program of electronic funds transfer and the requirements of this Section. Any amount which is required to be shown or reported on any return or other document under this Act shall, ifsuch amount is not a whole-dollar amount, be increased to the nearest whole-dollar amount in any case where the fractional part of a dollar is 50 cents or more, and decreased to the nearest whole-dollar amount where the fractional part of a dollar is less than 50 cents. If the retailer is otherwise required to file a monthly return and if the retailer's average monthly tax liability to the Department does not exceed $200, the Department may authorize his returns to be filed on a quarter annual basis,with the return for January, February and March of a given year being due by April 20 of such year; with the return for April, May and June of a given year being due by July 20 of such year; with the return for July, August andSeptember of a given year being due by October 20 of such year, and with the return for October, November andDecember of a given year being due by January 20 of the following year. If the retailer is otherwise required to file a monthly or quarterly return and if the retailer's average monthly taxliability with the Department does not exceed $50, the Department may authorize his returns to be filed on an annual basis, with the return for a given year being due by January 20 of the following year. Such quarter annual and annual returns, as to form and substance, shall be subject to the same requirements as

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[May 20, 2009] 300 monthly returns. Notwithstanding any other provision in this Act concerning the time within which a retailer may file his return,in the case of any retailer who ceases to engage in a kind of business which makes him responsible for filing returnsunder this Act, such retailer shall file a final return under this Act with the Department not more than one monthafter discontinuing such business. Where the same person has more than one business registered with the Department under separate registrationsunder this Act, such person may not file each return that is due as a single return covering all such registeredbusinesses, but shall file separate returns for each such registered business. In addition, with respect to motor vehicles, watercraft, aircraft, and trailers that are required to be registered with an agency of this State, every retailer selling this kind of tangible personal property shall file, with the Department,upon a form to be prescribed and supplied by the Department, a separate return for each such item of tangible personal property which the retailer sells, except that if, in the same transaction, (i) a retailer of aircraft, watercraft,motor vehicles or trailers transfers more than one aircraft, watercraft, motor vehicle or trailer to another aircraft, watercraft, motor vehicle retailer or trailer retailer for the purpose of resale or (ii) a retailer of aircraft, watercraft,motor vehicles, or trailers transfers more than one aircraft, watercraft, motor vehicle, or trailer to a purchaser for use as a qualifying rolling stock as provided in Section 2-5 of this Act, then that seller may report the transfer of all aircraft, watercraft, motor vehicles or trailers involved in that transaction to the Department on the same uniforminvoice-transaction reporting return form. For purposes of this Section, "watercraft" means a Class 2, Class 3, orClass 4 watercraft as defined in Section 3-2 of the Boat Registration and Safety Act, a personal watercraft, or anyboat equipped with an inboard motor. Any retailer who sells only motor vehicles, watercraft, aircraft, or trailers that are required to be registered withan agency of this State, so that all retailers' occupation tax liability is required to be reported, and is reported, onsuch transaction reporting returns and who is not otherwise required to file monthly or quarterly returns, need notfile monthly or quarterly returns. However, those retailers shall be required to file returns on an annual basis. The transaction reporting return, in the case of motor vehicles or trailers that are required to be registered with anagency of this State, shall be the same document as the Uniform Invoice referred to in Section 5-402 of The Illinois Vehicle Code and must show the name and address of the seller; the name and address of the purchaser; the amount of the selling price including the amount allowed by the retailer for traded-in property, if any; the amount allowed by the retailer for the traded-in tangible personal property, if any, to the extent to which Section 1 of this Act allows an exemption for the value of traded-in property; the balance payable after deducting such trade-in allowance from the total selling price; the amount of tax due from the retailer with respect to such transaction; the amount of tax collected from the purchaser by the retailer on such transaction (or satisfactory evidence that such tax is not due inthat particular instance, if that is claimed to be the fact); the place and date of the sale; a sufficient identification of the property sold; such other information as is required in Section 5-402 of The Illinois Vehicle Code, and such other information as the Department may reasonably require. The transaction reporting return in the case of watercraft or aircraft must show the name and address of the seller; the name and address of the purchaser; the amount of the selling price including the amount allowed by theretailer for traded-in property, if any; the amount allowed by the retailer for the traded-in tangible personal property, if any, to the extent to which Section 1 of this Act allows an exemption for the value of traded-in property; the balance payable after deducting such trade-in allowance from the total selling price; the amount of tax due from the retailer with respect to such transaction; the amount of tax collected from the purchaser by the retaileron such transaction (or satisfactory evidence that such tax is not due in that particular instance, if that is claimed tobe the fact); the place and date of the sale, a sufficient identification of the property sold, and such otherinformation as the Department may reasonably require. Such transaction reporting return shall be filed not later than 20 days after the day of delivery of the item that isbeing sold, but may be filed by the retailer at any time sooner than that if he chooses to do so. The transactionreporting return and tax remittance or proof of exemption from the Illinois use tax may be transmitted to theDepartment by way of the State agency with which, or State officer with whom the tangible personal property mustbe titled or registered (if titling or registration is required) if the Department and such agency or State officerdetermine that this procedure will expedite the processing of applications for title or registration. With each such transaction reporting return, the retailer shall remit the proper amount of tax due (or shall submitsatisfactory evidence that the sale is not taxable if that is the case), to the Department or its agents, whereupon the Department shall issue, in the purchaser's name, a use tax receipt (or a certificate of exemption if the Department issatisfied that the particular sale is tax exempt) which such purchaser may submit to the agency with which, or State officer with whom, he must title or register the tangible personal property that is involved (if titling or registrationis required) in support of such purchaser's application for an Illinois certificate or other evidence of title orregistration to such tangible personal property.

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301 [May 20, 2009] No retailer's failure or refusal to remit tax under this Act precludes a user, who has paid the proper tax to theretailer, from obtaining his certificate of title or other evidence of title or registration (if titling or registration is required) upon satisfying the Department that such user has paid the proper tax (if tax is due) to the retailer. TheDepartment shall adopt appropriate rules to carry out the mandate of this paragraph. If the user who would otherwise pay tax to the retailer wants the transaction reporting return filed and thepayment of the tax or proof of exemption made to the Department before the retailer is willing to take these actionsand such user has not paid the tax to the retailer, such user may certify to the fact of such delay by the retailer and may (upon the Department being satisfied of the truth of such certification) transmit the information required by thetransaction reporting return and the remittance for tax or proof of exemption directly to the Department and obtain his tax receipt or exemption determination, in which event the transaction reporting return and tax remittance (if atax payment was required) shall be credited by the Department to the proper retailer's account with the Department, but without the 2.1% or 1.75% discount provided for in this Section being allowed. When the user pays the taxdirectly to the Department, he shall pay the tax in the same amount and in the same form in which it would beremitted if the tax had been remitted to the Department by the retailer. Refunds made by the seller during the preceding return period to purchasers, on account of tangible personalproperty returned to the seller, shall be allowed as a deduction under subdivision 5 of his monthly or quarterly return, as the case may be, in case the seller had theretofore included the receipts from the sale of such tangiblepersonal property in a return filed by him and had paid the tax imposed by this Act with respect to such receipts. Where the seller is a corporation, the return filed on behalf of such corporation shall be signed by the president,vice-president, secretary or treasurer or by the properly accredited agent of such corporation. Where the seller is a limited liability company, the return filed on behalf of the limited liability company shall besigned by a manager, member, or properly accredited agent of the limited liability company. Except as provided in this Section, the retailer filing the return under this Section shall, at the time of filing such return, pay to the Department the amount of tax imposed by this Act less a discount of 2.1% prior to January 1,1990 and 1.75% on and after January 1, 1990, or $5 per calendar year, whichever is greater, which is allowed to reimburse the retailer for the expenses incurred in keeping records, preparing and filing returns, remitting the taxand supplying data to the Department on request. Any prepayment made pursuant to Section 2d of this Act shall beincluded in the amount on which such 2.1% or 1.75% discount is computed. In the case of retailers who report andpay the tax on a transaction by transaction basis, as provided in this Section, such discount shall be taken with eachsuch tax remittance instead of when such retailer files his periodic return. Before October 1, 2000, if the taxpayer's average monthly tax liability to the Department under this Act, the UseTax Act, the Service Occupation Tax Act, and the Service Use Tax Act, excluding any liability for prepaid sales tax to be remitted in accordance with Section 2d of this Act, was $10,000 or more during the preceding 4 completecalendar quarters, he shall file a return with the Department each month by the 20th day of the month nextfollowing the month during which such tax liability is incurred and shall make payments to the Department on orbefore the 7th, 15th, 22nd and last day of the month during which such liability is incurred. On and after October 1,2000, if the taxpayer's average monthly tax liability to the Department under this Act, the Use Tax Act, the ServiceOccupation Tax Act, and the Service Use Tax Act, excluding any liability for prepaid sales tax to be remitted inaccordance with Section 2d of this Act, was $20,000 or more during the preceding 4 complete calendar quarters, he shall file a return with the Department each month by the 20th day of the month next following the month duringwhich such tax liability is incurred and shall make payment to the Department on or before the 7th, 15th, 22nd and last day of the month during which such liability is incurred. If the month during which such tax liability is incurredbegan prior to January 1, 1985, each payment shall be in an amount equal to 1/4 of the taxpayer's actual liability forthe month or an amount set by the Department not to exceed 1/4 of the average monthly liability of the taxpayer tothe Department for the preceding 4 complete calendar quarters (excluding the month of highest liability and themonth of lowest liability in such 4 quarter period). If the month during which such tax liability is incurred beginson or after January 1, 1985 and prior to January 1, 1987, each payment shall be in an amount equal to 22.5% of thetaxpayer's actual liability for the month or 27.5% of the taxpayer's liability for the same calendar month of the preceding year. If the month during which such tax liability is incurred begins on or after January 1, 1987 and priorto January 1, 1988, each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 26.25% of the taxpayer's liability for the same calendar month of the preceding year. If the month duringwhich such tax liability is incurred begins on or after January 1, 1988, and prior to January 1, 1989, or begins on or after January 1, 1996, each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for themonth or 25% of the taxpayer's liability for the same calendar month of the preceding year. If the month duringwhich such tax liability is incurred begins on or after January 1, 1989, and prior to January 1, 1996, each paymentshall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 25% of the taxpayer'sliability for the same calendar month of the preceding year or 100% of the taxpayer's actual liability for the quarter

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[May 20, 2009] 302 monthly reporting period. The amount of such quarter monthly payments shall be credited against the final taxliability of the taxpayer's return for that month. Before October 1, 2000, once applicable, the requirement of the making of quarter monthly payments to the Department by taxpayers having an average monthly tax liability of$10,000 or more as determined in the manner provided above shall continue until such taxpayer's average monthly liability to the Department during the preceding 4 complete calendar quarters (excluding the month of highestliability and the month of lowest liability) is less than $9,000, or until such taxpayer's average monthly liability tothe Department as computed for each calendar quarter of the 4 preceding complete calendar quarter period is lessthan $10,000. However, if a taxpayer can show the Department that a substantial change in the taxpayer's businesshas occurred which causes the taxpayer to anticipate that his average monthly tax liability for the reasonablyforeseeable future will fall below the $10,000 threshold stated above, then such taxpayer may petition theDepartment for a change in such taxpayer's reporting status. On and after October 1, 2000, once applicable, the requirement of the making of quarter monthly payments to the Department by taxpayers having an average monthlytax liability of $20,000 or more as determined in the manner provided above shall continue until such taxpayer'saverage monthly liability to the Department during the preceding 4 complete calendar quarters (excluding themonth of highest liability and the month of lowest liability) is less than $19,000 or until such taxpayer's averagemonthly liability to the Department as computed for each calendar quarter of the 4 preceding complete calendarquarter period is less than $20,000. However, if a taxpayer can show the Department that a substantial change inthe taxpayer's business has occurred which causes the taxpayer to anticipate that his average monthly tax liability for the reasonably foreseeable future will fall below the $20,000 threshold stated above, then such taxpayer maypetition the Department for a change in such taxpayer's reporting status. The Department shall change such taxpayer's reporting status unless it finds that such change is seasonal in nature and not likely to be long term. Ifany such quarter monthly payment is not paid at the time or in the amount required by this Section, then thetaxpayer shall be liable for penalties and interest on the difference between the minimum amount due as a paymentand the amount of such quarter monthly payment actually and timely paid, except insofar as the taxpayer haspreviously made payments for that month to the Department in excess of the minimum payments previously due as provided in this Section. The Department shall make reasonable rules and regulations to govern the quarter monthlypayment amount and quarter monthly payment dates for taxpayers who file on other than a calendar monthly basis. The provisions of this paragraph apply before October 1, 2001. Without regard to whether a taxpayer is requiredto make quarter monthly payments as specified above, any taxpayer who is required by Section 2d of this Act tocollect and remit prepaid taxes and has collected prepaid taxes which average in excess of $25,000 per monthduring the preceding 2 complete calendar quarters, shall file a return with the Department as required by Section 2fand shall make payments to the Department on or before the 7th, 15th, 22nd and last day of the month during whichsuch liability is incurred. If the month during which such tax liability is incurred began prior to the effective date ofthis amendatory Act of 1985, each payment shall be in an amount not less than 22.5% of the taxpayer's actual liability under Section 2d. If the month during which such tax liability is incurred begins on or after January 1,1986, each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 27.5% of the taxpayer's liability for the same calendar month of the preceding calendar year. If the month during whichsuch tax liability is incurred begins on or after January 1, 1987, each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 26.25% of the taxpayer's liability for the same calendar month ofthe preceding year. The amount of such quarter monthly payments shall be credited against the final tax liability ofthe taxpayer's return for that month filed under this Section or Section 2f, as the case may be. Once applicable, therequirement of the making of quarter monthly payments to the Department pursuant to this paragraph shallcontinue until such taxpayer's average monthly prepaid tax collections during the preceding 2 complete calendarquarters is $25,000 or less. If any such quarter monthly payment is not paid at the time or in the amount required,the taxpayer shall be liable for penalties and interest on such difference, except insofar as the taxpayer has previously made payments for that month in excess of the minimum payments previously due. The provisions of this paragraph apply on and after October 1, 2001. Without regard to whether a taxpayer isrequired to make quarter monthly payments as specified above, any taxpayer who is required by Section 2d of thisAct to collect and remit prepaid taxes and has collected prepaid taxes that average in excess of $20,000 per monthduring the preceding 4 complete calendar quarters shall file a return with the Department as required by Section 2fand shall make payments to the Department on or before the 7th, 15th, 22nd and last day of the month during whichthe liability is incurred. Each payment shall be in an amount equal to 22.5% of the taxpayer's actual liability for the month or 25% of the taxpayer's liability for the same calendar month of the preceding year. The amount of thequarter monthly payments shall be credited against the final tax liability of the taxpayer's return for that month filed under this Section or Section 2f, as the case may be. Once applicable, the requirement of the making of quartermonthly payments to the Department pursuant to this paragraph shall continue until the taxpayer's average monthlyprepaid tax collections during the preceding 4 complete calendar quarters (excluding the month of highest liability

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303 [May 20, 2009] and the month of lowest liability) is less than $19,000 or until such taxpayer's average monthly liability to theDepartment as computed for each calendar quarter of the 4 preceding complete calendar quarters is less than$20,000. If any such quarter monthly payment is not paid at the time or in the amount required, the taxpayer shallbe liable for penalties and interest on such difference, except insofar as the taxpayer has previously made payments for that month in excess of the minimum payments previously due. If any payment provided for in this Section exceeds the taxpayer's liabilities under this Act, the Use Tax Act, theService Occupation Tax Act and the Service Use Tax Act, as shown on an original monthly return, the Departmentshall, if requested by the taxpayer, issue to the taxpayer a credit memorandum no later than 30 days after the date ofpayment. The credit evidenced by such credit memorandum may be assigned by the taxpayer to a similar taxpayerunder this Act, the Use Tax Act, the Service Occupation Tax Act or the Service Use Tax Act, in accordance withreasonable rules and regulations to be prescribed by the Department. If no such request is made, the taxpayer may credit such excess payment against tax liability subsequently to be remitted to the Department under this Act, theUse Tax Act, the Service Occupation Tax Act or the Service Use Tax Act, in accordance with reasonable rules and regulations prescribed by the Department. If the Department subsequently determined that all or any part of thecredit taken was not actually due to the taxpayer, the taxpayer's 2.1% and 1.75% vendor's discount shall be reducedby 2.1% or 1.75% of the difference between the credit taken and that actually due, and that taxpayer shall be liablefor penalties and interest on such difference. If a retailer of motor fuel is entitled to a credit under Section 2d of this Act which exceeds the taxpayer's liability to the Department under this Act for the month which the taxpayer is filing a return, the Department shall issue thetaxpayer a credit memorandum for the excess. Beginning January 1, 1990, each month the Department shall pay into the Local Government Tax Fund, a special fund in the State treasury which is hereby created, the net revenue realized for the preceding month from the 1% taxon sales of food for human consumption which is to be consumed off the premises where it is sold (other than alcoholic beverages, soft drinks and food which has been prepared for immediate consumption) and prescriptionand nonprescription medicines, drugs, medical appliances and insulin, urine testing materials, syringes and needlesused by diabetics. Beginning January 1, 1990, each month the Department shall pay into the County and Mass Transit DistrictFund, a special fund in the State treasury which is hereby created, 4% of the net revenue realized for the precedingmonth from the 6.25% general rate. Beginning August 1, 2000, each month the Department shall pay into the County and Mass Transit District Fund20% of the net revenue realized for the preceding month from the 1.25% rate on the selling price of motor fuel andgasohol. Beginning January 1, 1990, each month the Department shall pay into the Local Government Tax Fund 16% ofthe net revenue realized for the preceding month from the 6.25% general rate on the selling price of tangiblepersonal property. Beginning August 1, 2000, each month the Department shall pay into the Local Government Tax Fund 80% ofthe net revenue realized for the preceding month from the 1.25% rate on the selling price of motor fuel and gasohol. Beginning September 1, 2009, each month the Department shall pay into the Capital Projects Fund an amount that is equal to an amount estimated by the Department to represent 80% of the net revenue realized for thepreceding month from the sale of candy, grooming and hygiene products, and soft drinks that had been taxed at a rate of 1% prior to August 1, 2009 but that is now taxed at 6.25%. Of the remainder of the moneys received by the Department pursuant to this Act, (a) 1.75% thereof shall be paidinto the Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and on and after July 1, 1989, 3.8% thereof shall be paid into the Build Illinois Fund; provided, however, that if in any fiscal year the sum of (1) the aggregate of 2.2%or 3.8%, as the case may be, of the moneys received by the Department and required to be paid into the Build Illinois Fund pursuant to this Act, Section 9 of the Use Tax Act, Section 9 of the Service Use Tax Act, and Section9 of the Service Occupation Tax Act, such Acts being hereinafter called the "Tax Acts" and such aggregate of 2.2%or 3.8%, as the case may be, of moneys being hereinafter called the "Tax Act Amount", and (2) the amounttransferred to the Build Illinois Fund from the State and Local Sales Tax Reform Fund shall be less than the AnnualSpecified Amount (as hereinafter defined), an amount equal to the difference shall be immediately paid into theBuild Illinois Fund from other moneys received by the Department pursuant to the Tax Acts; the "Annual SpecifiedAmount" means the amounts specified below for fiscal years 1986 through 1993:

Fiscal Year Annual Specified Amount 1986 $54,800,000 1987 $76,650,000 1988 $80,480,000 1989 $88,510,000

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1990 $115,330,000 1991 $145,470,000 1992 $182,730,000 1993 $206,520,000;

and means the Certified Annual Debt Service Requirement (as defined in Section 13 of the Build Illinois Bond Act) or the Tax Act Amount, whichever is greater, for fiscal year 1994 and each fiscal year thereafter; and furtherprovided, that if on the last business day of any month the sum of (1) the Tax Act Amount required to be deposited into the Build Illinois Bond Account in the Build Illinois Fund during such month and (2) the amount transferred tothe Build Illinois Fund from the State and Local Sales Tax Reform Fund shall have been less than 1/12 of theAnnual Specified Amount, an amount equal to the difference shall be immediately paid into the Build Illinois Fundfrom other moneys received by the Department pursuant to the Tax Acts; and, further provided, that in no eventshall the payments required under the preceding proviso result in aggregate payments into the Build Illinois Fundpursuant to this clause (b) for any fiscal year in excess of the greater of (i) the Tax Act Amount or (ii) the AnnualSpecified Amount for such fiscal year. The amounts payable into the Build Illinois Fund under clause (b) of the first sentence in this paragraph shall be payable only until such time as the aggregate amount on deposit under eachtrust indenture securing Bonds issued and outstanding pursuant to the Build Illinois Bond Act is sufficient, taking into account any future investment income, to fully provide, in accordance with such indenture, for the defeasanceof or the payment of the principal of, premium, if any, and interest on the Bonds secured by such indenture and on any Bonds expected to be issued thereafter and all fees and costs payable with respect thereto, all as certified by theDirector of the Bureau of the Budget (now Governor's Office of Management and Budget). If on the last businessday of any month in which Bonds are outstanding pursuant to the Build Illinois Bond Act, the aggregate of moneysdeposited in the Build Illinois Bond Account in the Build Illinois Fund in such month shall be less than the amountrequired to be transferred in such month from the Build Illinois Bond Account to the Build Illinois BondRetirement and Interest Fund pursuant to Section 13 of the Build Illinois Bond Act, an amount equal to suchdeficiency shall be immediately paid from other moneys received by the Department pursuant to the Tax Acts to the Build Illinois Fund; provided, however, that any amounts paid to the Build Illinois Fund in any fiscal yearpursuant to this sentence shall be deemed to constitute payments pursuant to clause (b) of the first sentence of thisparagraph and shall reduce the amount otherwise payable for such fiscal year pursuant to that clause (b). Themoneys received by the Department pursuant to this Act and required to be deposited into the Build Illinois Fundare subject to the pledge, claim and charge set forth in Section 12 of the Build Illinois Bond Act. Subject to payment of amounts into the Build Illinois Fund as provided in the preceding paragraph or in anyamendment thereto hereafter enacted, the following specified monthly installment of the amount requested in the certificate of the Chairman of the Metropolitan Pier and Exposition Authority provided under Section 8.25f of theState Finance Act, but not in excess of sums designated as "Total Deposit", shall be deposited in the aggregate from collections under Section 9 of the Use Tax Act, Section 9 of the Service Use Tax Act, Section 9 of the ServiceOccupation Tax Act, and Section 3 of the Retailers' Occupation Tax Act into the McCormick Place ExpansionProject Fund in the specified fiscal years.

Fiscal Year Total Deposit1993 $01994 53,000,0001995 58,000,0001996 61,000,0001997 64,000,0001998 68,000,0001999 71,000,0002000 75,000,0002001 80,000,0002002 93,000,0002003 99,000,0002004 103,000,0002005 108,000,0002006 113,000,0002007 119,000,0002008 126,000,0002009 132,000,0002010 139,000,0002011 146,000,000

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305 [May 20, 2009]

2012 153,000,0002013 161,000,0002014 170,000,0002015 179,000,0002016 189,000,0002017 199,000,0002018 210,000,0002019 221,000,0002020 233,000,0002021 246,000,0002022 260,000,000

2023 and 275,000,000each fiscal year

thereafter that bonds are outstanding under

Section 13.2 of the Metropolitan Pier and

Exposition Authority Act, but not after fiscal year 2042.

Beginning July 20, 1993 and in each month of each fiscal year thereafter, one-eighth of the amount requested in the certificate of the Chairman of the Metropolitan Pier and Exposition Authority for that fiscal year, less the amount deposited into the McCormick Place Expansion Project Fund by the State Treasurer in the respective monthunder subsection (g) of Section 13 of the Metropolitan Pier and Exposition Authority Act, plus cumulativedeficiencies in the deposits required under this Section for previous months and years, shall be deposited into theMcCormick Place Expansion Project Fund, until the full amount requested for the fiscal year, but not in excess ofthe amount specified above as "Total Deposit", has been deposited. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fundpursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning July 1, 1993, theDepartment shall each month pay into the Illinois Tax Increment Fund 0.27% of 80% of the net revenue realizedfor the preceding month from the 6.25% general rate on the selling price of tangible personal property. Subject to payment of amounts into the Build Illinois Fund and the McCormick Place Expansion Project Fund pursuant to the preceding paragraphs or in any amendments thereto hereafter enacted, beginning with the receipt ofthe first report of taxes paid by an eligible business and continuing for a 25-year period, the Department shall each month pay into the Energy Infrastructure Fund 80% of the net revenue realized from the 6.25% general rate on theselling price of Illinois-mined coal that was sold to an eligible business. For purposes of this paragraph, the term "eligible business" means a new electric generating facility certified pursuant to Section 605-332 of the Department of Commerce and Economic Opportunity Law of the Civil Administrative Code of Illinois. Of the remainder of the moneys received by the Department pursuant to this Act, 75% thereof shall be paid intothe State Treasury and 25% shall be reserved in a special account and used only for the transfer to the CommonSchool Fund as part of the monthly transfer from the General Revenue Fund in accordance with Section 8a of the State Finance Act. The Department may, upon separate written notice to a taxpayer, require the taxpayer to prepare and file with theDepartment on a form prescribed by the Department within not less than 60 days after receipt of the notice an annual information return for the tax year specified in the notice. Such annual return to the Department shallinclude a statement of gross receipts as shown by the retailer's last Federal income tax return. If the total receipts of the business as reported in the Federal income tax return do not agree with the gross receipts reported to theDepartment of Revenue for the same period, the retailer shall attach to his annual return a schedule showing areconciliation of the 2 amounts and the reasons for the difference. The retailer's annual return to the Departmentshall also disclose the cost of goods sold by the retailer during the year covered by such return, opening and closinginventories of such goods for such year, costs of goods used from stock or taken from stock and given away by theretailer during such year, payroll information of the retailer's business during such year and any additionalreasonable information which the Department deems would be helpful in determining the accuracy of the monthly, quarterly or annual returns filed by such retailer as provided for in this Section. If the annual information return required by this Section is not filed when and as required, the taxpayer shall beliable as follows: (i) Until January 1, 1994, the taxpayer shall be liable for a penalty equal to 1/6 of 1% of the tax due from such taxpayer under this Act during the period to be covered by the annual return for

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[May 20, 2009] 306

each month or fraction of a month until such return is filed as required, the penalty to be assessed and collected in the same manner as any other penalty provided for in this Act.

(ii) On and after January 1, 1994, the taxpayer shall be liable for a penalty as described in Section 3-4 of the Uniform Penalty and Interest Act. The chief executive officer, proprietor, owner or highest ranking manager shall sign the annual return to certifythe accuracy of the information contained therein. Any person who willfully signs the annual return containing false or inaccurate information shall be guilty of perjury and punished accordingly. The annual return formprescribed by the Department shall include a warning that the person signing the return may be liable for perjury. The provisions of this Section concerning the filing of an annual information return do not apply to a retailer whois not required to file an income tax return with the United States Government. As soon as possible after the first day of each month, upon certification of the Department of Revenue, the Comptroller shall order transferred and the Treasurer shall transfer from the General Revenue Fund to the MotorFuel Tax Fund an amount equal to 1.7% of 80% of the net revenue realized under this Act for the second preceding month. Beginning April 1, 2000, this transfer is no longer required and shall not be made. Net revenue realized for a month shall be the revenue collected by the State pursuant to this Act, less the amountpaid out during that month as refunds to taxpayers for overpayment of liability. For greater simplicity of administration, manufacturers, importers and wholesalers whose products are sold atretail in Illinois by numerous retailers, and who wish to do so, may assume the responsibility for accounting and paying to the Department all tax accruing under this Act with respect to such sales, if the retailers who are affecteddo not make written objection to the Department to this arrangement. Any person who promotes, organizes, provides retail selling space for concessionaires or other types of sellers atthe Illinois State Fair, DuQuoin State Fair, county fairs, local fairs, art shows, flea markets and similar exhibitionsor events, including any transient merchant as defined by Section 2 of the Transient Merchant Act of 1987, is required to file a report with the Department providing the name of the merchant's business, the name of the personor persons engaged in merchant's business, the permanent address and Illinois Retailers Occupation Tax Registration Number of the merchant, the dates and location of the event and other reasonable information that theDepartment may require. The report must be filed not later than the 20th day of the month next following the monthduring which the event with retail sales was held. Any person who fails to file a report required by this Sectioncommits a business offense and is subject to a fine not to exceed $250. Any person engaged in the business of selling tangible personal property at retail as a concessionaire or other type of seller at the Illinois State Fair, county fairs, art shows, flea markets and similar exhibitions or events, or anytransient merchants, as defined by Section 2 of the Transient Merchant Act of 1987, may be required to make a daily report of the amount of such sales to the Department and to make a daily payment of the full amount of taxdue. The Department shall impose this requirement when it finds that there is a significant risk of loss of revenue tothe State at such an exhibition or event. Such a finding shall be based on evidence that a substantial number ofconcessionaires or other sellers who are not residents of Illinois will be engaging in the business of selling tangiblepersonal property at retail at the exhibition or event, or other evidence of a significant risk of loss of revenue to theState. The Department shall notify concessionaires and other sellers affected by the imposition of this requirement.In the absence of notification by the Department, the concessionaires and other sellers shall file their returns as otherwise required in this Section. (Source: P.A. 94-1074, eff. 12-26-06; 95-331, eff. 8-21-07.) Section 930. The Motor Fuel Tax Law is amended by changing Section 8 as follows: (35 ILCS 505/8) (from Ch. 120, par. 424) Sec. 8. Except as provided in Section 8a, subdivision (h)(1) of Section 12a, Section 13a.6, and items 13, 14, 15,and 16 of Section 15, all money received by the Department under this Act, including payments made to theDepartment by member jurisdictions participating in the International Fuel Tax Agreement, shall be deposited in aspecial fund in the State treasury, to be known as the "Motor Fuel Tax Fund", and shall be used as follows: (a) 2 1/2 cents per gallon of the tax collected on special fuel under paragraph (b) of Section 2 and Section 13a ofthis Act shall be transferred to the State Construction Account Fund in the State Treasury; (b) $420,000 shall be transferred each month to the State Boating Act Fund to be used by the Department of Natural Resources for the purposes specified in Article X of the Boat Registration and Safety Act; (c) $3,500,000 $2,250,000 shall be transferred each month to the Grade Crossing Protection Fund to be used asfollows: not less than $12,000,000 $6,000,000 each fiscal year shall be used for the construction or reconstructionof rail highway grade separation structures; $2,250,000 in fiscal years 2004 through 2009 and $3,000,000 in fiscal year 2010 year 2004 and each fiscal year thereafter shall be transferred to the Transportation Regulatory Fund andshall be accounted for as part of the rail carrier portion of such funds and shall be used to pay the cost ofadministration of the Illinois Commerce Commission's railroad safety program in connection with its duties under

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307 [May 20, 2009] subsection (3) of Section 18c-7401 of the Illinois Vehicle Code, with the remainder to be used by the Departmentof Transportation upon order of the Illinois Commerce Commission, to pay that part of the cost apportioned by such Commission to the State to cover the interest of the public in the use of highways, roads, streets, or pedestrianwalkways in the county highway system, township and district road system, or municipal street system as definedin the Illinois Highway Code, as the same may from time to time be amended, for separation of grades, forinstallation, construction or reconstruction of crossing protection or reconstruction, alteration, relocation includingconstruction or improvement of any existing highway necessary for access to property or improvement of anygrade crossing and grade crossing surface including the necessary highway approaches thereto of any railroadacross the highway or public road, or for the installation, construction, reconstruction, or maintenance of a pedestrian walkway over or under a railroad right-of-way, as provided for in and in accordance with Section 18c-7401 of the Illinois Vehicle Code. The Commission may order up to $2,000,000 per year in Grade CrossingProtection Fund moneys for the improvement of grade crossing surfaces and up to $300,000 per year for themaintenance and renewal of 4-quadrant gate vehicle detection systems located at non-high speed rail grade crossings. The Commission shall not order more than $2,000,000 per year in Grade Crossing Protection Fund moneys for pedestrian walkways. In entering orders for projects for which payments from the Grade CrossingProtection Fund will be made, the Commission shall account for expenditures authorized by the orders on a cash rather than an accrual basis. For purposes of this requirement an "accrual basis" assumes that the total cost of theproject is expended in the fiscal year in which the order is entered, while a "cash basis" allocates the cost of theproject among fiscal years as expenditures are actually made. To meet the requirements of this subsection, theIllinois Commerce Commission shall develop annual and 5-year project plans of rail crossing capital improvements that will be paid for with moneys from the Grade Crossing Protection Fund. The annual project plan shall identifyprojects for the succeeding fiscal year and the 5-year project plan shall identify projects for the 5 directlysucceeding fiscal years. The Commission shall submit the annual and 5-year project plans for this Fund to the Governor, the President of the Senate, the Senate Minority Leader, the Speaker of the House of Representatives,and the Minority Leader of the House of Representatives on the first Wednesday in April of each year; (d) of the amount remaining after allocations provided for in subsections (a), (b) and (c), a sufficient amountshall be reserved to pay all of the following: (1) the costs of the Department of Revenue in administering this Act; (2) the costs of the Department of Transportation in performing its duties imposed by

the Illinois Highway Code for supervising the use of motor fuel tax funds apportioned to municipalities, countiesand road districts;

(3) refunds provided for in Section 13 of this Act and under the terms of the International Fuel Tax Agreement referenced in Section 14a; (4) from October 1, 1985 until June 30, 1994, the administration of the Vehicle

Emissions Inspection Law, which amount shall be certified monthly by the Environmental Protection Agency tothe State Comptroller and shall promptly be transferred by the State Comptroller and Treasurer from the MotorFuel Tax Fund to the Vehicle Inspection Fund, and for the period July 1, 1994 through June 30, 2000, one-twelfth of $25,000,000 each month, for the period July 1, 2000 through June 30, 2003, one-twelfth of $30,000,000 each month, and $15,000,000 on July 1, 2003, and $15,000,000 on January 1, 2004, and$15,000,000 on each July 1 and October 1, or as soon thereafter as may be practical, during the period July 1,2004 through June 30, 2009, for the administration of the Vehicle Emissions Inspection Law of 2005, to betransferred by the State Comptroller and Treasurer from the Motor Fuel Tax Fund into the Vehicle Inspection Fund;

(5) amounts ordered paid by the Court of Claims; and (6) payment of motor fuel use taxes due to member jurisdictions under the terms of the

International Fuel Tax Agreement. The Department shall certify these amounts to the Comptroller by the 15thday of each month; the Comptroller shall cause orders to be drawn for such amounts, and the Treasurer shalladminister those amounts on or before the last day of each month;

(e) after allocations for the purposes set forth in subsections (a), (b), (c) and (d), the remaining amount shall beapportioned as follows: (1) Until January 1, 2000, 58.4%, and beginning January 1, 2000, 45.6% shall be deposited as follows: (A) 37% into the State Construction Account Fund, and (B) 63% into the Road Fund, $1,250,000 of which shall be reserved each month for

the Department of Transportation to be used in accordance with the provisions of Sections 6-901 through 6-906 of the Illinois Highway Code;

(2) Until January 1, 2000, 41.6%, and beginning January 1, 2000, 54.4% shall be

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[May 20, 2009] 308 transferred to the Department of Transportation to be distributed as follows: (A) 49.10% to the municipalities of the State, (B) 16.74% to the counties of the State having 1,000,000 or more inhabitants, (C) 18.27% to the counties of the State having less than 1,000,000 inhabitants, (D) 15.89% to the road districts of the State. As soon as may be after the first day of each month the Department of Transportation shall allot to eachmunicipality its share of the amount apportioned to the several municipalities which shall be in proportion to thepopulation of such municipalities as determined by the last preceding municipal census if conducted by the FederalGovernment or Federal census. If territory is annexed to any municipality subsequent to the time of the lastpreceding census the corporate authorities of such municipality may cause a census to be taken of such annexedterritory and the population so ascertained for such territory shall be added to the population of the municipality asdetermined by the last preceding census for the purpose of determining the allotment for that municipality. If the population of any municipality was not determined by the last Federal census preceding any apportionment, theapportionment to such municipality shall be in accordance with any census taken by such municipality. Any municipal census used in accordance with this Section shall be certified to the Department of Transportation by theclerk of such municipality, and the accuracy thereof shall be subject to approval of the Department which maymake such corrections as it ascertains to be necessary. As soon as may be after the first day of each month the Department of Transportation shall allot to each countyits share of the amount apportioned to the several counties of the State as herein provided. Each allotment to the several counties having less than 1,000,000 inhabitants shall be in proportion to the amount of motor vehiclelicense fees received from the residents of such counties, respectively, during the preceding calendar year. TheSecretary of State shall, on or before April 15 of each year, transmit to the Department of Transportation a full andcomplete report showing the amount of motor vehicle license fees received from the residents of each county,respectively, during the preceding calendar year. The Department of Transportation shall, each month, use for allotment purposes the last such report received from the Secretary of State. As soon as may be after the first day of each month, the Department of Transportation shall allot to the severalcounties their share of the amount apportioned for the use of road districts. The allotment shall be apportionedamong the several counties in the State in the proportion which the total mileage of township or district roads in therespective counties bears to the total mileage of all township and district roads in the State. Funds allotted to therespective counties for the use of road districts therein shall be allocated to the several road districts in the county inthe proportion which the total mileage of such township or district roads in the respective road districts bears to thetotal mileage of all such township or district roads in the county. After July 1 of any year, no allocation shall bemade for any road district unless it levied a tax for road and bridge purposes in an amount which will require the extension of such tax against the taxable property in any such road district at a rate of not less than either .08% ofthe value thereof, based upon the assessment for the year immediately prior to the year in which such tax was levied and as equalized by the Department of Revenue or, in DuPage County, an amount equal to or greater than$12,000 per mile of road under the jurisdiction of the road district, whichever is less. If any road district has levied a special tax for road purposes pursuant to Sections 6-601, 6-602 and 6-603 of the Illinois Highway Code, and such tax was levied in an amount which would require extension at a rate of not less than .08% of the value of thetaxable property thereof, as equalized or assessed by the Department of Revenue, or, in DuPage County, an amountequal to or greater than $12,000 per mile of road under the jurisdiction of the road district, whichever is less, suchlevy shall, however, be deemed a proper compliance with this Section and shall qualify such road district for an allotment under this Section. If a township has transferred to the road and bridge fund money which, when added tothe amount of any tax levy of the road district would be the equivalent of a tax levy requiring extension at a rate of at least .08%, or, in DuPage County, an amount equal to or greater than $12,000 per mile of road under thejurisdiction of the road district, whichever is less, such transfer, together with any such tax levy, shall be deemed a proper compliance with this Section and shall qualify the road district for an allotment under this Section. In counties in which a property tax extension limitation is imposed under the Property Tax Extension LimitationLaw, road districts may retain their entitlement to a motor fuel tax allotment if, at the time the property taxextension limitation was imposed, the road district was levying a road and bridge tax at a rate sufficient to entitle itto a motor fuel tax allotment and continues to levy the maximum allowable amount after the imposition of theproperty tax extension limitation. Any road district may in all circumstances retain its entitlement to a motor fueltax allotment if it levied a road and bridge tax in an amount that will require the extension of the tax against the taxable property in the road district at a rate of not less than 0.08% of the assessed value of the property, basedupon the assessment for the year immediately preceding the year in which the tax was levied and as equalized by the Department of Revenue or, in DuPage County, an amount equal to or greater than $12,000 per mile of roadunder the jurisdiction of the road district, whichever is less.

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309 [May 20, 2009] As used in this Section the term "road district" means any road district, including a county unit road district, provided for by the Illinois Highway Code; and the term "township or district road" means any road in the townshipand district road system as defined in the Illinois Highway Code. For the purposes of this Section, "road district" also includes park districts, forest preserve districts and conservation districts organized under Illinois law and"township or district road" also includes such roads as are maintained by park districts, forest preserve districts and conservation districts. The Department of Transportation shall determine the mileage of all township and districtroads for the purposes of making allotments and allocations of motor fuel tax funds for use in road districts. Payment of motor fuel tax moneys to municipalities and counties shall be made as soon as possible after theallotment is made. The treasurer of the municipality or county may invest these funds until their use is required andthe interest earned by these investments shall be limited to the same uses as the principal funds. (Source: P.A. 94-839, eff. 6-6-06; 95-744, eff. 7-18-08.) Section 935. The University of Illinois Act is amended by adding Section 12.5 as follows: (110 ILCS 305/12.5 new) Sec. 12.5. Study of effect of the Lottery on Illinois families. The University of Illinois at Urbana-Champaign shall conduct a study, subject to appropriation, on the effect on Illinois families of members of the familypurchasing Illinois Lottery tickets. The University of Illinois at Urbana-Champaign shall report its findings to the General Assembly on or before January 1, 2011. Section 940. The Riverboat Gambling Act is amended by changing Sections 5 and 17 as follows: (230 ILCS 10/5) (from Ch. 120, par. 2405) Sec. 5. Gaming Board. (a) (1) There is hereby established within the Department of Revenue an Illinois Gaming Board which shall havethe powers and duties specified in this Act, and all other powers necessary and proper to fully and effectivelyexecute this Act for the purpose of administering, regulating, and enforcing the system of riverboat gamblingestablished by this Act. Its jurisdiction shall extend under this Act to every person, association, corporation,partnership and trust involved in riverboat gambling operations in the State of Illinois. (2) The Board shall consist of 5 members to be appointed by the Governor with the advice and consent of theSenate, one of whom shall be designated by the Governor to be chairman. Each member shall have a reasonable knowledge of the practice, procedure and principles of gambling operations. Each member shall either be a residentof Illinois or shall certify that he will become a resident of Illinois before taking office. At least one member shallbe experienced in law enforcement and criminal investigation, at least one member shall be a certified publicaccountant experienced in accounting and auditing, and at least one member shall be a lawyer licensed to practicelaw in Illinois. (3) The terms of office of the Board members shall be 3 years, except that the terms of office of the initial Boardmembers appointed pursuant to this Act will commence from the effective date of this Act and run as follows: onefor a term ending July 1, 1991, 2 for a term ending July 1, 1992, and 2 for a term ending July 1, 1993. Upon theexpiration of the foregoing terms, the successors of such members shall serve a term for 3 years and until theirsuccessors are appointed and qualified for like terms. Vacancies in the Board shall be filled for the unexpired term in like manner as original appointments. Each member of the Board shall be eligible for reappointment at thediscretion of the Governor with the advice and consent of the Senate. (4) Each member of the Board shall receive $300 for each day the Board meets and for each day the memberconducts any hearing pursuant to this Act. Each member of the Board shall also be reimbursed for all actual andnecessary expenses and disbursements incurred in the execution of official duties. (5) No person shall be appointed a member of the Board or continue to be a member of the Board who is, orwhose spouse, child or parent is, a member of the board of directors of, or a person financially interested in, anygambling operation subject to the jurisdiction of this Board, or any race track, race meeting, racing association orthe operations thereof subject to the jurisdiction of the Illinois Racing Board. No Board member shall hold anyother public office for which he shall receive compensation other than necessary travel or other incidental expenses.No person shall be a member of the Board who is not of good moral character or who has been convicted of, or isunder indictment for, a felony under the laws of Illinois or any other state, or the United States. (6) Any member of the Board may be removed by the Governor for neglect of duty, misfeasance, malfeasance,or nonfeasance in office. (7) Before entering upon the discharge of the duties of his office, each member of the Board shall take an oath that he will faithfully execute the duties of his office according to the laws of the State and the rules and regulationsadopted therewith and shall give bond to the State of Illinois, approved by the Governor, in the sum of $25,000. Every such bond, when duly executed and approved, shall be recorded in the office of the Secretary of State.Whenever the Governor determines that the bond of any member of the Board has become or is likely to becomeinvalid or insufficient, he shall require such member forthwith to renew his bond, which is to be approved by the

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[May 20, 2009] 310 Governor. Any member of the Board who fails to take oath and give bond within 30 days from the date of hisappointment, or who fails to renew his bond within 30 days after it is demanded by the Governor, shall be guilty of neglect of duty and may be removed by the Governor. The cost of any bond given by any member of the Boardunder this Section shall be taken to be a part of the necessary expenses of the Board. (8) Upon the request of the Board, the Department shall employ such personnel as may be necessary to carry outthe functions of the Board. No person shall be employed to serve the Board who is, or whose spouse, parent orchild is, an official of, or has a financial interest in or financial relation with, any operator engaged in gamblingoperations within this State or any organization engaged in conducting horse racing within this State. Anyemployee violating these prohibitions shall be subject to termination of employment. (9) An Administrator shall perform any and all duties that the Board shall assign him. The salary of theAdministrator shall be determined by the Board and approved by the Director of the Department and, in addition,he shall be reimbursed for all actual and necessary expenses incurred by him in discharge of his official duties. TheAdministrator shall keep records of all proceedings of the Board and shall preserve all records, books, documentsand other papers belonging to the Board or entrusted to its care. The Administrator shall devote his full time to theduties of the office and shall not hold any other office or employment. (b) The Board shall have general responsibility for the implementation of this Act. Its duties include, without limitation, the following: (1) To decide promptly and in reasonable order all license applications. Any party

aggrieved by an action of the Board denying, suspending, revoking, restricting or refusing to renew a licensemay request a hearing before the Board. A request for a hearing must be made to the Board in writing within 5days after service of notice of the action of the Board. Notice of the action of the Board shall be served either bypersonal delivery or by certified mail, postage prepaid, to the aggrieved party. Notice served by certified mailshall be deemed complete on the business day following the date of such mailing. The Board shall conduct allrequested hearings promptly and in reasonable order;

(2) To conduct all hearings pertaining to civil violations of this Act or rules and regulations promulgated hereunder; (3) To promulgate such rules and regulations as in its judgment may be necessary to

protect or enhance the credibility and integrity of gambling operations authorized by this Act and the regulatoryprocess hereunder;

(4) To provide for the establishment and collection of all license and registration

fees and taxes imposed by this Act and the rules and regulations issued pursuant hereto. All such fees and taxes shall be deposited into the State Gaming Fund;

(5) To provide for the levy and collection of penalties and fines for the violation of

provisions of this Act and the rules and regulations promulgated hereunder. All such fines and penalties shall bedeposited into the Education Assistance Fund, created by Public Act 86-0018, of the State of Illinois;

(6) To be present through its inspectors and agents any time gambling operations are

conducted on any riverboat for the purpose of certifying the revenue thereof, receiving complaints from thepublic, and conducting such other investigations into the conduct of the gambling games and the maintenance ofthe equipment as from time to time the Board may deem necessary and proper;

(7) To review and rule upon any complaint by a licensee regarding any investigative

procedures of the State which are unnecessarily disruptive of gambling operations. The need to inspect and investigate shall be presumed at all times. The disruption of a licensee's operations shall be proved by clear andconvincing evidence, and establish that: (A) the procedures had no reasonable law enforcement purposes, and(B) the procedures were so disruptive as to unreasonably inhibit gambling operations;

(8) To hold at least one meeting each quarter of the fiscal year. In addition, special

meetings may be called by the Chairman or any 2 Board members upon 72 hours written notice to each member. All Board meetings shall be subject to the Open Meetings Act. Three members of the Board shall constitute aquorum, and 3 votes shall be required for any final determination by the Board. The Board shall keep a completeand accurate record of all its meetings. A majority of the members of the Board shall constitute a quorum for thetransaction of any business, for the performance of any duty, or for the exercise of any power which this Actrequires the Board members to transact, perform or exercise en banc, except that, upon order of the Board, one of the Board members or an administrative law judge designated by the Board may conduct any hearing providedfor under this Act or by Board rule and may recommend findings and decisions to the Board. The Board member or administrative law judge conducting such hearing shall have all powers and rights granted to the Board in thisAct. The record made at the time of the hearing shall be reviewed by the Board, or a majority thereof, and thefindings and decision of the majority of the Board shall constitute the order of the Board in such case;

(9) To maintain records which are separate and distinct from the records of any other

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311 [May 20, 2009]

State board or commission. Such records shall be available for public inspection and shall accurately reflect all Board proceedings;

(10) To file a written annual report with the Governor on or before March 1 each year

and such additional reports as the Governor may request. The annual report shall include a statement of receipts and disbursements by the Board, actions taken by the Board, and any additional information andrecommendations which the Board may deem valuable or which the Governor may request;

(11) (Blank); and (12) To assume responsibility for the administration and enforcement of the Bingo

License and Tax Act, the Charitable Games Act, and the Pull Tabs and Jar Games Act if such responsibility isdelegated to it by the Director of Revenue; and .

(13) To assume responsibility for administration and enforcement of the Video Gaming Act. (c) The Board shall have jurisdiction over and shall supervise all gambling operations governed by this Act. TheBoard shall have all powers necessary and proper to fully and effectively execute the provisions of this Act,including, but not limited to, the following: (1) To investigate applicants and determine the eligibility of applicants for licenses and to select among competing applicants the applicants which best serve the interests of the citizens of Illinois. (2) To have jurisdiction and supervision over all riverboat gambling operations in this State and all persons on riverboats where gambling operations are conducted. (3) To promulgate rules and regulations for the purpose of administering the provisions

of this Act and to prescribe rules, regulations and conditions under which all riverboat gambling in the State shallbe conducted. Such rules and regulations are to provide for the prevention of practices detrimental to the publicinterest and for the best interests of riverboat gambling, including rules and regulations regarding the inspectionof such riverboats and the review of any permits or licenses necessary to operate a riverboat under any laws or regulations applicable to riverboats, and to impose penalties for violations thereof.

(4) To enter the office, riverboats, facilities, or other places of business of a

licensee, where evidence of the compliance or noncompliance with the provisions of this Act is likely to befound.

(5) To investigate alleged violations of this Act or the rules of the Board and to take

appropriate disciplinary action against a licensee or a holder of an occupational license for a violation, or institute appropriate legal action for enforcement, or both.

(6) To adopt standards for the licensing of all persons under this Act, as well as for electronic or mechanical gambling games, and to establish fees for such licenses. (7) To adopt appropriate standards for all riverboats and facilities. (8) To require that the records, including financial or other statements of any

licensee under this Act, shall be kept in such manner as prescribed by the Board and that any such licenseeinvolved in the ownership or management of gambling operations submit to the Board an annual balance sheetand profit and loss statement, list of the stockholders or other persons having a 1% or greater beneficial interest in the gambling activities of each licensee, and any other information the Board deems necessary in order toeffectively administer this Act and all rules, regulations, orders and final decisions promulgated under this Act.

(9) To conduct hearings, issue subpoenas for the attendance of witnesses and subpoenas

duces tecum for the production of books, records and other pertinent documents in accordance with the IllinoisAdministrative Procedure Act, and to administer oaths and affirmations to the witnesses, when, in the judgmentof the Board, it is necessary to administer or enforce this Act or the Board rules.

(10) To prescribe a form to be used by any licensee involved in the ownership or management of gambling operations as an application for employment for their employees. (11) To revoke or suspend licenses, as the Board may see fit and in compliance with

applicable laws of the State regarding administrative procedures, and to review applications for the renewal of licenses. The Board may suspend an owners license, without notice or hearing upon a determination that thesafety or health of patrons or employees is jeopardized by continuing a riverboat's operation. The suspension may remain in effect until the Board determines that the cause for suspension has been abated. The Board mayrevoke the owners license upon a determination that the owner has not made satisfactory progress toward abatingthe hazard.

(12) To eject or exclude or authorize the ejection or exclusion of, any person from

riverboat gambling facilities where such person is in violation of this Act, rules and regulations thereunder, orfinal orders of the Board, or where such person's conduct or reputation is such that his presence within theriverboat gambling facilities may, in the opinion of the Board, call into question the honesty and integrity of thegambling operations or interfere with orderly conduct thereof; provided that the propriety of such ejection or

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[May 20, 2009] 312

exclusion is subject to subsequent hearing by the Board. (13) To require all licensees of gambling operations to utilize a cashless wagering

system whereby all players' money is converted to tokens, electronic cards, or chips which shall be used only for wagering in the gambling establishment.

(14) (Blank). (15) To suspend, revoke or restrict licenses, to require the removal of a licensee or

an employee of a licensee for a violation of this Act or a Board rule or for engaging in a fraudulent practice, andto impose civil penalties of up to $5,000 against individuals and up to $10,000 or an amount equal to the dailygross receipts, whichever is larger, against licensees for each violation of any provision of the Act, any rules adopted by the Board, any order of the Board or any other action which, in the Board's discretion, is a detrimentor impediment to riverboat gambling operations.

(16) To hire employees to gather information, conduct investigations and carry out any other tasks contemplated under this Act. (17) To establish minimum levels of insurance to be maintained by licensees. (18) To authorize a licensee to sell or serve alcoholic liquors, wine or beer as

defined in the Liquor Control Act of 1934 on board a riverboat and to have exclusive authority to establish thehours for sale and consumption of alcoholic liquor on board a riverboat, notwithstanding any provision of theLiquor Control Act of 1934 or any local ordinance, and regardless of whether the riverboat makes excursions.The establishment of the hours for sale and consumption of alcoholic liquor on board a riverboat is an exclusivepower and function of the State. A home rule unit may not establish the hours for sale and consumption ofalcoholic liquor on board a riverboat. This amendatory Act of 1991 is a denial and limitation of home rulepowers and functions under subsection (h) of Section 6 of Article VII of the Illinois Constitution.

(19) After consultation with the U.S. Army Corps of Engineers, to establish binding

emergency orders upon the concurrence of a majority of the members of the Board regarding the navigability ofwater, relative to excursions, in the event of extreme weather conditions, acts of God or other extremecircumstances.

(20) To delegate the execution of any of its powers under this Act for the purpose of administering and enforcing this Act and its rules and regulations hereunder. (21) To take any other action as may be reasonable or appropriate to enforce this Act and rules and regulations hereunder. (d) The Board may seek and shall receive the cooperation of the Department of State Police in conducting background investigations of applicants and in fulfilling its responsibilities under this Section. Costs incurred bythe Department of State Police as a result of such cooperation shall be paid by the Board in conformance with therequirements of Section 2605-400 of the Department of State Police Law (20 ILCS 2605/2605-400). (e) The Board must authorize to each investigator and to any other employee of the Board exercising the powersof a peace officer a distinct badge that, on its face, (i) clearly states that the badge is authorized by the Board and(ii) contains a unique identifying number. No other badge shall be authorized by the Board. (Source: P.A. 91-40, eff. 1-1-00; 91-239, eff. 1-1-00; 91-883, eff. 1-1-01.) (230 ILCS 10/17) (from Ch. 120, par. 2417) Sec. 17. Administrative Procedures. The Illinois Administrative Procedure Act shall apply to all administrativerules and procedures of the Board under this Act or the Video Gaming Act, except that: (1) subsection (b) of Section 5-10 of the Illinois Administrative Procedure Act does not apply to final orders, decisions and opinions ofthe Board; (2) subsection (a) of Section 5-10 of the Illinois Administrative Procedure Act does not apply to formsestablished by the Board for use under this Act or the Video Gaming Act; (3) the provisions of Section 10-45 of the Illinois Administrative Procedure Act regarding proposals for decision are excluded under this Act or the Video Gaming Act; and (4) the provisions of subsection (d) of Section 10-65 of the Illinois Administrative Procedure Act do not apply so as to prevent summary suspension of any license pending revocation or other action, whichsuspension shall remain in effect unless modified by the Board or unless the Board's decision is reversed on the merits upon judicial review. (Source: P.A. 88-45; 89-626, eff. 8-9-96.) Section 945. The Liquor Control Act of 1934 is amended by changing Section 8-1 as follows: (235 ILCS 5/8-1) (from Ch. 43, par. 158) Sec. 8-1. A tax is imposed upon the privilege of engaging in business as a manufacturer or as an importingdistributor of alcoholic liquor other than beer at the rate of $0.185 per gallon for cider containing not less than 0.5%alcohol by volume nor more than 7% alcohol by volume, $0.73 per gallon until August 1, 2009 and $1.39 per gallon beginning August 1, 2009 for wine other than cider containing less than 7% alcohol by volume, and $4.50per gallon until August 1, 2009 and $8.55 per gallon beginning August 1, 2009 on alcohol and spirits manufactured

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313 [May 20, 2009] and sold or used by such manufacturer, or as agent for any other person, or sold or used by such importingdistributor, or as agent for any other person. A tax is imposed upon the privilege of engaging in business as amanufacturer of beer or as an importing distributor of beer at the rate of $0.185 per gallon until August 1, 2009 and $0.231 per gallon beginning August 1, 2009 on all beer manufactured and sold or used by such manufacturer, or asagent for any other person, or sold or used by such importing distributor, or as agent for any other person. Anybrewer manufacturing beer in this State shall be entitled to and given a credit or refund of 75% of the tax imposedon each gallon of beer up to 4.9 million gallons per year in any given calendar year for tax paid or payable on beerproduced and sold in the State of Illinois. For the purpose of this Section, "cider" means any alcoholic beverage obtained by the alcohol fermentation of thejuice of apples or pears including, but not limited to, flavored, sparkling, or carbonated cider. The credit or refund created by this Act shall apply to all beer taxes in the calendar years 1982 through 1986. The increases made by this amendatory Act of the 91st General Assembly in the rates of taxes imposed under this Section shall apply beginning on July 1, 1999. A tax at the rate of 1¢ per gallon on beer and 48¢ per gallon on alcohol and spirits is also imposed upon theprivilege of engaging in business as a retailer or as a distributor who is not also an importing distributor withrespect to all beer and all alcohol and spirits owned or possessed by such retailer or distributor when thisamendatory Act of 1969 becomes effective, and with respect to which the additional tax imposed by this amendatory Act upon manufacturers and importing distributors does not apply. Retailers and distributors who aresubject to the additional tax imposed by this paragraph of this Section shall be required to inventory such alcoholicliquor and to pay this additional tax in a manner prescribed by the Department. The provisions of this Section shall be construed to apply to any importing distributor engaging in business inthis State, whether licensed or not. However, such tax is not imposed upon any such business as to any alcoholic liquor shipped outside Illinois byan Illinois licensed manufacturer or importing distributor, nor as to any alcoholic liquor delivered in Illinois by anIllinois licensed manufacturer or importing distributor to a purchaser for immediate transportation by the purchaserto another state into which the purchaser has a legal right, under the laws of such state, to import such alcoholicliquor, nor as to any alcoholic liquor other than beer sold by one Illinois licensed manufacturer or importing distributor to another Illinois licensed manufacturer or importing distributor to the extent to which the sale ofalcoholic liquor other than beer by one Illinois licensed manufacturer or importing distributor to another Illinois licensed manufacturer or importing distributor is authorized by the licensing provisions of this Act, nor to alcoholicliquor whether manufactured in or imported into this State when sold to a "non-beverage user" licensed by the State for use in the manufacture of any of the following when they are unfit for beverage purposes: Patent and proprietary medicines and medicinal, antiseptic, culinary and toilet preparations; Flavoring extracts and syrups and food products; Scientific, industrial and chemical products, excepting denatured alcohol; Or for scientific, chemical, experimental or mechanical purposes; Nor is the tax imposed upon the privilege of engaging in any business in interstate commerce or otherwise,which business may not, under the Constitution and Statutes of the United States, be made the subject of taxationby this State. The tax herein imposed shall be in addition to all other occupation or privilege taxes imposed by the State ofIllinois or political subdivision thereof. If any alcoholic liquor manufactured in or imported into this State is sold to a licensed manufacturer or importingdistributor by a licensed manufacturer or importing distributor to be used solely as an ingredient in the manufacture of any beverage for human consumption, the tax imposed upon such purchasing manufacturer or importingdistributor shall be reduced by the amount of the taxes which have been paid by the selling manufacturer orimporting distributor under this Act as to such alcoholic liquor so used to the Department of Revenue. If any person received any alcoholic liquors from a manufacturer or importing distributor, with respect to whichalcoholic liquors no tax is imposed under this Article, and such alcoholic liquor shall thereafter be disposed of in such manner or under such circumstances as may cause the same to become the base for the tax imposed by thisArticle, such person shall make the same reports and returns, pay the same taxes and be subject to all other provisions of this Article relating to manufacturers and importing distributors. Nothing in this Article shall be construed to require the payment to the Department of the taxes imposed by thisArticle more than once with respect to any quantity of alcoholic liquor sold or used within this State. No tax is imposed by this Act on sales of alcoholic liquor by Illinois licensed foreign importers to Illinoislicensed importing distributors. All of the proceeds of the additional tax imposed by this amendatory Act of the 96th General Assembly shall bedeposited into the Capital Projects Fund.

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[May 20, 2009] 314 (Source: P.A. 90-625, eff. 7-10-98; 91-38, eff. 6-15-99.) Section 955. The Illinois Vehicle Code is amended by changing Sections 3-806, 3-808, 3-815, 3-821, 6-118, 15-102, 15-107, 15-111, 15-112, 15-113, 15-306, 15-307, and 16-105 and by adding Section 3-806.7 as follows: (625 ILCS 5/3-806) (from Ch. 95 1/2, par. 3-806) Sec. 3-806. Registration Fees; Motor Vehicles of the First Division. Every owner of any other motor vehicle of the first division, except as provided in Sections 3-804, 3-805, 3-806.3, and 3-808, and every second division vehicle weighing 8,000 pounds or less, shall pay the Secretary of State an annual registration fee at the following rates:

SCHEDULE OF REGISTRATION FEES REQUIRED BY LAW

Beginning with the 1986 registration year Reduced Fee Annual On and After Fee June 15Motor vehicles of the first division other than Motorcycles, Motor Driven Cycles and Pedalcycles $48 $24 Reduced Fee September 16 to March 31Motorcycles, Motor Driven Cycles and Pedalcycles 30 15

SCHEDULE OF REGISTRATION FEES REQUIRED BY LAW

Beginning with the 2010 2001 registration year Reduced Fee Annual On and After Fee June 15Motor vehicles of the first division other than Motorcycles, Motor Driven Cycles and Pedalcycles $98 $78 $39 Reduced Fee September 16 to March 31Motorcycles, Motor Driven Cycles and Pedalcycles 38 19 Beginning with the 2010 registration year a $1 surcharge shall be collected in addition to the above fees formotor vehicles of the first division, motorcycles, motor driven cycles, and pedalcycles to be deposited into the StatePolice Vehicle Fund. All of the proceeds of the additional fees imposed by this amendatory Act of the 96th General Assembly shall bedeposited into the Capital Projects Fund. (Source: P.A. 95-1009, eff. 12-15-08.) (625 ILCS 5/3-806.7 new) Sec. 3-806.7. Graduated registration fee; study. The Secretary of State, in cooperation with the Department ofRevenue, shall complete a feasibility study for the implementation and enforcement of a graduated registration feebased on the manufacturer's suggested retail price of motor vehicles of the first division, and second division vehicles weighing 8,000 pounds or less. This study shall include, but shall not be limited to the costs associatedwith design and maintenance of all systems and database applications required; suggested fee structures to create a revenue neutral graduated registration fee system; and consideration of annual depreciation of vehicles, reflectiveof fair market value. The findings of this feasibility study shall be delivered to the Senate President, Speaker of the House of Representatives, Minority Leader of the Senate, and the Minority Leader of the House of Representatives no laterthan January 31, 2010. (625 ILCS 5/3-808) (from Ch. 95 1/2, par. 3-808)

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315 [May 20, 2009] Sec. 3-808. Governmental and charitable vehicles; Registration fees. (a) A registration fee of $10 per 2 year registration period shall be paid by the owner in the following cases: 1. Vehicles operated exclusively as a school bus for school purposes by any school

district or any religious or denominational institution, except that such a school bus may be used by such areligious or denominational institution for the transportation of persons to or from any of its official activities.

2. Vehicles operated exclusively in a high school driver training program by any school district or school operated by a religious institution. 3. Rescue squad vehicles which are owned and operated by a corporation or association organized and operated not for profit for the purpose of conducting such rescue operations. 4. Vehicles, used exclusively as school buses for any school district, which are neither owned nor operated by such district. 5. Charitable vehicles. (b) Annual vehicle registration plates shall be issued, at no charge, to the following: 1. Medical transport vehicles owned and operated by the State of Illinois or by any State agency financed by funds appropriated by the General Assembly. 2. Medical transport vehicles operated by or for any county, township or municipal corporation. (c) Ceremonial plates. Upon payment of a registration fee of $98 $78 per 2-year registration period, the Secretary of State shall issue registration plates to vehicles operated exclusively for ceremonial purposes by any not-for-profit veterans', fraternal, or civic organization. The Secretary of State may prescribe that ceremonial vehicle registrationplates be issued for an indefinite term, that term to correspond to the term of registration plates issued generally, asprovided in Section 3-414.1. All of the proceeds of the additional fees imposed by this amendatory Act of the 96th General Assembly shall bedeposited into the Capital Projects Fund. (d) In any event, any vehicle registered under this Section used or operated for purposes other than those hereinprescribed shall be subject to revocation, and in that event, the owner may be required to properly register suchvehicle under the provisions of this Code. (e) As a prerequisite to registration under this Section, the Secretary of State may require the vehicle ownerslisted in subsection (a) of this Section who are exempt from federal income taxation under subsection (c) of Section501 of the Internal Revenue Code of 1986, as now or hereafter amended, to submit to him a determination letter,ruling or other written evidence of tax exempt status issued by the Internal Revenue Service. The Secretary mayaccept a certified copy of the document issued by the Internal Revenue Service as evidence of the exemption. TheSecretary may require documentation of eligibility under this Section to accompany an application for registration. (f) Special event plates. The Secretary of State may issue registration plates in recognition or commemoration of special events which promote the interests of Illinois citizens. These plates shall be valid for no more than 60 daysprior to the date of expiration. The Secretary shall require the applicant for such plates to pay for the costs of furnishing the plates. Beginning July 1, 1991, all special event plates shall be recorded in the Secretary of State's files for immediateidentification. The Secretary of State, upon issuing a new series of special event plates, shall notify all law enforcement officials of the design and other special features of the special plate series. All special event plates shall indicate, in the lower right corner, the date of expiration in characters no less than1/2 inch high. (Source: P.A. 90-89, eff. 1-1-98; 91-37, eff. 7-1-99.) (625 ILCS 5/3-815) (from Ch. 95 1/2, par. 3-815) Sec. 3-815. Flat weight tax; vehicles of the second division. (a) Except as provided in Section 3-806.3, every owner of a vehicle of the second division registered under Section 3-813, and not registered under the mileage weight tax under Section 3-818, shall pay to the Secretary of State, for each registration year, for the use of the public highways, a flat weight tax at the rates set forth in the following table, the rates including the $10 registration fee:

SCHEDULE OF FLAT WEIGHT TAX REQUIRED BY LAW

Gross Weight in Lbs. Total FeesIncluding Vehicle each Fiscaland Maximum yearLoad Class 8,000 lbs. and less B $98 $78

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[May 20, 2009] 316 8,001 lbs. to 12,000 lbs. D 13812,001 lbs. to 16,000 lbs. F 24216,001 lbs. to 26,000 lbs. H 49026,001 lbs. to 28,000 lbs. J 63028,001 lbs. to 32,000 lbs. K 84232,001 lbs. to 36,000 lbs. L 98236,001 lbs. to 40,000 lbs. N 1,20240,001 lbs. to 45,000 lbs. P 1,39045,001 lbs. to 50,000 lbs. Q 1,53850,001 lbs. to 54,999 lbs. R 1,69855,000 lbs. to 59,500 lbs. S 1,83059,501 lbs. to 64,000 lbs. T 1,97064,001 lbs. to 73,280 lbs. V 2,29473,281 lbs. to 77,000 lbs. X 2,62277,001 lbs. to 80,000 lbs. Z 2,790 Beginning with the 2010 registration year a $1 surcharge shall be collected for vehicles registered in the 8,000lbs. and less flat weight plate category above to be deposited into the State Police Vehicle Fund. All of the proceeds of the additional fees imposed by this amendatory Act of the 96th General Assembly shall bedeposited into the Capital Projects Fund. (a-1) A Special Hauling Vehicle is a vehicle or combination of vehicles of the second division registered under Section 3-813 transporting asphalt or concrete in the plastic state or a vehicle or combination of vehicles that aresubject to the gross weight limitations in subsection (b) of Section 15-111 for which the owner of the vehicle or combination of vehicles has elected to pay, in addition to the registration fee in subsection (a), $125 to theSecretary of State for each registration year. The Secretary shall designate this class of vehicle as a Special HaulingVehicle. (b) Except as provided in Section 3-806.3, every camping trailer, motor home, mini motor home, travel trailer,truck camper or van camper used primarily for recreational purposes, and not used commercially, nor for hire, norowned by a commercial business, may be registered for each registration year upon the filing of a proper application and the payment of a registration fee and highway use tax, according to the following table of fees:

MOTOR HOME, MINI MOTOR HOME, TRUCK CAMPER OR VAN CAMPER Gross Weight in Lbs. Total FeesIncluding Vehicle and EachMaximum Load Calendar Year8,000 lbs and less $788,001 Lbs. to 10,000 Lbs 9010,001 Lbs. and Over 102

CAMPING TRAILER OR TRAVEL TRAILER Gross Weight in Lbs. Total FeesIncluding Vehicle and EachMaximum Load Calendar Year3,000 Lbs. and Less $183,001 Lbs. to 8,000 Lbs. 308,001 Lbs. to 10,000 Lbs. 3810,001 Lbs. and Over 50 Every house trailer must be registered under Section 3-819. (c) Farm Truck. Any truck used exclusively for the owner's own agricultural, horticultural or livestock raising operations and not-for-hire only, or any truck used only in the transportation for-hire of seasonal, fresh, perishable fruit or vegetables from farm to the point of first processing, may be registered by the owner under this paragraph in lieu of registration under paragraph (a), upon filing of a proper application and the payment of the $10registration fee and the highway use tax herein specified as follows:

SCHEDULE OF FEES AND TAXES Gross Weight in Lbs. Total Amount forIncluding Truck and eachMaximum Load Class Fiscal Year16,000 lbs. or less VF $15016,001 to 20,000 lbs. VG 22620,001 to 24,000 lbs. VH 290

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317 [May 20, 2009] 24,001 to 28,000 lbs. VJ 37828,001 to 32,000 lbs. VK 50632,001 to 36,000 lbs. VL 61036,001 to 45,000 lbs. VP 81045,001 to 54,999 lbs. VR 1,02655,000 to 64,000 lbs. VT 1,20264,001 to 73,280 lbs. VV 1,29073,281 to 77,000 lbs. VX 1,35077,001 to 80,000 lbs. VZ 1,490 In the event the Secretary of State revokes a farm truck registration as authorized by law, the owner shall pay the flat weight tax due hereunder before operating such truck. Any combination of vehicles having 5 axles, with a distance of 42 feet or less between extreme axles, that aresubject to the weight limitations in subsection (a) and (b) of Section 15-111 for which the owner of the combination of vehicles has elected to pay, in addition to the registration fee in subsection (c), $125 to the Secretary of State foreach registration year shall be designated by the Secretary as a Special Hauling Vehicle. (d) The number of axles necessary to carry the maximum load provided shall be determined from Chapter 15 ofthis Code. (e) An owner may only apply for and receive 5 farm truck registrations, and only 2 of those 5 vehicles shall exceed 59,500 gross weight in pounds per vehicle. (f) Every person convicted of violating this Section by failure to pay the appropriate flat weight tax to theSecretary of State as set forth in the above tables shall be punished as provided for in Section 3-401. (Source: P.A. 95-1009, eff. 12-15-08.) (625 ILCS 5/3-821) (from Ch. 95 1/2, par. 3-821) Sec. 3-821. Miscellaneous Registration and Title Fees. (a) The fee to be paid to the Secretary of State for the following certificates, registrations or evidences of proper registration, or for corrected or duplicate documents shall be in accordance with the following schedule: Certificate of Title, except for an all-terrain vehicle or off-highway motorcycle $95 $65 Certificate of Title for an all-terrain vehicle or off-highway motorcycle $30 Certificate of Title for an all-terrain vehicle or off-highway motorcycle used for production agriculture, or accepted by a dealer in trade 13 Transfer of Registration or any evidence of proper registration $25 15 Duplicate Registration Card for plates or other evidence of proper registration 3 Duplicate Registration Sticker or Stickers issued on or before February 28, 2005, each 5 Duplicate Registration Sticker or Stickers issued on or after March 1, 2005, each 20 Duplicate Certificate of Title 95 65 Corrected Registration Card or Card for other evidence of proper registration 3 Corrected Certificate of Title 95 65 Salvage Certificate 4 Fleet Reciprocity Permit 15 Prorate Decal 1 Prorate Backing Plate 3 Special Corrected Certificate of Title 15 A special corrected certificate of title shall be issued (i) to remove a co-owner's name due to the death of the co-owner or due to a divorce or (ii) to change a co-owner's name due to a marriage. There shall be no fee paid for a Junking Certificate. (a-5) The Secretary of State may revoke a certificate of title and registration card and issue a corrected certificate of title and registration card, at no fee to the vehicle owner or lienholder, if there is proof that the vehicleidentification number is erroneously shown on the original certificate of title. (b) The Secretary may prescribe the maximum service charge to be imposed upon an applicant for renewal of aregistration by any person authorized by law to receive and remit or transmit to the Secretary such renewalapplication and fees therewith.

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[May 20, 2009] 318 (c) If a check is delivered to the Office of the Secretary of State as payment of any fee or tax under this Code,and such check is not honored by the bank on which it is drawn for any reason, the registrant or other persontendering the check remains liable for the payment of such fee or tax. The Secretary of State may assess a service charge of $19 in addition to the fee or tax due and owing for all dishonored checks. If the total amount then due and owing exceeds the sum of $50 and has not been paid in full within 60 days fromthe date such fee or tax became due to the Secretary of State, the Secretary of State shall assess a penalty of 25% ofsuch amount remaining unpaid. All amounts payable under this Section shall be computed to the nearest dollar. (d) The minimum fee and tax to be paid by any applicant for apportionment of a fleet of vehicles under this Codeshall be $15 if the application was filed on or before the date specified by the Secretary together with fees and taxesdue. If an application and the fees or taxes due are filed after the date specified by the Secretary, the Secretary mayprescribe the payment of interest at the rate of 1/2 of 1% per month or fraction thereof after such due date and aminimum of $8. (e) Trucks, truck tractors, truck tractors with loads, and motor buses, any one of which having a combined totalweight in excess of 12,000 lbs. shall file an application for a Fleet Reciprocity Permit issued by the Secretary ofState. This permit shall be in the possession of any driver operating a vehicle on Illinois highways. Any foreign licensed vehicle of the second division operating at any time in Illinois without a Fleet Reciprocity Permit or otherproper Illinois registration, shall subject the operator to the penalties provided in Section 3-834 of this Code. For the purposes of this Code, "Fleet Reciprocity Permit" means any second division motor vehicle with a foreignlicense and used only in interstate transportation of goods. The fee for such permit shall be $15 per fleet which shallinclude all vehicles of the fleet being registered. (f) For purposes of this Section, "all-terrain vehicle or off-highway motorcycle used for production agriculture" means any all-terrain vehicle or off-highway motorcycle used in the raising of or the propagation of livestock, crops for sale for human consumption, crops for livestock consumption, and production seed stock grown for thepropagation of feed grains and the husbandry of animals or for the purpose of providing a food product, includingthe husbandry of blood stock as a main source of providing a food product. "All-terrain vehicle or off-highway motorcycle used in production agriculture" also means any all-terrain vehicle or off-highway motorcycle used in animal husbandry, floriculture, aquaculture, horticulture, and viticulture. (g) All of the proceeds of the additional fees imposed by this amendatory Act of the 96th General Assembly shallbe deposited into the Capital Projects Fund. (Source: P.A. 95-287, eff. 1-1-08.) (625 ILCS 5/6-118) (from Ch. 95 1/2, par. 6-118) Sec. 6-118. Fees. (a) The fee for licenses and permits under this Article is as follows: Original driver's license............................................................................................$30 $10 Original or renewal driver's license issued to 18, 19 and 20 year olds................................................................................. 5 All driver's licenses for persons age 69 through age 80................................................................................................... 5 All driver's licenses for persons age 81 through age 86................................................................................................... 2 All driver's licenses for persons age 87 or older..............................................................................................................0 Renewal driver's license (except for applicants ages 18, 19 and 20 or age 69 and older).....................................................................................................30 10 Original instruction permit issued to persons (except those age 69 and older) who do not hold or have not previously held an Illinois instruction permit or driver's license......................................................................................................... 20 Instruction permit issued to any person holding an Illinois driver's license who wishes a change in classifications, other than at the time of renewal................................................................................. 5 Any instruction permit issued to a person age 69 and older........................................................................................................... 5

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319 [May 20, 2009] Instruction permit issued to any person, under age 69, not currently holding a valid Illinois driver's license or instruction permit but who has previously been issued either document in Illinois................................................................................................................. 10 Restricted driving permit................................................................................................... 8 Monitoring device driving permit....................................................................................... 8 Duplicate or corrected driver's license or permit..................................................................................................................... 5 Duplicate or corrected restricted driving permit.............................................................................................................. 5 Duplicate or corrected monitoring device driving permit......................................................................................................... 5 Original or renewal M or L endorsement................................................................................ 5 SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE The fees for commercial driver licenses and permits under Article V shall be as follows: Commercial driver's license: $6 for the CDLIS/AAMVAnet Fund (Commercial Driver's License Information System/American Association of Motor Vehicle Administrators network Trust Fund); $20 for the Motor Carrier Safety Inspection Fund; $10 for the driver's license; and $24 for the CDL:.................................................................................................. $60 Renewal commercial driver's license: $6 for the CDLIS/AAMVAnet Trust Fund; $20 for the Motor Carrier Safety Inspection Fund; $10 for the driver's license; and $24 for the CDL:........................................................................................................ $60 Commercial driver instruction permit issued to any person holding a valid Illinois driver's license for the purpose of changing to a CDL classification: $6 for the CDLIS/AAMVAnet Trust Fund; $20 for the Motor Carrier Safety Inspection Fund; and $24 for the CDL classification................................................................................... $50 Commercial driver instruction permit issued to any person holding a valid Illinois CDL for the purpose of making a change in a classification, endorsement or restriction.......................................................................................... $5 CDL duplicate or corrected license.................................................................................... $5 In order to ensure the proper implementation of the Uniform Commercial Driver License Act, Article V of thisChapter, the Secretary of State is empowered to pro-rate the $24 fee for the commercial driver's license proportionate to the expiration date of the applicant's Illinois driver's license. The fee for any duplicate license or permit shall be waived for any person age 60 or older who presents the Secretary of State's office with a police report showing that his license or permit was stolen. No additional fee shall be charged for a driver's license, or for a commercial driver's license, when issued to theholder of an instruction permit for the same classification or type of license who becomes eligible for such license. (b) Any person whose license or privilege to operate a motor vehicle in this State has been suspended or revokedunder Section 3-707, any provision of Chapter 6, Chapter 11, or Section 7-205, 7-303, or 7-702 of the Family Financial Responsibility Law of this Code, shall in addition to any other fees required by this Code, pay areinstatement fee as follows: Suspension under Section 3-707...................................................................................... $100

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[May 20, 2009] 320 Summary suspension under Section 11-501.1.......................................................................$250 Other suspension...............................................................................................................$70 Revocation.......................................................................................................................$500 However, any person whose license or privilege to operate a motor vehicle in this State has been suspended orrevoked for a second or subsequent time for a violation of Section 11-501 or 11-501.1 of this Code or a similar provision of a local ordinance or a similar out-of-state offense or Section 9-3 of the Criminal Code of 1961 and each suspension or revocation was for a violation of Section 11-501 or 11-501.1 of this Code or a similar provision of a local ordinance or a similar out-of-state offense or Section 9-3 of the Criminal Code of 1961 shall pay, in addition to any other fees required by this Code, a reinstatement fee as follows: Summary suspension under Section 11-501.1........................................................................$500 Revocation.......................................................................................................................$500 (c) All fees collected under the provisions of this Chapter 6 shall be paid into the Road Fund in the StateTreasury except as follows: 1. The following amounts shall be paid into the Driver Education Fund: (A) $16 of the $20 fee for an original driver's instruction permit; (B) $5 of the $30 $10 fee for an original driver's license; (C) $5 of the $30 $10 fee for a 4 year renewal driver's license; (D) $4 of the $8 fee for a restricted driving permit; and (E) $4 of the $8 fee for a monitoring device driving permit. 2. $30 of the $250 fee for reinstatement of a license summarily suspended under Section

11-501.1 shall be deposited into the Drunk and Drugged Driving Prevention Fund. However, for a person whoselicense or privilege to operate a motor vehicle in this State has been suspended or revoked for a second or subsequent time for a violation of Section 11-501 or 11-501.1 of this Code or Section 9-3 of the Criminal Code of 1961, $190 of the $500 fee for reinstatement of a license summarily suspended under Section 11-501.1, and $190 of the $500 fee for reinstatement of a revoked license shall be deposited into the Drunk and DruggedDriving Prevention Fund.

3. $6 of such original or renewal fee for a commercial driver's license and $6 of the

commercial driver instruction permit fee when such permit is issued to any person holding a valid Illinois driver'slicense, shall be paid into the CDLIS/AAMVAnet Trust Fund.

4. $30 of the $70 fee for reinstatement of a license suspended under the Family Financial Responsibility Law shall be paid into the Family Responsibility Fund. 5. The $5 fee for each original or renewal M or L endorsement shall be deposited into the Cycle Rider Safety Training Fund. 6. $20 of any original or renewal fee for a commercial driver's license or commercial driver instruction permit shall be paid into the Motor Carrier Safety Inspection Fund. 7. The following amounts shall be paid into the General Revenue Fund: (A) $190 of the $250 reinstatement fee for a summary suspension under Section 11-501.1; (B) $40 of the $70 reinstatement fee for any other suspension provided in subsection (b) of this Section; and (C) $440 of the $500 reinstatement fee for a first offense revocation and $310 of the $500 reinstatement fee for a second or subsequent revocation. (d) All of the proceeds of the additional fees imposed by this amendatory Act of the 96th General Assembly shallbe deposited into the Capital Projects Fund. (Source: P.A. 94-1035, eff. 7-1-07; 95-855, eff. 1-1-09.) (625 ILCS 5/15-102) (from Ch. 95 1/2, par. 15-102) Sec. 15-102. Width of Vehicles. (a) On Class III and non-designated State and local highways, the total outside width of any vehicle or load thereon shall not exceed 8 feet. (b) Except during those times when, due to insufficient light or unfavorable atmospheric conditions, persons andvehicles on the highway are not clearly discernible at a distance of 1000 feet, the following vehicles may exceed the 8 feet limitation during the period from a half hour before sunrise to a half hour after sunset: (1) Loads of hay, straw or other similar farm products provided that the load is not more than 12 feet wide. (2) Implements of husbandry being transported on another vehicle and the transporting vehicle while loaded. The following requirements apply to the transportation on another vehicle of an

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321 [May 20, 2009]

implement of husbandry wider than 8 feet 6 inches on the National System of Interstate and Defense Highwaysor other highways in the system of State highways:

(A) The driver of a vehicle transporting an implement of husbandry that exceeds 8

feet 6 inches in width shall obey all traffic laws and shall check the roadways prior to making a movement in order to ensure that adequate clearance is available for the movement. It is prima facie evidence that the driver of a vehicle transporting an implement of husbandry has failed to check the roadway prior to making a movement if the vehicle is involved in a collision with a bridge, overpass, fixed structure, or properly placed traffic control device or if the vehicle blocks traffic due to its inability to proceed because of a bridge, overpass, fixed structure, or properly placed traffic control device.

(B) Flags shall be displayed so as to wave freely at the extremities of overwidth

objects and at the extreme ends of all protrusions, projections, and overhangs. All flags shall be clean, bright red flags with no advertising, wording, emblem, or insignia inscribed upon them and at least 18 inches square.

(C) "OVERSIZE LOAD" signs are mandatory on the front and rear of all vehicles with

loads over 10 feet wide. These signs must have 12-inch high black letters with a 2-inch stroke on a yellow sign that is 7 feet wide by 18 inches high.

(D) One civilian escort vehicle is required for a load that exceeds 14 feet 6

inches in width and 2 civilian escort vehicles are required for a load that exceeds 16 feet in width on the National System of Interstate and Defense Highways or other highways in the system of State highways.

(E) The requirements for a civilian escort vehicle and driver are as follows: (1) The civilian escort vehicle shall be a passenger car or a second division

vehicle not exceeding a gross vehicle weight of 8,000 pounds that is designed to afford clear and unobstructed vision to both front and rear.

(2) The escort vehicle driver must be properly licensed to operate the vehicle. (3) While in use, the escort vehicle must be equipped with illuminated

rotating, oscillating, or flashing amber lights or flashing amber strobe lights mounted on top that are ofsufficient intensity to be visible at 500 feet in normal sunlight.

(4) "OVERSIZE LOAD" signs are mandatory on all escort vehicles. The sign on an escort vehicle shall have 8-inch high black letters on a yellow sign that is 5 feet wide by 12 inches high. (5) When only one escort vehicle is required and it is operating on a two-lane

highway, the escort vehicle shall travel approximately 300 feet ahead of the load. The rotating, oscillating,or flashing lights or flashing amber strobe lights and an "OVERSIZE LOAD" sign shall be displayed on theescort vehicle and shall be visible from the front. When only one escort vehicle is required and it isoperating on a multilane divided highway, the escort vehicle shall travel approximately 300 feet behind theload and the sign and lights shall be visible from the rear.

(6) When 2 escort vehicles are required, one escort shall travel approximately

300 feet ahead of the load and the second escort shall travel approximately 300 feet behind the load. Therotating, oscillating, or flashing lights or flashing amber strobe lights and an "OVERSIZE LOAD" sign shallbe displayed on the escort vehicles and shall be visible from the front on the lead escort and from the rear onthe trailing escort.

(7) When traveling within the corporate limits of a municipality, the escort

vehicle shall maintain a reasonable and proper distance from the oversize load, consistent with existingtraffic conditions.

(8) A separate escort shall be provided for each load hauled. (9) The driver of an escort vehicle shall obey all traffic laws. (10) The escort vehicle must be in safe operational condition. (11) The driver of the escort vehicle must be in radio contact with the driver of the vehicle carrying the oversize load. (F) A transport vehicle while under load of more than 8 feet 6 inches in width must

be equipped with an illuminated rotating, oscillating, or flashing amber light or lights or a flashing amber strobe light or lights mounted on the top of the cab that are of sufficient intensity to be visible at 500 feet in normal sunlight. If the load on the transport vehicle blocks the visibility of the amber lighting from the rear of the vehicle, the vehicle must also be equipped with an illuminated rotating, oscillating, or flashing amber light or lights or a flashing amber strobe light or lights mounted on the rear of the load that are of sufficient intensity to be visible at 500 feet in normal sunlight.

(G) When a flashing amber light is required on the transport vehicle under load and

it is operating on a two-lane highway, the transport vehicle shall display to the rear at least one rotating, oscillating, or flashing light or a flashing amber strobe light and an "OVERSIZE LOAD" sign. When a

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[May 20, 2009] 322

flashing amber light is required on the transport vehicle under load and it is operating on a multilane divided highway, the sign and light shall be visible from the rear.

(H) Maximum speed shall be 45 miles per hour on all such moves or 5 miles per hour

above the posted minimum speed limit, whichever is greater, but the vehicle shall not at any time exceed the posted maximum speed limit.

(3) Portable buildings designed and used for agricultural and livestock raising

operations that are not more than 14 feet wide and with not more than a 1 foot overhang along the left side of thehauling vehicle. However, the buildings shall not be transported more than 10 miles and not on any route that ispart of the National System of Interstate and Defense Highways.

All buildings when being transported shall display at least 2 red cloth flags, not less than 12 inches square,mounted as high as practicable on the left and right side of the building. A State Police escort shall be required if it is necessary for this load to use part of the left lane when crossing any2 laned State highway bridge. (c) Vehicles propelled by electric power obtained from overhead trolley wires operated wholly within thecorporate limits of a municipality are also exempt from the width limitation. (d) Exemptions are also granted to vehicles designed for the carrying of more than 10 persons under the following conditions: (1) (Blank); (2) When operated within any public transportation service with the approval of local

authorities or an appropriate public body authorized by law to provide public transportation. Any vehicle so operated may be 8 feet 6 inches in width; or

(3) When a county engineer or superintendent of highways, after giving due

consideration to the mass transportation needs of the area and to the width and condition of the road, hasdetermined that the operation of buses wider than 8 feet will not pose an undue safety hazard on a particularcounty or township road segment, he or she may authorize buses not to exceed 8 feet 6 inches in width on anyhighway under that engineer's or superintendent's jurisdiction.

(d-1) A recreational vehicle, as defined in Section 1-169, may exceed 8 feet 6 inches in width if: (1) the excess width is attributable to appurtenances that extend 6 inches or less beyond either side of the body of the vehicle; and (2) the roadway on which the vehicle is traveling has marked lanes for vehicular traffic that are at least 11 feet in width. As used in this subsection (d-1) and in subsection (d-2), the term appurtenance includes (i) a retracted awning and its support hardware and (ii) any appendage that is intended to be an integral part of a recreation vehicle. (d-2) A recreational vehicle that exceeds 8 feet 6 inches in width as provided in subsection (d-1) may travel any roadway of the State if the vehicle is being operated between a roadway permitted under subsection (d-1) and: (1) the location where the recreation vehicle is garaged; (2) the destination of the recreation vehicle; or (3) a facility for food, fuel, repair, services, or rest. (e) A vehicle and load traveling upon the National System of Interstate and Defense Highways or any otherhighway in the system of State highways that has been designated as a Class I or Class II highway by the Department, or any street or highway designated by local authorities, may have a total outside width of 8 feet 6inches, provided that certain safety devices that the Department determines as necessary for the safe and efficientoperation of motor vehicles shall not be included in the calculation of width. (e-1) A vehicle and load more than 8 feet wide but not exceeding 8 feet 6 inches in width is allowed accessaccording to the following: (1) A vehicle and load not exceeding 80,000 73,280 pounds in weight is allowed access from any

State designated highway onto any county, township, or municipal highway for a distance of 5 highway miles forthe purpose of loading and unloading, provided:

(A) The vehicle and load does not exceed 65 feet overall length. (B) There is no sign prohibiting that access. (C) The route is not being used as a thoroughfare between State designated highways. (2) A vehicle and load not exceeding 80,000 73,280 pounds in weight is allowed access from any

State designated highway onto any county or township highway for a distance of 5 highway miles or onto anymunicipal highway for a distance of one highway mile for the purpose of food, fuel, repairs, and rest, provided:

(A) The vehicle and load does not exceed 65 feet overall length. (B) There is no sign prohibiting that access.

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323 [May 20, 2009] (C) The route is not being used as a thoroughfare between State designated highways. (3) A vehicle and load not exceeding 80,000 pounds in weight is allowed access from a

Class I highway onto any street or highway for a distance of one highway mile for the purpose of loading,unloading, food, fuel, repairs, and rest, provided there is no sign prohibiting that access.

(4) A vehicle and load not exceeding 80,000 pounds in weight is allowed access from a

Class I or Class II highway onto any State highway or any locally designated highway for a distance of 5 highway miles for the purpose of loading, unloading, food, fuel, repairs, and rest.

(5) A trailer or semi-trailer not exceeding 28 feet 6 inches in length, that was originally in combination with a truck tractor, shall have unlimited access to points of loading and unloading. (6) All household goods carriers shall have unlimited access to points of loading and unloading. Section 5-35 of the Illinois Administrative Procedure Act relating to procedures for rulemaking shall not apply to the designation of highways under this paragraph (e). (f) Mirrors required by Section 12-502 of this Code and other safety devices identified by the Department mayproject up to 14 inches beyond each side of a bus and up to 6 inches beyond each side of any other vehicle, and that projection shall not be deemed a violation of the width restrictions of this Section. (g) Any person who is convicted of violating this Section is subject to the penalty as provided in paragraph (b) of Section 15-113. (Source: P.A. 93-177, eff. 7-11-03; 94-949, eff. 1-1-07.) (625 ILCS 5/15-107) (from Ch. 95 1/2, par. 15-107) Sec. 15-107. Length of vehicles. (a) The maximum length of a single vehicle on any highway of this State may not exceed 42 feet except the following: (1) Semitrailers. (2) Charter or regulated route buses may be up to 45 feet in length, not including energy absorbing bumpers. (a-1) A motor home as defined in Section 1-145.01 may be up to 45 feet in length, not including energy absorbing bumpers. The length limitations described in this subsection (a-1) shall be exclusive of energy-absorbing bumpers and rear view mirrors. (b) On all non-State highways, the maximum length of vehicles in combinations is as follows: (1) A truck tractor in combination with a semitrailer may not exceed 55 feet overall dimension. (2) A truck tractor-semitrailer-trailer may not exceed 60 feet overall dimension. (3) Combinations specially designed to transport motor vehicles or boats may not exceed 60 feet overall dimension. Vehicles operating during daylight hours when transporting poles, pipes, machinery, or other objects of astructural nature that cannot readily be dismembered are exempt from length limitations, provided that no objectmay exceed 80 feet in length and the overall dimension of the vehicle including the load may not exceed 100 feet.This exemption does not apply to operation on a Saturday, Sunday, or legal holiday. Legal holidays referred to in this Section are the days on which the following traditional holidays are celebrated: New Year's Day; MemorialDay; Independence Day; Labor Day; Thanksgiving Day; and Christmas Day. Vehicles and loads operated by a public utility while en route to make emergency repairs to public servicefacilities or properties are exempt from length limitations, provided that during night operations every vehicle andits load must be equipped with a sufficient number of clearance lamps on both sides and marker lamps on theextreme ends of any projecting load to clearly mark the dimensions of the load. A tow truck in combination with a disabled vehicle or combination of disabled vehicles, as provided inparagraph (6) of subsection (c) of this Section, is exempt from length limitations. All other combinations not listed in this subsection (b) may not exceed 60 feet overall dimension. (c) Except as provided in subsections (c-1) and (c-2), combinations of vehicles may not exceed a total of 2 vehicles except the following: (1) A truck tractor semitrailer may draw one trailer. (2) A truck tractor semitrailer may draw one converter dolly. (3) A truck tractor semitrailer may draw one vehicle that is defined in Chapter 1 as special mobile equipment, provided the overall dimension does not exceed 60 feet. (4) A truck in transit may draw 3 trucks in transit coupled together by the triple saddlemount method. (5) Recreational vehicles consisting of 3 vehicles, provided the following:

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[May 20, 2009] 324 (A) The total overall dimension does not exceed 60 feet. (B) The towing vehicle is a properly registered vehicle capable of towing another vehicle using a fifth-wheel type assembly. (C) The second vehicle in the combination of vehicles is a recreational vehicle

that is towed by a fifth-wheel assembly. This vehicle must be properly registered and must be equipped with brakes, regardless of weight.

(D) The third vehicle must be the lightest of the 3 vehicles and be a trailer or semitrailer designed or used for transporting a boat, all-terrain vehicle, personal watercraft, or motorcycle. (E) The towed vehicles may be only for the use of the operator of the towing vehicle. (F) All vehicles must be properly equipped with operating brakes and safety

equipment required by this Code, except the additional brake requirement in subdivision (C) of this subparagraph (5).

(6) A tow truck in combination with a disabled vehicle or combination of disabled vehicles, provided the towing vehicle: (A) Is specifically designed as a tow truck having a gross vehicle weight rating of

at least 18,000 pounds and equipped with air brakes, provided that air brakes are required only if the towing vehicle is towing a vehicle, semitrailer, or tractor-trailer combination that is equipped with air brakes. For the purpose of this subsection, gross vehicle weight rating, or GVWR, means the value specified by the manufacturer as the loaded weight of the tow truck.

(B) Is equipped with flashing, rotating, or oscillating amber lights, visible for at least 500 feet in all directions. (C) Is capable of utilizing the lighting and braking systems of the disabled vehicle or combination of vehicles. (D) Does not engage a tow exceeding 50 highway miles from the initial point of

wreck or disablement to a place of repair. Any additional movement of the vehicles may occur only upon issuance of authorization for that movement under the provisions of Sections 15-301 through 15-319 of this Code.

The Department may by rule or regulation prescribe additional requirements regarding length limitations for a tow truck towing another vehicle. For purposes of this Section, a tow-dolly that merely serves as substitute wheels for another legally licensed vehicle is considered part of the licensed vehicle and not a separate vehicle. (7) Commercial vehicles consisting of 3 vehicles, provided the following: (A) The total overall dimension does not exceed 65 feet. (B) The towing vehicle is a properly registered vehicle capable of towing another vehicle using a fifth-wheel type assembly or a goose-neck hitch ball. (C) The third vehicle must be the lightest of the 3 vehicles and be a trailer or semitrailer. (D) All vehicles must be properly equipped with operating brakes and safety equipment required by this Code. (E) The combination of vehicles must be operated by a person who holds a commercial driver's license (CDL). (F) The combination of vehicles must be en route to a location where new or used trailers are sold by an Illinois or out-of-state licensed new or used trailer dealer. (c-1) A combination of 3 vehicles is allowed access to any State designated highway if: (1) the length of neither towed vehicle exceeds 28.5 feet; (2) the overall wheel base of the combination of vehicles does not exceed 62 feet; and (3) the combination of vehicles is en route to a location where new or used trailers are sold by an Illinois or out-of-state licensed new or used trailer dealer. (c-2) A combination of 3 vehicles is allowed access from any State designated highway onto any county,township, or municipal highway for a distance of 5 highway miles for the purpose of delivery or collection of oneor both of the towed vehicles if: (1) the length of neither towed vehicle exceeds 28.5 feet; (2) the combination of vehicles does not exceed 40,000 pounds in gross weight and 8 feet 6 inches in width; (3) there is no sign prohibiting that access; (4) the route is not being used as a thoroughfare between State designated highways; and

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325 [May 20, 2009] (5) the combination of vehicles is en route to a location where new or used trailers are sold by an Illinois or out-of-state licensed new or used trailer dealer. (d) On Class I highways there are no overall length limitations on motor vehicles operating in combinationsprovided: (1) The length of a semitrailer, unladen or with load, in combination with a truck tractor may not exceed 53 feet. (2) The distance between the kingpin and the center of the rear axle of a semitrailer longer than 48 feet, in combination with a truck tractor, may not exceed 45 feet 6 inches. (3) The length of a semitrailer or trailer, unladen or with load, operated in a truck tractor-semitrailer-trailer combination, may not exceed 28 feet 6 inches. (4) Maxi-cube combinations, as defined in Chapter 1, may not exceed 65 feet overall dimension. (5) Combinations of vehicles specifically designed to transport motor vehicles or boats

may not exceed 65 feet overall dimension. The length limitation is inclusive of front and rear bumpers butexclusive of the overhang of the transported vehicles, as provided in paragraph (i) of this Section.

(6) Stinger steered semitrailer vehicles as defined in Chapter 1, specifically designed

to transport motor vehicles or boats, may not exceed 75 feet overall dimension. The length limitation is inclusiveof front and rear bumpers but exclusive of the overhang of the transported vehicles, as provided in paragraph (i)of this Section.

(7) A truck in transit transporting 3 trucks coupled together by the triple saddlemount method may not exceed 75 feet overall dimension. Vehicles operating during daylight hours when transporting poles, pipes, machinery, or other objects of astructural nature that cannot readily be dismembered are exempt from length limitations, provided that no objectmay exceed 80 feet in length and the overall dimension of the vehicle including the load may not exceed 100 feet.This exemption does not apply to operation on a Saturday, Sunday, or legal holiday. Legal holidays referred to inthis Section are the days on which the following traditional holidays are celebrated: New Year's Day; Memorial Day; Independence Day; Labor Day; Thanksgiving Day; and Christmas Day. Vehicles and loads operated by a public utility while en route to make emergency repairs to public servicefacilities or properties are exempt from length limitations, provided that during night operations every vehicle andits load must be equipped with a sufficient number of clearance lamps on both sides and marker lamps on theextreme ends of any projecting load to clearly mark the dimensions of the load. A tow truck in combination with a disabled vehicle or combination of disabled vehicles, as provided inparagraph (6) of subsection (c) of this Section, is exempt from length limitations. The length limitations described in this paragraph (d) shall be exclusive of safety and energy conservationdevices, such as bumpers, refrigeration units or air compressors and other devices, that the Department mayinterpret as necessary for safe and efficient operation; except that no device excluded under this paragraph shall have by its design or use the capability to carry cargo. Section 5-35 of the Illinois Administrative Procedure Act relating to procedures for rulemaking shall not apply tothe designation of highways under this paragraph (d). (e) On Class II highways there are no overall length limitations on motor vehicles operating in combinations,provided: (1) The length of a semitrailer, unladen or with load, in combination with a truck tractor, may not exceed 53 feet overall dimension. (2) The distance between the kingpin and the center of the rear axle of a semitrailer longer than 48 feet, in combination with a truck tractor, may not exceed 45 feet 6 inches. (3) A truck tractor-semitrailer-trailer combination may not exceed 65 feet in dimension from front axle to rear axle. (4) The length of a semitrailer or trailer, unladen or with load, operated in a truck tractor-semitrailer-trailer combination, may not exceed 28 feet 6 inches. (5) Maxi-cube combinations, as defined in Chapter 1, may not exceed 65 feet overall dimension. (6) A combination of vehicles, specifically designed to transport motor vehicles or

boats, may not exceed 65 feet overall dimension. The length limitation is inclusive of front and rear bumpers butexclusive of the overhang of the transported vehicles, as provided in paragraph (i) of this Section.

(7) Stinger steered semitrailer vehicles, as defined in Chapter 1, specifically

designed to transport motor vehicles or boats, may not exceed 75 feet overall dimension. The length limitation isinclusive of front and rear bumpers but exclusive of the overhang of the transported vehicles, as provided in

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[May 20, 2009] 326

paragraph (i) of this Section. (8) A truck in transit transporting 3 trucks coupled together by the triple saddlemount method may not exceed 75 feet overall dimension. Vehicles operating during daylight hours when transporting poles, pipes, machinery, or other objects of a structural nature that cannot readily be dismembered are exempt from length limitations, provided that no objectmay exceed 80 feet in length and the overall dimension of the vehicle including the load may not exceed 100 feet. This exemption does not apply to operation on a Saturday, Sunday, or legal holiday. Legal holidays referred to inthis Section are the days on which the following traditional holidays are celebrated: New Year's Day; MemorialDay; Independence Day; Labor Day; Thanksgiving Day; and Christmas Day. Vehicles and loads operated by a public utility while en route to make emergency repairs to public servicefacilities or properties are exempt from length limitations, provided that during night operations every vehicle and its load must be equipped with a sufficient number of clearance lamps on both sides and marker lamps on theextreme ends of any projecting load to clearly mark the dimensions of the load. A tow truck in combination with a disabled vehicle or combination of disabled vehicles, as provided inparagraph (6) of subsection (c) of this Section, is exempt from length limitations. Local authorities, with respect to streets and highways under their jurisdiction, may also by ordinance or resolution allow length limitations of this subsection (e). The length limitations described in this paragraph (e) shall be exclusive of safety and energy conservationdevices, such as bumpers, refrigeration units or air compressors and other devices, that the Department may interpret as necessary for safe and efficient operation; except that no device excluded under this paragraph shallhave by its design or use the capability to carry cargo. (e-1) Combinations of vehicles not exceeding 65 feet overall length are allowed access as follows: (1) From any State designated highway onto any county, township, or municipal highway for a distance of 5 highway miles for the purpose of loading and unloading, provided: (A) The vehicle does not exceed 80,000 73,280 pounds in gross weight and 8 feet 6 inches in width. (B) There is no sign prohibiting that access. (C) The route is not being used as a thoroughfare between State designated highways. (2) From any State designated highway onto any county or township highway for a

distance of 5 highway miles or onto any municipal highway for a distance of one highway mile for the purposeof food, fuel, repairs, and rest, provided:

(A) The vehicle does not exceed 80,000 73,280 pounds in gross weight and 8 feet 6 inches in width. (B) There is no sign prohibiting that access. (C) The route is not being used as a thoroughfare between State designated highways. (e-2) Except as provided in subsection (e-3), combinations of vehicles over 65 feet in length, with no overalllength limitation except as provided in subsections (d) and (e) of this Section, are allowed access as follows: (1) From a Class I highway onto any street or highway for a distance of one highway

mile for the purpose of loading, unloading, food, fuel, repairs, and rest, provided there is no sign prohibiting thataccess.

(2) From a Class I or Class II highway onto any State highway or any locally designated highway for a distance of 5 highway miles for the purpose of loading, unloading, food, fuel, repairs, and rest. (e-3) Combinations of vehicles over 65 feet in length operated by household goods carriers, with no overalllength limitations except as provided in subsections (d) and (e) of this Section, have unlimited access to points ofloading and unloading. Section 5-35 of the Illinois Administrative Procedure Act relating to procedures for rulemaking shall not apply tothe designation of highways under this paragraph (e). (f) On Class III and other non-designated State highways, the length limitations for vehicles in combination areas follows: (1) Truck tractor-semitrailer combinations, must comply with either a maximum 55 feet overall wheel base or a maximum 65 feet extreme overall dimension. (2) Semitrailers, unladen or with load, may not exceed 53 feet overall dimension. (3) No truck tractor-semitrailer-trailer combination may exceed 60 feet extreme overall dimension. (4) The distance between the kingpin and the center axle of a semitrailer longer than 48 feet, in combination with a truck tractor, may not exceed 42 feet 6 inches.

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327 [May 20, 2009] (g) Length limitations in the preceding subsections of this Section 15-107 do not apply to the following: (1) Vehicles operated in the daytime, except on Saturdays, Sundays, or legal holidays,

when transporting poles, pipe, machinery, or other objects of a structural nature that cannot readily bedismembered, provided the overall length of vehicle and load may not exceed 100 feet and no object exceeding80 feet in length may be transported unless a permit has been obtained as authorized in Section 15-301.

(2) Vehicles and loads operated by a public utility while en route to make emergency

repairs to public service facilities or properties, but during night operation every vehicle and its load must be equipped with a sufficient number of clearance lamps on both sides and marker lamps upon the extreme ends ofany projecting load to clearly mark the dimensions of the load.

(3) A tow truck in combination with a disabled vehicle or combination of disabled vehicles, provided the towing vehicle meets the following conditions: (A) It is specifically designed as a tow truck having a gross vehicle weight rating

of at least 18,000 pounds and equipped with air brakes, provided that air brakes are required only if the towing vehicle is towing a vehicle, semitrailer, or tractor-trailer combination that is equipped with air brakes.

(B) It is equipped with flashing, rotating, or oscillating amber lights, visible for at least 500 feet in all directions. (C) It is capable of utilizing the lighting and braking systems of the disabled vehicle or combination of vehicles. (D) It does not engage in a tow exceeding 50 miles from the initial point of wreck or disablement. The Department may by rule or regulation prescribe additional requirements regarding length limitations for atow truck towing another vehicle. The towing vehicle, however, may tow any disabled vehicle from the initial pointof wreck or disablement to a point where repairs are actually to occur. This movement shall be valid only on Stateroutes. The tower must abide by posted bridge weight limits. For the purpose of this subsection, gross vehicle weight rating, or GVWR, shall mean the value specified by themanufacturer as the loaded weight of the tow truck. Legal holidays referred to in this Section shall be specified asthe day on which the following traditional holidays are celebrated: New Year's Day; Memorial Day; Independence Day; Labor Day; Thanksgiving Day; and Christmas Day. (h) The load upon any vehicle operated alone, or the load upon the front vehicle of a combination of vehicles, shall not extend more than 3 feet beyond the front wheels of the vehicle or the front bumper of the vehicle if it isequipped with a front bumper. The provisions of this subsection (h) shall not apply to any vehicle or combination of vehicles specifically designed for the collection and transportation of waste, garbage, or recyclable materialsduring the vehicle's operation in the course of collecting garbage, waste, or recyclable materials if the vehicle istraveling at a speed not in excess of 15 miles per hour during the vehicle's operation and in the course of collectinggarbage, waste, or recyclable materials. However, in no instance shall the load extend more than 7 feet beyond thefront wheels of the vehicle or the front bumper of the vehicle if it is equipped with a front bumper. (i) The load upon the front vehicle of a combination of vehicles specifically designed to transport motor vehiclesshall not extend more than 3 feet beyond the foremost part of the transporting vehicle and the load upon the rear transporting vehicle shall not extend more than 4 feet beyond the rear of the bed or body of the vehicle. Thisparagraph shall only be applicable upon highways designated in paragraphs (d) and (e) of this Section. (j) Articulated vehicles comprised of 2 sections, neither of which exceeds a length of 42 feet, designed for thecarrying of more than 10 persons, may be up to 60 feet in length, not including energy absorbing bumpers,provided that the vehicles are: 1. operated by or for any public body or motor carrier authorized by law to provide public transportation services; or 2. operated in local public transportation service by any other person and the municipality in which the service is to be provided approved the operation of the vehicle. (j-1) (Blank). (k) Any person who is convicted of violating this Section is subject to the penalty as provided in paragraph (b) ofSection 15-113. (l) (Blank). (Source: P.A. 93-177, eff. 7-11-03; 93-1023, eff. 8-25-04; 94-713, eff. 6-1-06.)

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[May 20, 2009] 328 (625 ILCS 5/15-111) (from Ch. 95 1/2, par. 15-111) Sec. 15-111. Wheel and axle loads and gross weights. (a) On non-designated highways, no vehicle or combination of vehicles equipped with pneumatic tires may be operated, unladen or with load, when the total weight transmitted to the road surface exceeds 20,000 18,000 pounds on a single axle or 34,000 32,000 pounds on a tandem axle with no axle within the tandem exceeding 20,00018,000 pounds except: (1) when a different limit is established and posted in accordance with Section 15-316 of this Code; (2) vehicles for which the Department of Transportation and local authorities issue overweight permits under authority of Section 15-301 of this Code; (3) tow trucks subject to the conditions provided in subsection (d) may not exceed 24,000 pounds on a single rear axle or 44,000 pounds on a tandem rear axle; (4) any single axle of a 2-axle truck weighing 36,000 pounds or less and not a part of a combination of vehicles, shall not exceed 20,000 pounds; (5) any single axle of a 2-axle truck equipped with a personnel lift or digger derrick, weighing 36,000 pounds or less, owned and operated by a public utility, shall not exceed 20,000 pounds; (6) any single axle of a 2-axle truck specially equipped with a front loading compactor

used exclusively for garbage, refuse, or recycling may not exceed 20,000 pounds per axle, provided that the gross weight of the vehicle does not exceed 40,000 pounds;

(7) a truck, not in combination and specially equipped with a selfcompactor or an

industrial roll-off hoist and roll-off container, used exclusively for garbage or refuse operations may, when laden,transmit upon the road surface the following maximum weights: 22,000 pounds on a single axle; 40,000 poundson a tandem axle;

(8) a truck, not in combination and used exclusively for the collection of rendering

materials, may, when laden, transmit upon the road surface the following maximum weights: 22,000 pounds on asingle axle; 40,000 pounds on a tandem axle;

(9) tandem axles on a 3-axle truck registered as a Special Hauling Vehicle,

manufactured prior to or in the model year of 2014 and first registered in Illinois prior to January 1, 2015, with adistance greater than 72 inches but not more than 96 inches between any series of 2 axles, is allowed a combined weight on the series not to exceed 36,000 pounds and neither axle of the series may exceed 20,000 18,000pounds. Any vehicle of this type manufactured after the model year of 2014 or first registered in Illinois afterDecember 31, 2014 may not exceed a combined weight of 34,000 32,000 pounds through the series of 2 axles and neither axle of the series may exceed 20,000 18,000 pounds;

(10) a 4-axle truck mixer registered as a Special Hauling Vehicle, used exclusively for

the mixing and transportation of concrete in the plastic state and manufactured prior to or in the model year of2014 and first registered in Illinois prior to January 1, 2015, is allowed the following maximum weights: 20,000pounds on any single axle; 36,000 pounds on any series of 2 axles greater than 72 inches but not more than 96inches; and 34,000 pounds on any series of 2 axles greater than 40 inches but not more than 72 inches;

(11) 4-axle vehicles or a 5 or more axle combination of vehicles: The weight

transmitted upon the road surface through any series of 3 axles whose centers are more than 96 inches apart,measured between extreme axles in the series, may not exceed those allowed in the table contained in subsection(f) of this Section. No axle or tandem axle of the series may exceed the maximum weight permitted under thisSection for a single or tandem axle.

No vehicle or combination of vehicles equipped with other than pneumatic tires may be operated, unladen orwith load, upon the highways of this State when the gross weight on the road surface through any wheel exceeds800 pounds per inch width of tire tread or when the gross weight on the road surface through any axle exceeds16,000 pounds. (b) On non-designated highways, the gross weight of vehicles and combination of vehicles including the weightof the vehicle or combination and its maximum load shall be subject to the federal bridge formula provided in subsection (f) of this Section foregoing limitations and further shall not exceed the following gross weights dependent upon the number of axles and distance between extreme axles of the vehicle or combination measuredlongitudinally to the nearest foot. VEHICLES HAVING 2 AXLES ......................................................................................... 36,000 pounds

VEHICLES OR COMBINATIONS HAVING 3 AXLES

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329 [May 20, 2009] With Tandem With or Axles Without Tandem Axles Minimum Minimum distance to Maximum distance to Maximum nearest foot Gross nearest foot Gross between Weight between Weight extreme axles (pounds) extreme axles (pounds) 10 feet 41,000 16 feet 46,000 11 42,000 17 47,000 12 43,000 18 47,500 13 44,000 19 48,000 14 44,500 20 49,000 15 45,000 21 feet or more 50,000

VEHICLES OR COMBINATIONS HAVING 4 AXLES Minimum Minimum distance to Maximum distance to Maximum nearest foot Gross nearest foot Gross between Weight between Weight extreme axles (pounds) extreme axles (pounds) 15 feet 50,000 26 feet 57,500 16 50,500 27 58,000 17 51,500 28 58,500 18 52,000 29 59,500 19 52,500 30 60,000 20 53,500 31 60,500 21 54,000 32 61,500 22 54,500 33 62,000 23 55,500 34 62,500 24 56,000 35 63,500 25 56,500 36 feet or more 64,000 A vehicle not in a combination having more than 4 axles may not exceed the weight in the table in this subsection (b) for 4 axles measured between the extreme axles of the vehicle.

COMBINATIONS HAVING 5 OR MORE AXLES Minimum distance to Maximum nearest foot between Gross Weight extreme axles (pounds) 42 feet or less 72,000 43 73,000 44 feet or more 73,280 VEHICLES OPERATING ON CRAWLER TYPE TRACKS .............................................................. 40,000 pounds

TRUCKS EQUIPPED WITH SELFCOMPACTORS OR ROLL-OFF HOISTS AND ROLL-OFF CONTAINERS FOR GARBAGE,

REFUSE, OR RECYCLING HAULS ONLY AND TRUCKS USED FOR THE COLLECTION OF RENDERING MATERIALS

On Highway Not Part of National System of Interstate and Defense Highways

with 2 axles 36,000 pounds with 3 axles 54,000 pounds

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[May 20, 2009] 330

TWO AXLE TRUCKS EQUIPPED WITH A FRONT LOADING COMPACTOR USED EXCLUSIVELY

FOR THE COLLECTION OF GARBAGE, REFUSE, OR RECYCLING with 2 axles 40,000 pounds A 4-axle truck mixer registered as a Special Hauling Vehicle, used exclusively for mixing and transportation ofconcrete in the plastic state, manufactured before or in the model year of 2014, and first registered in Illinois beforeJanuary 1, 2015, is allowed a maximum gross weight listed in the table of subsection (f) of this Section for 4 axles. This vehicle, while loaded with concrete in the plastic state, is not subject to the series of 3 axles requirementprovided for in subdivision (a)(11) of this Section, but no axle or tandem axle of the series may exceed the maximum weight permitted under subdivision (a)(10) of this Section. (b-1) As used in this Section, a "recycling haul" or "recycling operation" means the hauling of segregated,non-hazardous, non-special, homogeneous non-putrescible materials, such as paper, glass, cans, or plastic, for subsequent use in the secondary materials market. (c) Cities having a population of more than 50,000 may permit by ordinance axle loads on 2 axle motor vehicles33 1/2% above those provided for herein, but the increase shall not become effective until the city has officiallynotified the Department of the passage of the ordinance and shall not apply to those vehicles when outside of thelimits of the city, nor shall the gross weight of any 2 axle motor vehicle operating over any street of the city exceed40,000 pounds. (d) Weight limitations shall not apply to vehicles (including loads) operated by a public utility when transportingequipment required for emergency repair of public utility facilities or properties or water wells. A combination of vehicles, including a tow truck and a disabled vehicle or disabled combination of vehicles, thatexceeds the weight restriction imposed by this Code, may be operated on a public highway in this State provided that neither the disabled vehicle nor any vehicle being towed nor the tow truck itself shall exceed the weightlimitations permitted under this Chapter. During the towing operation, neither the tow truck nor the vehiclecombination shall exceed 24,000 pounds on a single rear axle and 44,000 pounds on a tandem rear axle, providedthe towing vehicle: (1) is specifically designed as a tow truck having a gross vehicle weight rating of at

least 18,000 pounds and is equipped with air brakes, provided that air brakes are required only if the towingvehicle is towing a vehicle, semitrailer, or tractor-trailer combination that is equipped with air brakes;

(2) is equipped with flashing, rotating, or oscillating amber lights, visible for at least 500 feet in all directions; (3) is capable of utilizing the lighting and braking systems of the disabled vehicle or combination of vehicles; and (4) does not engage in a tow exceeding 20 miles from the initial point of wreck or

disablement. Any additional movement of the vehicles may occur only upon issuance of authorization for thatmovement under the provisions of Sections 15-301 through 15-319 of this Code. The towing vehicle, however, may tow any disabled vehicle from the initial point of wreck or disablement to a point where repairs are actuallyto occur. This movement shall be valid only on State routes. The tower must abide by posted bridge weightlimits.

Gross weight limits shall not apply to the combination of the tow truck and vehicles being towed. The tow trucklicense plate must cover the operating empty weight of the tow truck only. The weight of each vehicle being towedshall be covered by a valid license plate issued to the owner or operator of the vehicle being towed and displayedon that vehicle. If no valid plate issued to the owner or operator of that vehicle is displayed on that vehicle, or theplate displayed on that vehicle does not cover the weight of the vehicle, the weight of the vehicle shall be covered by the third tow truck plate issued to the owner or operator of the tow truck and temporarily affixed to the vehiclebeing towed. If a roll-back carrier is registered and being used as a tow truck, however, the license plate or plates for the tow truck must cover the gross vehicle weight, including any load carried on the bed of the roll-back carrier. The Department may by rule or regulation prescribe additional requirements. However, nothing in this Codeshall prohibit a tow truck under instructions of a police officer from legally clearing a disabled vehicle, that may bein violation of weight limitations of this Chapter, from the roadway to the berm or shoulder of the highway. If inthe opinion of the police officer that location is unsafe, the officer is authorized to have the disabled vehicle towedto the nearest place of safety. For the purpose of this subsection, gross vehicle weight rating, or GVWR, shall mean the value specified by themanufacturer as the loaded weight of the tow truck. (e) No vehicle or combination of vehicles equipped with pneumatic tires shall be operated, unladen or with load,upon the highways of this State in violation of the provisions of any permit issued under the provisions of Sections

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331 [May 20, 2009] 15-301 through 15-319 of this Chapter. (f) No On designated Class I, II, or III highways and the National System of Interstate and Defense Highways,no vehicle or combination of vehicles with pneumatic tires may be operated, unladen or with load, when the total weight on the road surface exceeds the following: 20,000 pounds on a single axle; 34,000 pounds on a tandem axlewith no axle within the tandem exceeding 20,000 pounds; 80,000 pounds gross weight for vehicle combinations of5 or more axles; or a total weight on a group of 2 or more consecutive axles in excess of that weight produced bythe application of the following formula: W = 500 times the sum of (LN divided by N-1) + 12N + 36, where "W" equals overall total weight on any group of 2 or more consecutive axles to the nearest 500 pounds, "L" equals thedistance measured to the nearest foot between extremes of any group of 2 or more consecutive axles, and "N"equals the number of axles in the group under consideration. The above formula when expressed in tabular form results in allowable loads as follows: Distance measured to the nearest foot between the extremes of any Maximum weight in pounds group of 2 or of any group of more consecutive 2 or more consecutive axles axles

feet 2 axles 3 axles 4 axles 5 axles 6 axles4 34,000 5 34,000 6 34,000 7 34,000 8 38,000* 42,000 9 39,000 42,500

10 40,000 43,500 11 44,000 12 45,000 50,000 13 45,500 50,500 14 46,500 51,500 15 47,000 52,000 16 48,000 52,500 58,000 17 48,500 53,500 58,500 18 49,500 54,000 59,000 19 50,000 54,500 60,000 20 51,000 55,500 60,500 66,00021 51,500 56,000 61,000 66,50022 52,500 56,500 61,500 67,00023 53,000 57,500 62,500 68,00024 54,000 58,000 63,000 68,50025 54,500 58,500 63,500 69,00026 55,500 59,500 64,000 69,50027 56,000 60,000 65,000 70,00028 57,000 60,500 65,500 71,00029 57,500 61,500 66,000 71,50030 58,500 62,000 66,500 72,00031 59,000 62,500 67,500 72,50032 60,000 63,500 68,000 73,00033 64,000 68,500 74,00034 64,500 69,000 74,50035 65,500 70,000 75,00036 66,000 70,500 75,50037 66,500 71,000 76,00038 67,500 72,000 77,00039 68,000 72,500 77,50040 68,500 73,000 78,00041 69,500 73,500 78,500

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[May 20, 2009] 332

42 70,000 74,000 79,00043 70,500 75,000 80,00044 71,500 75,500 45 72,000 76,000 46 72,500 76,500 47 73,500 77,500 48 74,000 78,000 49 74,500 78,500 50 75,500 79,000 51 76,000 80,000 52 76,500 53 77,500 54 78,000 55 78,500 56 79,500 57 80,000

*If the distance between 2 axles is 96 inches or less, the 2 axles are tandem axles and the maximum total weightmay not exceed 34,000 pounds, notwithstanding the higher limit resulting from the application of the formula. Vehicles not in a combination having more than 4 axles may not exceed the weight in the table in this subsection(f) for 4 axles measured between the extreme axles of the vehicle. Vehicles in a combination having more than 6 axles may not exceed the weight in the table in this subsection (f)for 6 axles measured between the extreme axles of the combination. Local authorities, with respect to streets and highways under their jurisdiction, without additional fees, may also by ordinance or resolution allow the weight limitations of this subsection, provided the maximum gross weight onany one axle shall not exceed 20,000 pounds and the maximum total weight on any tandem axle shall not exceed 34,000 pounds, on designated highways when appropriate regulatory signs giving notice are erected upon the streetor highway or portion of any street or highway affected by the ordinance or resolution. The following are exceptions to the above formula: (1) Two consecutive sets of tandem axles may carry a total weight of 34,000 pounds each if the overall distance between the first and last axles of the consecutive sets of tandem axles is 36 feet or more. (2) Vehicles for which a different limit is established and posted in accordance with Section 15-316 of this Code. (3) Vehicles for which the Department of Transportation and local authorities issue

overweight permits under authority of Section 15-301 of this Code. These vehicles are not subject to the bridgeformula.

(4) Tow trucks subject to the conditions provided in subsection (d) may not exceed 24,000 pounds on a single rear axle or 44,000 pounds on a tandem rear axle. (5) A tandem axle on a 3-axle truck registered as a Special Hauling Vehicle,

manufactured prior to or in the model year of 2014, and registered in Illinois prior to January 1, 2015, with adistance between 2 axles in a series greater than 72 inches but not more than 96 inches may not exceed a totalweight of 36,000 pounds and neither axle of the series may exceed 18,000 pounds.

(6) A truck not in combination, equipped with a self compactor or an industrial

roll-off hoist and roll-off container, used exclusively for garbage, refuse, or recycling operations, may, whenladen, transmit upon the road surface, except when on part of the National System of Interstate and DefenseHighways, the following maximum weights: 22,000 pounds on a single axle; 40,000 pounds on a tandem axle;36,000 pounds gross weight on a 2-axle vehicle; 54,000 pounds gross weight on a 3-axle vehicle. This vehicle is not subject to the bridge formula.

(7) Combinations of vehicles, registered as Special Hauling Vehicles that include a

semitrailer manufactured prior to or in the model year of 2014, and registered in Illinois prior to January 1, 2015,having 5 axles with a distance of 42 feet or less between extreme axles, may not exceed the following maximum weights: 18,000 pounds on a single axle; 32,000 pounds on a tandem axle; and 72,000 pounds gross weight. Thiscombination of vehicles is not subject to the bridge formula. For all those combinations of vehicles that include asemitrailer manufactured after the effective date of this amendatory Act of the 92nd General Assembly, theoverall distance between the first and last axles of the 2 sets of tandems must be 18 feet 6 inches or more. Anycombination of vehicles that has had its cargo container replaced in its entirety after December 31, 2014 may notexceed the weights allowed by the bridge formula.

(8) A 4-axle truck mixer registered as a Special Hauling Vehicle, used exclusively for

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333 [May 20, 2009]

the mixing and transportation of concrete in the plastic state, manufactured before or in the model year of 2014,first registered in Illinois before January 1, 2015, and not operated on a highway that is part of the NationalSystem of Interstate Highways, is allowed the following maximum weights: 20,000 pounds on any single axle; 36,000 pounds on a series of axles greater than 72 inches but not more than 96 inches; and 34,000 pounds on anyseries of 2 axles greater than 40 inches but not more than 72 inches. The gross weight of this vehicle may not exceed the weights allowed by the bridge formula for 4 axles. The bridge formula does not apply to any series of3 axles while the vehicle is transporting concrete in the plastic state, but no axle or tandem axle of the series mayexceed the maximum weight permitted under this subsection (f).

No vehicle or combination of vehicles equipped with other than pneumatic tires may be operated, unladen orwith load, upon the highways of this State when the gross weight on the road surface through any wheel exceeds 800 pounds per inch width of tire tread or when the gross weight on the road surface through any axle exceeds16,000 pounds. (f-1) A vehicle and load not exceeding 80,000 pounds is allowed travel on non-designated highways so long as there is no sign prohibiting that access. A vehicle and load not exceeding 73,280 pounds is allowed access asfollows: (1) From any State designated highway onto any county, township, or municipal highway for a distance of 5highway miles for the purpose of loading and unloading, provided: (A) The vehicle and load does not exceed 8 feet 6 inches in width and 65 feet overall length. (B) There is no sign prohibiting that access. (C) The route is not being used as a thoroughfare between State designated highways. (2) From any State designated highway onto any county or township highway for a distance of 5 highwaymiles, or any municipal highway for a distance of one highway mile for the purpose of food, fuel, repairs, and rest, provided: (A) The vehicle and load does not exceed 8 feet 6 inches in width and 65 feet overall length. (B) There is no sign prohibiting that access. (C) The route is not being used as a thoroughfare between State designated highways. (f-2) A vehicle and load greater than 73,280 pounds in weight but not exceeding 80,000 pounds is allowed accessas follows: (1) From a Class I highway onto any street or highway for a distance of one highway mile for the purpose of loading, unloading, food, fuel, repairs, and rest, provided there is no sign prohibiting that access. (2) From a Class I, II, or III highway onto any State highway or any local designated highway for a distance of 5 highway miles for the purpose of loading, unloading, food, fuel, repairs, and rest. Section 5-35 of the Illinois Administrative Procedure Act relating to procedures for rulemaking shall not apply tothe designation of highways under this subsection. (g) No person shall operate a vehicle or combination of vehicles over a bridge or other elevated structureconstituting part of a highway with a gross weight that is greater than the maximum weight permitted by theDepartment, when the structure is sign posted as provided in this Section. (h) The Department upon request from any local authority shall, or upon its own initiative may, conduct aninvestigation of any bridge or other elevated structure constituting a part of a highway, and if it finds that the structure cannot with safety to itself withstand the weight of vehicles otherwise permissible under this Code theDepartment shall determine and declare the maximum weight of vehicles that the structures can withstand, andshall cause or permit suitable signs stating maximum weight to be erected and maintained before each end of thestructure. No person shall operate a vehicle or combination of vehicles over any structure with a gross weight thatis greater than the posted maximum weight. (i) Upon the trial of any person charged with a violation of subsections (g) or (h) of this Section, proof of thedetermination of the maximum allowable weight by the Department and the existence of the signs, constitutesconclusive evidence of the maximum weight that can be maintained with safety to the bridge or structure. (Source: P.A. 94-464, eff. 1-1-06; 94-926, eff. 1-1-07; 95-51, eff. 1-1-08.) (625 ILCS 5/15-112) (from Ch. 95 1/2, par. 15-112) Sec. 15-112. Officers to weigh vehicles and require removal of excess loads. (a) Any police officer having reason to believe that the weight of a vehicle and load is unlawful shall require thedriver to stop and submit to a weighing of the same either by means of a portable or stationary scales that have been tested and approved at a frequency prescribed by the Illinois Department of Agriculture, or for those scalesoperated by the State, when such tests are requested by the Department of State Police, whichever is more frequent.If such scales are not available at the place where such vehicle is stopped, the police officer shall require that suchvehicle be driven to the nearest available scale that has been tested and approved pursuant to this Section by theIllinois Department of Agriculture. Notwithstanding any provisions of the Weights and Measures Act or the United

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[May 20, 2009] 334 States Department of Commerce NIST handbook 44, multi or single draft weighing is an acceptable method ofweighing by law enforcement for determining a violation of Chapter 3 or 15 of this Code. Law enforcement is exempt from the requirements of commercial weighing established in NIST handbook 44. Within 18 months after the effective date of this amendatory Act of the 91st General Assembly, all municipaland county officers, technicians, and employees who set up and operate portable scales for wheel load or axle loador both and issue citations based on the use of portable scales for wheel load or axle load or both and who have notsuccessfully completed initial classroom and field training regarding the set up and operation of portable scales,shall attend and successfully complete initial classroom and field training administered by the Illinois LawEnforcement Training Standards Board. (b) Whenever an officer, upon weighing a vehicle and the load, determines that the weight is unlawful, suchofficer shall require the driver to stop the vehicle in a suitable place and remain standing until such portion of theload is removed as may be necessary to reduce the weight of the vehicle to the limit permitted under this Chapter, or to the limit permitted under the terms of a permit issued pursuant to Sections 15-301 through 15-318 and shall forthwith arrest the driver or owner. All material so unloaded shall be cared for by the owner or operator of the vehicle at the risk of such owner or operator; however, whenever a 3 or 4 axle vehicle with a tandem axledimension greater than 72 inches, but less than 96 inches and registered as a Special Hauling Vehicle istransporting asphalt or concrete in the plastic state that exceeds axle weight or gross weight limits by less than4,000 pounds, the owner or operator of the vehicle shall accept the arrest ticket or tickets for the alleged violationsunder this Section and proceed without shifting or reducing the load being transported or may shift or reduce theload under the provisions of subsection (d) or (e) of this Section, when applicable. Any fine imposed following anoverweight violation by a vehicle registered as a Special Hauling Vehicle transporting asphalt or concrete in the plastic state shall be paid as provided in subsection 4 of paragraph (a) of Section 16-105 of this Code. (c) The Department of Transportation may, at the request of the Department of State Police, erect appropriate regulatory signs on any State highway directing second division vehicles to a scale. The Department ofTransportation may also, at the direction of any State Police officer, erect portable regulating signs on any highwaydirecting second division vehicles to a portable scale. Every such vehicle, pursuant to such sign, shall stop and beweighed. (d) Whenever any axle load of a vehicle exceeds the axle or tandem axle weight limits permitted by paragraph(a) or (f) of Section 15-111 by 2000 pounds or less, the owner or operator of the vehicle must shift or remove theexcess so as to comply with paragraph (a) or (f) of Section 15-111. No overweight arrest ticket shall be issued to the owner or operator of the vehicle by any officer if the excess weight is shifted or removed as required by this paragraph. (e) Whenever the gross weight of a vehicle with a registered gross weight of 80,000 73,280 pounds or less exceeds the weight limits of paragraph (b) or (f) of Section 15-111 of this Chapter by 2000 pounds or less, the owner or operator of the vehicle must remove the excess. Whenever the gross weight of a vehicle with a registeredgross weight of 80,000 73,281 pounds or more exceeds the weight limits of paragraph (b) or (f) of Section 15-111 by 1,000 pounds or less or 2,000 pounds or less if weighed on wheel load weighers, the owner or operator of thevehicle must remove the excess. In either case no arrest ticket for any overweight violation of this Code shall beissued to the owner or operator of the vehicle by any officer if the excess weight is removed as required by thisparagraph. A person who has been granted a special permit under Section 15-301 of this Code shall not be granted a tolerance on wheel load weighers. (f) Whenever an axle load of a vehicle exceeds axle weight limits allowed by the provisions of a permit an arrestticket shall be issued, but the owner or operator of the vehicle may shift the load so as to comply with theprovisions of the permit. Where such shifting of a load to comply with the permit is accomplished, the owner or operator of the vehicle may then proceed. (g) Any driver of a vehicle who refuses to stop and submit his vehicle and load to weighing after being directedto do so by an officer or removes or causes the removal of the load or part of it prior to weighing is guilty of abusiness offense and shall be fined not less than $500 nor more than $2,000. (Source: P.A. 91-129, eff. 7-16-99; 92-417, eff. 1-1-02.) (625 ILCS 5/15-113) (from Ch. 95 1/2, par. 15-113) Sec. 15-113. Violations; Penalties. (a) Whenever any vehicle is operated in violation of the provisions of Section 15-111 or subsection (d) of Section 3-401, the owner or driver of such vehicle shall be deemed guilty of such violation and either the owner or the driver of such vehicle may be prosecuted for such violation. Any person charged with a violation of any ofthese provisions who pleads not guilty shall be present in court for the trial on the charge. Any person, firm orcorporation convicted of any violation of Section 15-111 including, but not limited to, a maximum axle or gross limit specified on a regulatory sign posted in accordance with paragraph (g) or (h) of Section 15-111, shall be fined

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335 [May 20, 2009] according to the following schedule: Up to and including 2000 pounds overweight = $100 $50 from 2001 through 2500 pounds overweight = the fine is $270 $135

from 2501 through 3000 pounds overweight = the fine is $330 $165

from 3001 through 3500 pounds overweight = the fine is $520 $260

from 3501 through 4000 pounds overweight = the fine is $600 $300

from 4001 through 4500 pounds overweight = the fine is $850 $425

from 4501 through 5000 pounds overweight = the fine is $950 $475

from 5001 or more pounds overweight = the fine shall be computed by assessing $1500 $750 for

the first 5000 pounds overweight and $150 $75 for each

additional increment of 500 pounds overweight or fraction thereof. In addition any person, firm or corporation convicted of 4 or more violations of Section 15-111 within any 12 month period shall be fined an additional amount of $5,000 $2500 for the fourth and each subsequent conviction within the 12 month period. Provided, however, that with regard to a firm or corporation, a fourth or subsequent conviction shall mean a fourth or subsequent conviction attributable to any one employee-driver. (b) Whenever any vehicle is operated in violation of the provisions of Sections 15-102, 15-103 or 15-107, the owner or driver of such vehicle shall be deemed guilty of such violation and either may be prosecuted for suchviolation. Any person, firm or corporation convicted of any violation of Sections 15-102, 15-103 or 15-107 shall be fined for the first or second conviction an amount equal to not less than $50 nor more than $500, and for the thirdand subsequent convictions by the same person, firm or corporation within a period of one year after the date of thefirst offense, not less than $500 nor more than $1,000. (c) All proceeds of the additional fines imposed by this amendatory Act of the 96th General Assembly shall bedeposited into the Capital Projects Fund. (Source: P.A. 88-476; 89-117, eff. 7-7-95; 89-245, eff. 1-1-96.) (625 ILCS 5/15-306) (from Ch. 95 1/2, par. 15-306) Sec. 15-306. Fees for Overweight-Axle Loads. Fees for special permits to move legal gross weight vehicles,combinations of vehicles and loads with overweight-axle loads shall be paid by the applicant to the Department asfollows: For each overweight single axle or tandem axle group, the flat rate fees herein scheduled for increments of 45miles or fraction thereof including issuance fee predicated upon a 20,000 an 18,000 pound single axle equivalency.

20,000 18,000 Pound Single Axle Equivalency Fees Axle weight 2-Axle 3-Axle in excess Single Axle Tandem Tandemof legal 1-6000 lbs. $5 $5 $5

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[May 20, 2009] 336 6001-11,000 lbs. 8 7 611,001-17,000 lbs. not permitted 8 717,001-22,000 lbs. not permitted not permitted 922,001-29,000 lbs. not permitted not permitted 11 (Source: P.A. 90-676, eff. 7-31-98.) (625 ILCS 5/15-307) (from Ch. 95 1/2, par. 15-307) Sec. 15-307. Fees for Overweight-Gross Loads. Fees for special permits to move vehicles, combinations ofvehicles and loads with overweight-gross loads shall be paid at the flat rate fees established in this Section forweights in excess of legal gross weights, by the applicant to the Department. (a) With respect to fees for overweight-gross loads listed in this Section and for overweight-axle loads listed in Section 15-306, one fee only shall be charged, whichever is the greater, but not for both. (b) In lieu of the fees stated in this Section and Section 15-306, with respect to combinations of vehicles consisting of a 3-axle truck tractor with a tandem axle composed of 2 consecutive axles drawing a semitrailer, orother vehicle approved by the Department, equipped with a tandem axle composed of 3 consecutive axles,weighing over 80,000 73,280 pounds but not more than 88,000 pounds gross weight, the fees shall be at the following rates: Distance RateFor the first 45 miles $10From 45 miles to 90 miles 12.50From 90 miles to 135 miles 15.00From 135 miles to 180 miles 17.50From 180 miles to 225 miles 20.00For each additional 45 miles or part thereof in excess of the rate for 225 miles, an additional 2.50 For such combinations weighing over 88,000 pounds but not more than 100,000 pounds gross weight, the feesshall be at the following rates: Distance RateFor the first 45 miles 15From 45 miles to 90 miles 25From 90 miles to 135 miles 35From 135 miles to 180 miles 45From 180 miles to 225 miles 55For each additional 45 miles or part thereof in excess of the rate for 225 miles, an additional 10 For such combination weighing over 100,000 pounds but not more than 110,000 pounds gross weight, the feesshall be at the following rates: Distance RateFor the first 45 miles $20From 45 miles to 90 miles 32.50From 90 miles to 135 miles 45From 135 miles to 180 miles 57.50From 180 miles to 225 miles 70For each additional 45 miles or part thereof in excess of the rate for 225 miles an additional 12.50 For such combinations weighing over 110,000 pounds but not more than 120,000 pounds gross weight, the fees shall be at the following rates: Distance RateFor the first 45 miles $30From 46 miles to 90 miles 55From 90 miles to 135 miles 80From 135 miles to 180 miles 105From 180 miles to 225 miles 130For each additional 45 miles or part thereof in excess of the rate

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337 [May 20, 2009] for 225 miles an additional 25 Payment of overweight fees for the above combinations also shall include fees for overwidth dimensions of 4feet or less, overheight and overlength. Any overwidth in excess of 4 feet shall be charged an additional fee of $15. (c) In lieu of the fees stated in this Section and Section 15-306 of this Chapter, with respect to combinations of vehicles consisting of a 3-axle truck tractor with a tandem axle composed of 2 consecutive axles drawing a semitrailer, or other vehicle approved by the Department, equipped with a tandem axle composed of 2 consecutiveaxles, weighing over 80,000 73,280 pounds but not more than 88,000 pounds gross weight, the fees shall be at the following rates: Distance RateFor the first 45 miles $20From 45 miles to 90 miles 32.50From 90 miles to 135 miles 45From 135 miles to 180 miles 57.50From 180 miles to 225 miles 70For each additional 60 miles or part thereof in excess of the rate for 225 miles an additional 12.50 For such combination weighing over 88,000 pounds but not more than 100,000 pounds gross weight, the feesshall be at the following rates: Distance RateFor the first 45 miles $30From 46 miles to 90 miles 55From 90 miles to 135 miles 80From 135 miles to 180 miles 105From 180 miles to 225 miles 130For each additional 45 miles or part thereof in excess of the rate for 225 miles an additional 25 Payment of overweight fees for the above combinations also shall include fees for overwidth dimension of 4 feetor less, overheight and overlength. Any overwidth in excess of 4 feet shall be charged an additional overwidth feeof $15. (d) In lieu of the fees stated in this Section and in Section 15-306 of this Chapter, with respect to a 3 (or more) axle mobile crane or water well-drilling vehicle consisting of a single axle and a tandem axle or 2 tandem axlegroups composed of 2 consecutive axles each, with a distance of extreme axles not less than 18 feet, weighing not more than 60,000 pounds gross with no single axle weighing more than 21,000 pounds, or any tandem axle groupto exceed 40,000 pounds, the fees shall be at the following rates: Distance RateFor the first 45 miles $12.50For each additional 45 miles or portion thereof 9.00 For such vehicles weighing over 60,000 pounds but not more than 68,000 pounds with no single axle weighingmore than 21,000 pounds and no tandem axle group exceeding 48,000 pounds, the fees shall be at the following rates: Distance RateFor the first 45 miles $20For each additional 45 miles or portion thereof 12.50 Payment of overweight fees for the above vehicle shall include overwidth dimension of 4 feet or less, overheightand overlength. Any overwidth in excess of 4 feet shall be charged an additional overwidth fee of $15. (e) In lieu of the fees stated in this Section and in Section 15-306 of this Chapter, with respect to a 4 (or more) axle mobile crane or water well drilling vehicle consisting of 2 sets of tandem axles composed of 2 or moreconsecutive axles each with a distance between extreme axles of not less than 23 feet weighing not more than72,000 pounds with axle weights on one set of tandem axles not more than 34,000 pounds, and weight in the other set of tandem axles not to exceed 40,000 pounds, the fees shall be at the following rates: Distance RateFor the first 45 miles $15For each additional 45 miles or portion thereof 10 For such vehicles weighing over 72,000 pounds but not more than 76,000 pounds with axle weights on either setof tandem axles not more than 44,000 pounds, the fees shall be at the following rates:

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[May 20, 2009] 338 Distance RateFor the first 45 miles $20For each additional 45 miles or portion thereof 12.50 Payment of overweight fees for the above vehicle shall include overwidth dimension of 4 feet or less, overheightand overlength. Any overwidth in excess of 4 feet shall be charged an additional fee of $15. (f) In lieu of fees stated in this Section and in Section 15-306 of this Chapter, with respect to a two axle mobile crane or water well-drilling vehicle consisting of 2 single axles weighing not more than 48,000 pounds with nosingle axle weighing more than 25,000 pounds, the fees shall be at the following rates: Distance RateFor the first 45 miles $15For each additional 45 miles or portion thereof 10 For such vehicles weighing over 48,000 pounds but not more than 54,000 pounds with no single axle weighingmore than 28,000 pounds, the fees shall be at the following rates: Distance RateFor the first 45 miles $20For each additional 45 miles or portion thereof 12.50 Payment of overweight fees for the above vehicle shall include overwidth dimension of 4 feet or less, overheight and overlength. Any overwidth in excess of 4 feet shall be charged an additional overwidth fee of $15. (g) Fees for special permits to move vehicles, combinations of vehicles, and loads with overweight gross loadsnot included in the fee categories shall be paid by the applicant to the Department at the rate of $50 plus 3.5 centsper ton-mile in excess of legal weight. With respect to fees for overweight gross loads not included in the schedules specified in paragraphs (a) through (e) of Section 15-307 and for overweight axle loads listed in Section 15-306, one fee only shall be charged, whichever is the greater, but not both. An additional fee in accordance with the schedule set forth in Section 15-305 shall be charged for each overdimension. (h) Fees for special permits for continuous limited operation authorizing the applicant to operate vehicles thatexceed the weight limits provided for in subsection (d) of Section 15-111. All single axles excluding the steer axle and axles within a tandem are limited to 24,000 pounds or less unlessotherwise noted in this subsection (h). Loads up to 12 feet wide and 110 feet in length shall be included within thispermit. Fees shall be $250 for a quarterly and $1,000 for an annual permit. Front tag axle and double tandem trailers are not eligible. The following configurations qualify for the quarterly and annual permits: (1) 3 or more axles, total gross weight of 68,000 pounds or less, front tandem or axle 21,000 pounds or less, rear tandem 48,000 pounds or less on 2 or 3 axles, 25,000 pounds or less on single axle; (2) 4 or more axles, total gross weight of 76,000 pounds or less, front tandem 44,000

pounds or less on 2 axles, front axle 20,000 pounds or less, rear tandem 44,000 pounds or less on 2 axles and23,000 pounds or less on single axle or 48,000 pounds or less on 3 axles, 25,000 pounds or less on single axle;

(3) 5 or more axles, total gross weight of 100,000 pounds or less, front tandem 48,000

pounds or less on 2 axles, front axle 20,000 pounds or less, 25,000 pounds or less on single axle, rear tandem48,000 pounds or less on 2 axles, 25,000 pounds or less on single axle;

(4) 6 or more axles, total gross weight of 120,000 pounds or less, front tandem 48,000

pounds or less on 2 axles, front axle 20,000 pounds or less, single axle 25,000 pounds or less, or rear tandem60,000 pounds or less on 3 axles, 21,000 pounds or less on single axles within a tandem.

(Source: P.A. 94-49, eff. 1-1-06.) (625 ILCS 5/16-105) (from Ch. 95 1/2, par. 16-105) Sec. 16-105. Disposition of fines and forfeitures. (a) Except as provided in Section 15-113 and Section 16-104a of this Act and except for those amounts required to be paid into the Traffic and Criminal Conviction Surcharge Fund in the State Treasury pursuant to Section 9.1 ofthe Illinois Police Training Act and Section 5-9-1 of the Unified Code of Corrections and except those amountssubject to disbursement by the circuit clerk under Section 27.5 of the Clerks of Courts Act, fines and penaltiesrecovered under the provisions of Chapters 11 through 16 inclusive of this Code shall be paid and used as follows: 1. For offenses committed upon a highway within the limits of a city, village, or

incorporated town or under the jurisdiction of any park district, to the treasurer of the particular city, village,incorporated town or park district, if the violator was arrested by the authorities of the city, village, incorporated town or park district, provided the police officers and officials of cities, villages, incorporated towns and parkdistricts shall seasonably prosecute for all fines and penalties under this Code. If the violation is prosecuted by the authorities of the county, any fines or penalties recovered shall be paid to the county treasurer. Provided

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further that if the violator was arrested by the State Police, fines and penalties recovered under the provisions ofparagraph (a) of Section 15-113 of this Code or paragraph (e) of Section 15-316 of this Code shall be paid over to the Department of State Police which shall thereupon remit the amount of the fines and penalties so receivedto the State Treasurer who shall deposit the amount so remitted in the special fund in the State treasury known asthe Road Fund except that if the violation is prosecuted by the State's Attorney, 10% of the fine or penaltyrecovered shall be paid to the State's Attorney as a fee of his office and the balance shall be paid over to the Department of State Police for remittance to and deposit by the State Treasurer as hereinabove provided.

2. Except as provided in paragraph 4, for offenses committed upon any highway outside

the limits of a city, village, incorporated town or park district, to the county treasurer of the county where theoffense was committed except if such offense was committed on a highway maintained by or under thesupervision of a township, township district, or a road district to the Treasurer thereof for deposit in the road and bridge fund of such township or other district; Provided, that fines and penalties recovered under the provisionsof paragraph (a) of Section 15-113, paragraph (d) of Section 3-401, or paragraph (e) of Section 15-316 of this Code shall be paid over to the Department of State Police which shall thereupon remit the amount of the finesand penalties so received to the State Treasurer who shall deposit the amount so remitted in the special fund inthe State treasury known as the Road Fund except that if the violation is prosecuted by the State's Attorney, 10%of the fine or penalty recovered shall be paid to the State's Attorney as a fee of his office and the balance shall bepaid over to the Department of State Police for remittance to and deposit by the State Treasurer as hereinaboveprovided.

3. Notwithstanding subsections 1 and 2 of this paragraph, for violations of overweight

and overload limits found in Sections 15-101 through 15-203 of this Code, which are committed upon the highways belonging to the Illinois State Toll Highway Authority, fines and penalties shall be paid over to theIllinois State Toll Highway Authority for deposit with the State Treasurer into that special fund known as the Illinois State Toll Highway Authority Fund, except that if the violation is prosecuted by the State's Attorney,10% of the fine or penalty recovered shall be paid to the State's Attorney as a fee of his office and the balanceshall be paid over to the Illinois State Toll Highway Authority for remittance to and deposit by the StateTreasurer as hereinabove provided.

4. With regard to violations of overweight and overload limits found in Sections 15-101

through 15-203 of this Code committed by operators of vehicles registered as Special Hauling Vehicles, foroffenses committed upon a highway within the limits of a city, village, or incorporated town or under thejurisdiction of any park district, all fines and penalties shall be paid over or retained as required in paragraph 1. However, with regard to the above offenses committed by operators of vehicles registered as Special HaulingVehicles upon any highway outside the limits of a city, village, incorporated town or park district, fines and penalties shall be paid over or retained by the entity having jurisdiction over the road or highway upon which theoffense occurred, except that if the violation is prosecuted by the State's Attorney, 10% of the fine or penaltyrecovered shall be paid to the State's Attorney as a fee of his office.

(b) Failure, refusal or neglect on the part of any judicial or other officer or employee receiving or having custodyof any such fine or forfeiture either before or after a deposit with the proper official as defined in paragraph (a) of this Section, shall constitute misconduct in office and shall be grounds for removal therefrom. (Source: P.A. 88-403; 88-476; 88-535; 89-117, eff. 7-7-95.) Section 960. The Criminal Code of 1961 is amended by changing Sections 28-1, 28-1.1, and 28-3 as follows: (720 ILCS 5/28-1) (from Ch. 38, par. 28-1) Sec. 28-1. Gambling. (a) A person commits gambling when he: (1) Plays a game of chance or skill for money or other thing of value, unless excepted in subsection (b) of this Section; or (2) Makes a wager upon the result of any game, contest, or any political nomination, appointment or election; or (3) Operates, keeps, owns, uses, purchases, exhibits, rents, sells, bargains for the sale or lease of, manufactures or distributes any gambling device; or (4) Contracts to have or give himself or another the option to buy or sell, or

contracts to buy or sell, at a future time, any grain or other commodity whatsoever, or any stock or security ofany company, where it is at the time of making such contract intended by both parties thereto that the contract tobuy or sell, or the option, whenever exercised, or the contract resulting therefrom, shall be settled, not by the receipt or delivery of such property, but by the payment only of differences in prices thereof; however, theissuance, purchase, sale, exercise, endorsement or guarantee, by or through a person registered with the Secretary of State pursuant to Section 8 of the Illinois Securities Law of 1953, or by or through a person exempt from such

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registration under said Section 8, of a put, call, or other option to buy or sell securities which have beenregistered with the Secretary of State or which are exempt from such registration under Section 3 of the IllinoisSecurities Law of 1953 is not gambling within the meaning of this paragraph (4); or

(5) Knowingly owns or possesses any book, instrument or apparatus by means of which

bets or wagers have been, or are, recorded or registered, or knowingly possesses any money which he hasreceived in the course of a bet or wager; or

(6) Sells pools upon the result of any game or contest of skill or chance, political nomination, appointment or election; or (7) Sets up or promotes any lottery or sells, offers to sell or transfers any ticket or share for any lottery; or (8) Sets up or promotes any policy game or sells, offers to sell or knowingly possesses or transfers any policy ticket, slip, record, document or other similar device; or (9) Knowingly drafts, prints or publishes any lottery ticket or share, or any policy

ticket, slip, record, document or similar device, except for such activity related to lotteries, bingo games andraffles authorized by and conducted in accordance with the laws of Illinois or any other state or foreigngovernment; or

(10) Knowingly advertises any lottery or policy game, except for such activity related

to lotteries, bingo games and raffles authorized by and conducted in accordance with the laws of Illinois or anyother state; or

(11) Knowingly transmits information as to wagers, betting odds, or changes in betting

odds by telephone, telegraph, radio, semaphore or similar means; or knowingly installs or maintains equipmentfor the transmission or receipt of such information; except that nothing in this subdivision (11) prohibitstransmission or receipt of such information for use in news reporting of sporting events or contests; or

(12) Knowingly establishes, maintains, or operates an Internet site that permits a

person to play a game of chance or skill for money or other thing of value by means of the Internet or to make a wager upon the result of any game, contest, political nomination, appointment, or election by means of theInternet. This item (12) does not apply to activities referenced in items (6) and (6.1) of subsection (b) of this Section.

(b) Participants in any of the following activities shall not be convicted of gambling therefor: (1) Agreements to compensate for loss caused by the happening of chance including without limitation contracts of indemnity or guaranty and life or health or accident insurance. ; (2) Offers of prizes, award or compensation to the actual contestants in any bona fide

contest for the determination of skill, speed, strength or endurance or to the owners of animals or vehicles entered in such contest. ;

(3) Pari-mutuel betting as authorized by the law of this State. ; (4) Manufacture of gambling devices, including the acquisition of essential parts

therefor and the assembly thereof, for transportation in interstate or foreign commerce to any place outside thisState when such transportation is not prohibited by any applicable Federal law; or the manufacture, distribution, or possession of video gaming terminals, as defined in the Video Gaming Act, by manufacturers, distributors, and terminal operators licensed to do so under the Video Gaming Act. ;

(5) The game commonly known as "bingo", when conducted in accordance with the Bingo License and Tax Act. ; (6) Lotteries when conducted by the State of Illinois or a third party pursuant to a Management Agreement with the State of Illinois in accordance with the Illinois

Lottery Law. This exemption includes any activity conducted by the Department of Revenue to sell lottery tickets pursuant to the provisions of the Illinois Lottery Law and its rules. ;

(6.1) The purchase of lottery tickets through the Internet for a lottery conducted by the State of Illinois underthe program established in Section 7.12 of the Illinois Lottery Law. (7) Possession of an antique slot machine that is neither used nor intended to be used

in the operation or promotion of any unlawful gambling activity or enterprise. For the purpose of thissubparagraph (b)(7), an antique slot machine is one manufactured 25 years ago or earlier. ;

(8) Raffles when conducted in accordance with the Raffles Act. ; (9) Charitable games when conducted in accordance with the Charitable Games Act. ; (10) Pull tabs and jar games when conducted under the Illinois Pull Tabs and Jar Games Act. ; or (11) Gambling games conducted on riverboats when authorized by the Riverboat Gambling Act.

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341 [May 20, 2009] (12) Video gaming terminal games at a licensed establishment, licensed truck stop establishment, licensedfraternal establishment, or licensed veterans establishment when conducted in accordance with the Video GamingAct. (c) Sentence. Gambling under subsection (a)(1) or (a)(2) of this Section is a Class A misdemeanor. Gambling under any ofsubsections (a)(3) through (a)(11) of this Section is a Class A misdemeanor. A second or subsequent convictionunder any of subsections (a)(3) through (a)(11), is a Class 4 felony. Gambling under subsection (a)(12) of this Section is a Class A misdemeanor. A second or subsequent conviction under subsection (a)(12) is a Class 4 felony. (d) Circumstantial evidence. In prosecutions under subsection (a)(1) through (a)(12) of this Section circumstantial evidence shall have the same validity and weight as in any criminal prosecution. (Source: P.A. 91-257, eff. 1-1-00.) (720 ILCS 5/28-1.1) (from Ch. 38, par. 28-1.1) Sec. 28-1.1. Syndicated gambling. (a) Declaration of Purpose. Recognizing the close relationship between professional gambling and otherorganized crime, it is declared to be the policy of the legislature to restrain persons from engaging in the business ofgambling for profit in this State. This Section shall be liberally construed and administered with a view to carryingout this policy. (b) A person commits syndicated gambling when he operates a "policy game" or engages in the business ofbookmaking. (c) A person "operates a policy game" when he knowingly uses any premises or property for the purpose ofreceiving or knowingly does receive from what is commonly called "policy": (1) money from a person other than the better or player whose bets or plays are represented by such money; or (2) written "policy game" records, made or used over any period of time, from a person other than the better or player whose bets or plays are represented by such written record. (d) A person engages in bookmaking when he receives or accepts more than five bets or wagers upon the resultof any trials or contests of skill, speed or power of endurance or upon any lot, chance, casualty, unknown orcontingent event whatsoever, which bets or wagers shall be of such size that the total of the amounts of money paid or promised to be paid to such bookmaker on account thereof shall exceed $2,000. Bookmaking is the receiving oraccepting of such bets or wagers regardless of the form or manner in which the bookmaker records them. (e) Participants in any of the following activities shall not be convicted of syndicated gambling: (1) Agreements to compensate for loss caused by the happening of chance including without limitation contracts of indemnity or guaranty and life or health or accident insurance; and (2) Offers of prizes, award or compensation to the actual contestants in any bona fide

contest for the determination of skill, speed, strength or endurance or to the owners of animals or vehiclesentered in such contest; and

(3) Pari-mutuel betting as authorized by law of this State; and (4) Manufacture of gambling devices, including the acquisition of essential parts

therefor and the assembly thereof, for transportation in interstate or foreign commerce to any place outside this State when such transportation is not prohibited by any applicable Federal law; and

(5) Raffles when conducted in accordance with the Raffles Act; and (6) Gambling games conducted on riverboats when authorized by the Riverboat Gambling Act ; and . (7) Video gaming terminal games at a licensed establishment, licensed truck stop establishment, licensedfraternal establishment, or licensed veterans establishment when conducted in accordance with the Video Gaming Act. (f) Sentence. Syndicated gambling is a Class 3 felony. (Source: P.A. 86-1029; 87-435.) (720 ILCS 5/28-3) (from Ch. 38, par. 28-3) Sec. 28-3. Keeping a Gambling Place. A "gambling place" is any real estate, vehicle, boat or any other property whatsoever used for the purposes of gambling other than gambling conducted in the manner authorized by theRiverboat Gambling Act or the Video Gaming Act. Any person who knowingly permits any premises or property owned or occupied by him or under his control to be used as a gambling place commits a Class A misdemeanor.Each subsequent offense is a Class 4 felony. When any premises is determined by the circuit court to be a gamblingplace: (a) Such premises is a public nuisance and may be proceeded against as such, and

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[May 20, 2009] 342 (b) All licenses, permits or certificates issued by the State of Illinois or any subdivision or public agency thereofauthorizing the serving of food or liquor on such premises shall be void; and no license, permit or certificate so cancelled shall be reissued for such premises for a period of 60 days thereafter; nor shall any person convicted ofkeeping a gambling place be reissued such license for one year from his conviction and, after a second conviction of keeping a gambling place, any such person shall not be reissued such license, and (c) Such premises of any person who knowingly permits thereon a violation of any Section of this Article shallbe held liable for, and may be sold to pay any unsatisfied judgment that may be recovered and any unsatisfied finethat may be levied under any Section of this Article. (Source: P.A. 86-1029.)

ARTICLE 9999. Section 9999. Effective date. This Act takes effect July 1, 2009, except that the changes to Sections 15-102, 15-107, 15-111, 15-112, 15-113, 15-307, and 16-105 of the Illinois Vehicle Code take effect January 1, 2010.". AMENDMENT NO. 3 . Amend House Bill 255, AS AMENDED, with reference to page and linenumbers of Senate Amendment No. 1, on page 184, immediately below line 3, by inserting the following: "Section 950. The Environmental Protection Act is amended by changing Section 57.11 as follows: (415 ILCS 5/57.11) Sec. 57.11. Underground Storage Tank Fund; creation. (a) There is hereby created in the State Treasury a special fund to be known as the Underground StorageTank Fund. There shall be deposited into the Underground Storage Tank Fund all monies received by theOffice of the State Fire Marshal as fees for underground storage tanks under Sections 4 and 5 of theGasoline Storage Act and as fees pursuant to the Motor Fuel Tax Law. All amounts held in theUnderground Storage Tank Fund shall be invested at interest by the State Treasurer. All income earned from the investments shall be deposited into the Underground Storage Tank Fund no less frequently thanquarterly. Moneys in the Underground Storage Tank Fund, pursuant to appropriation, may be used by theAgency and the Office of the State Fire Marshal for the following purposes: (1) To take action authorized under Section 57.12 to recover costs under Section 57.12. (2) To assist in the reduction and mitigation of damage caused by leaks from

underground storage tanks, including but not limited to, providing alternative water supplies to personswhose drinking water has become contaminated as a result of those leaks.

(3) To be used as a matching amount towards federal assistance relative to the release of petroleum from underground storage tanks. (4) For the costs of administering activities of the Agency and the Office of the State Fire Marshal relative to the Underground Storage Tank Fund. (5) For payment of costs of corrective action incurred by and indemnification to operators of underground storage tanks as provided in this Title. (6) For a total of 2 demonstration projects in amounts in excess of a $10,000

deductible charge designed to assess the viability of corrective action projects at sites which haveexperienced contamination from petroleum releases. Such demonstration projects shall be conducted inaccordance with the provision of this Title.

(7) Subject to appropriation, moneys in the Underground Storage Tank Fund may also be

used by the Department of Revenue for the costs of administering its activities relative to the Fund andfor refunds provided for in Section 13a.8 of the Motor Fuel Tax Act.

(b) Moneys in the Underground Storage Tank Fund may, pursuant to appropriation, be used by theOffice of the State Fire Marshal or the Agency to take whatever emergency action is necessary orappropriate to assure that the public health or safety is not threatened whenever there is a release or substantial threat of a release of petroleum from an underground storage tank and for the costs ofadministering its activities relative to the Underground Storage Tank Fund. (c) Beginning July 1, 1993, the Governor shall certify to the State Comptroller and State Treasurer the monthly amount necessary to pay debt service on State obligations issued pursuant to Section 6 of theGeneral Obligation Bond Act. On the last day of each month, the Comptroller shall order transferred andthe Treasurer shall transfer from the Underground Storage Tank Fund to the General Obligation BondRetirement and Interest Fund the amount certified by the Governor, plus any cumulative deficiency in thosetransfers for prior months. (d) Except as provided in subsection (c) of this Section, the Underground Storage Tank Fund is notsubject to administrative charges authorized under Section 8h of the State Finance Act that would in any

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343 [May 20, 2009] way transfer any funds from the Underground Storage Tank Fund into any other fund of the State. (Source: P.A. 90-491, eff. 1-1-98.)"; and on page 277, line 19, by replacing "2010" with "2010; but this Act does not take effect at all unless HouseBill 312 of the 96th General Assembly, as amended, becomes law". The foregoing message from the Senate reporting Senate Amendments numbered 1 and 3 to HOUSE BILL 255 was placed on the Calendar on the order of Concurrence.

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of bills of the following titles to-wit: HOUSE BILL NO. 2279

A bill for AN ACT concerning regulation. HOUSE BILL NO. 2302

A bill for AN ACT concerning human rights. Passed by the Senate, May 20, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has adopted

the following Senate Joint Resolution, in the adoption of which I am instructed to ask the concurrence of the House of Representatives, to-wit:

SENATE JOINT RESOLUTION NO. 4 WHEREAS, During the 95th General Assembly, Senate Joint Resolution 101 created the Nuclear Power Issues Task Force to study and compile information on nuclear power issues; and WHEREAS, The Nuclear Power Issues Task Force was to report its findings and recommendations tothe General Assembly by January 1, 2009; and WHEREAS, The Nuclear Power Issues Task Force needs additional time to complete its work;therefore, be it RESOLVED, BY THE SENATE OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, THE HOUSE OF REPRESENTATIVES CONCURRING HEREIN, that the Nuclear Power Issues Task Force shall submit a report, as required in Senate Joint Resolution 101 of the 95th GeneralAssembly, no later than January 1, 2010; and be it further RESOLVED, That with this reporting extension, the Nuclear Power Issues Task Force shall continue to operate pursuant to Senate Joint Resolution 101 of the 95th General Assembly.

Adopted by the Senate, May 20, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has adopted

the following Senate Joint Resolution, in the adoption of which I am instructed to ask the concurrence of the House of Representatives, to-wit:

SENATE JOINT RESOLUTION NO. 59

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[May 20, 2009] 344 WHEREAS, The "With Wings and a Halo - R.E.A.C.H. a Child" program was created to reach out to children across Illinois that find themselves in a crisis situation, whether they are being treated in aChildren's Hospital, a domestic violence situation, an automobile accident, or are temporarily homeless orin distress; and WHEREAS, The mission of R.E.A.C.H. (Reading Enjoyment Affects Childhood Happiness) a Child is"to put a smile on the face of a child in a time of need" through the gift of a book; the program has been abig success in Illinois, with R.E.A.C.H. a Child delivering over 60,000 books nationally in the last 14months, including 2,200 B.A.C.K. (Become A Cheerful Kid) packets filled with 10 to 12 books each, to theIllinois State Police; and WHEREAS, The signature red backpacks of the R.E.A.C.H. a Child program are in 4,000 - 5,000 squad cars and ambulances throughout Illinois; the backpacks are found in Cook, McHenry, Lake, Kane, DuPage,LaSalle, Sangamon, and Will Counties, as well as the entire State Police fleet of squad cars; and WHEREAS, Over 45,000 children's books have been donated to children in crisis situations with thehelp of these first responders, police officers, Sheriff's offices, and State patrol officers; over 7,500 squadcars and EMS ambulances in Illinois are waiting to get involved in this "B.A.C.K. Packets" program as well; and WHEREAS, The R.E.A.C.H. a Child program allows first responders to build better relationships withthe community youth, help children at their most vulnerable moment in a crisis situation, and promote literacy and crime prevention; and WHEREAS, There is a tremendous need for more investment and support for the R.E.A.C.H a Childprogram; the program survives solely on financial donations, in-kind donations, and volunteers to continue to provide the B.A.C.K. Packet program to the various police, fire, and emergency service vehicles; and WHEREAS, Demand for the R.E.A.C.H a Child program is growing rapidly at the State and nationallevel; therefore, be it RESOLVED, BY THE SENATE OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, THE HOUSE OF REPRESENTATIVES CONCURRING HEREIN, that we applaud theextensive efforts of the "With Wings and A Halo - R.E.A.C.H. a Child" program in the State of Illinois and support efforts to expand the program further; and we declare June 27, 2009 to be "With Wings and AHalo-R.E.A.C.H. a Child Day in the State of Illinois; and be it further RESOLVED, That suitable copies of this resolution be presented to the national and Illinois chapters of the With Wings and a Halo Organization.

Adopted by the Senate, May 20, 2009.

Jillayne Rock, Secretary of the Senate

A message from the Senate by Ms. Rock, Secretary: Mr. Speaker -- I am directed to inform the House of Representatives that the Senate has

concurred with the House in the passage of a bill of the following title to-wit: HOUSE BILL NO. 931

A bill for AN ACT concerning transportation. Passed by the Senate, May 20, 2009.

Jillayne Rock, Secretary of the Senate

CHANGE OF SPONSORSHIP

With the consent of the affected members, Representative Thapedi was removed as principal sponsor, and Representative Farnham became the new principal sponsor of SENATE BILL 268.

With the consent of the affected members, Representative Currie was removed as principal sponsor, and Representative Nekritz became the new principal sponsor of SENATE BILL 2115.

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345 [May 20, 2009]

HOUSE RESOLUTIONS The following resolutions were offered and placed in the Committee on Rules.

HOUSE RESOLUTION 423 Offered by Representative Black: WHEREAS, The Illinois Department of Transportation (IDOT) Division of Aeronautics Bureau of AirOperations operates a Springfield-Chicago and Chicago-Springfield shuttle service between Abraham Lincoln Capital Airport in Springfield and Midway Airport in Chicago and also provides additional flightservices upon request for the Governor, Lieutenant Governor, members of the General Assembly, Judges ofthe Supreme Court, Attorney General, Secretary of State, Comptroller, Treasurer, and others, as providedby IDOT; and WHEREAS, According to a 2007 audit by the State of Illinois Office of the Auditor General, the fleet ofaircraft used by IDOT for the shuttle service and additional flight services consists of 4 Beechcraft King Air airplanes and 2 Sikorsky helicopters; and WHEREAS, The 2007 Auditor General report found that IDOT charged users of the State's aircraft$59.86 for a one-way shuttle flight between Springfield and Chicago, and the amount charged to users only covered approximately 14.3 percent of the actual expense to the State; and WHEREAS, The 2007 Auditor General report found that the approximate cost of operating the IDOTfleet was $20,000,000 from 2003-2006; and WHEREAS, The 2007 Auditor General report estimated that IDOT would need to charge approximately$270.10 for a one-way flight between Springfield and Chicago to cover the actual cost of operating theaircraft; and WHEREAS, Flights between Springfield and Chicago are currently offered by commercial airlines, suchas United Airlines; and WHEREAS, The 2007 Auditor General Report found that IDOT did not include all costs of operatingthe State's aircraft in its cost reports, and IDOT has not fully analyzed the cost effectiveness of its air operation or the optimal fleet size needed; and WHEREAS, A detailed breakdown of the actual costs of the air transportation services provided byIDOT is not easily obtainable; and WHEREAS, Governor Quinn has estimated that the State of Illinois is expected to face an $11 billiondeficit for fiscal years 2009 and 2010; and WHEREAS, The Commission on Government Forecasting and Accountability is charged with the dutyto study and recommend State fiscal and economic policies to improve the functioning of State governmentand the economy of the various regions within the State by Section 3 of the Commission on GovernmentForecasting and Accountability Act; therefore, be it RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we instruct the Commission on GovernmentForecasting and Accountability to study the actual costs associated the Illinois Department ofTransportation (IDOT) Division of Aeronautics Bureau of Air Operation's Springfield-Chicago and Chicago-Springfield shuttle service between Abraham Lincoln Capital Airport in Springfield and MidwayAirport in Chicago and additional flight services provided upon request of State employees and officials, and perform a cost-benefit analysis to determine whether such air transportation services is an efficient useof State revenue; and be it further RESOLVED, That the Commission on Government Forecasting and Accountability analyze the actual costs of the air transportation services provided by IDOT by breaking down the costs of personnel, fuel,maintenance, insurance, landing fees charged by each airport, and other costs associated with thetransportation services; and be it further RESOLVED, That the Commission on Government Forecasting and Accountability analyze the actualcosts of the air transportation services provided by IDOT by breaking down the costs attributable to theGovernor, Lieutenant Governor, legislative leaders of the General Assembly, members of the General Assembly, Judges of the Supreme Court, Attorney General, Secretary of State, Comptroller, Treasurer, and

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[May 20, 2009] 346 other users; and be it further RESOLVED, That the Commission on Government Forecasting and Accountability analyze whether it would be more cost efficient for the State to sell the aircraft used by IDOT for transportation of Stateemployees and officials, except for one State aircraft to be used for the essential travel of the Governor, andrequiring State employees and officials in need of air transportation services to be reimbursed for travel oncommercial airlines, rather than IDOT providing the services; and be it further RESOLVED, That the Commission on Government Forecasting and Accountability shall submit a report of its findings and recommendations to the General Assembly on or before January 1, 2010.

HOUSE RESOLUTION 424 Offered by Representative Brauer: WHEREAS, First described in 1826, more than 170 years ago, Batten Disease (Neuronal CeroidLipofuscinoses), thought to be one of the most common neurodegenerative diseases, remains an unsolved mystery today, a puzzling disease that assures its victims of only one consistent manifestation, early death;and WHEREAS, An inherited, degenerative, neurological disease, Batten Disease may affect persons of anyage, but primarily affects infants, toddlers, and school age children, beginning unexpectedly and leading toa progressive loss of brain function that later destroys bodily functions, eventually leaving the victim totallyhelpless; and WHEREAS, Whether in the case of infantile (Santavnori), late infantile (Jansky, Bielschowsky), juvenile (Batten, Spielmeyer, Sjogren), or adult type (Kuf, Parry), the early symptoms of Batten Diseaseare confusing ones; it strikes without warning, affecting vision, and causing seizures or convulsions; and WHEREAS, Possibly most frustrating of all is the fact that Batten Disease is rarely diagnosedimmediately, often being mistaken for epilepsy or mental retardation, even schizophrenia; and oncediagnosed, there is no satisfactory treatment and no cure; the clinical course of the disease includes a marked decline in cognitive function; personality and behavior changes; loss of communication and motorskills; poor circulation; decrease in muscle mass; hyperventilation; hallucinations, and, finally,deterioration to a vegetative state that ends in death; and WHEREAS, Batten Disease is named after the British pediatrician who first described it in 1903; alsoknown as Spielmeyer-Vogt-Sjogren-Batten Disease, it is the most common form of a group of disorders called Neuronal Ceroid Lipofuscinoses (or NCLs); and WHEREAS, Although Batten Disease is usually regarded as the juvenile form of NCL, it has nowbecome the term to encompass all forms of NCL; and WHEREAS, The forms of NCL are classified by age of onset and have the same basic cause, progression and outcome but are all genetically different; over time, affected children suffer mentalimpairment, worsening seizures, and progressive loss of sight and motor skills; eventually, children with Batten Disease/NCL become blind, bedridden, and unable to communicate and it is presently always fatal;Batten Disease is not contagious or, at this time, preventable; and WHEREAS, The first probable instances of this condition were reported in 1826 in a Norwegian medical journal by Dr. Christian Stengel, who described 4 affected siblings in a small mining community inNorway; although no pathological studies were performed on these children, the clinical descriptions are sosuccinct that the diagnosis of the Spielmeyer-Sjogren (juvenile) type is fully justified; and WHEREAS, More fundamental observations were reported by F. E. Batten in 1903, and by Vogt in1905, who performed extensive clinicopathological studies on several families; retrospectively, these papers disclose that the authors grouped together different types of the syndrome; and WHEREAS, Furthermore Batten, at least for some time, insisted that the condition that he described wasdistinctly different from Tay-Sachs Disease, the prototype of a neuronal lysosomal disorder now identifiedas GM2-Gangliosidosis type A; around the same time, Spielmeyer reported detailed studies on threesiblings, suffering from the Spielmeyer-Sjogren (juvenile) type, which led him to the very firm statement that this malady is not related to Tay-Sachs Disease; subsequently, however, the pathomorphologicalstudies of Schaffer made these authors change their minds to the extent that they reclassified theirrespective observations as variants of Tay-Sachs Disease, which caused confusion lasting about 50 years;and WHEREAS, In 1913-14, M. Bielschowsky delineated the Late Infantile form of NCL; however, all

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347 [May 20, 2009] forms were still thought to belong in the group of "familial amaurotic idiocies", of which, Tay-Sachs was the prototype; in 1931, the Swedish psychiatrist and geneticist, Torben Sjogren, presented 115 cases withextensive clinical and genetic documentation and came to the conclusion that the disease which we nowcall the Spielmeyer-Sjogren (juvenile) type is genetically separate from Tay Sachs; and WHEREAS, Departing from the careful morophological observations of Spielmeyer, Hurst, and Sjovalland Ericsson, Zeman and Alpert made a determined effort to document the previously suggestedpigmentary nature of the neuronal deposits in certain types of storage disorders; simultaneously, Terry andKorey and Svennerholm demonstrated a specific ultrastructure and biochemistry for Tay Sachs Disease,and these developments led to the distinct identification and also separation of the NCLs from Tay Sachs Disease by Zeman and Donahue; at that time, it was proposed that the Late Infantile(Jansky-Bielschowsky), the Juvenile (Spielmeyer-Vogt), and the adult form (Kufs) were quite different from Tay-Sachs Disease with respect to chemical pathology and ultrastructure and also different from otherforms of sphingolipidoses; and WHEREAS, Subsequently, it was shown by Santavuori and Haltia that an infantile form of NCL exists,which Zeman and Dyken had included with the Jansky Bielschowsky type; and WHEREAS, There are four main types of NCL, including two forms that begin earlier in childhood anda very rare form that strikes adults; the symptoms are similar but they become apparent at different agesand progress at different rates: Infantile NCL (Santavuori-Haltia disease): begins between about 6 months and 2 years of age

and progresses rapidly; affected children fail to thrive and have abnormally small heads (microcephaly);also typical are short, sharp muscle contractions called myoclonic jerks; initial signs of this disorderinclude delayed psychomotor development with progressive deterioration, other motor disorders, orseizures; the infantile form has the most rapid progression and children live into their mid childhood years;

Late Infantile NCL (Jansky-Bielschowsky disease): begins between ages 2 and 4; the typical

early signs are loss of muscle coordination (ataxia) and seizures along with progressive mentaldeterioration; this form progresses rapidly and ends in death between ages 8 and 12;

Juvenile NCL (Batten Disease): begins between the ages of 5 and 8 years of age; the typical

early signs are progressive vision loss, seizures, ataxia, or clumsiness; this form progresses less rapidly and ends in death in the late teens or early 20s, although some may live into their 30s;

Adult NCL (Kufs Disease or Parry's Disease): generally begins before the age of 40, causes

milder symptoms that progress slowly, and does not cause blindness; although age of death is variableamong affected individuals, this form does shorten life expectancy; and

WHEREAS, Batten Disease/NCL is relatively rare, occurring in an estimated 2 to 4 of every 100,000births in the United States; the diseases have been identified worldwide; although NCLs are classified asrare diseases, they often strike more than one person in families that carry the defective gene; and WHEREAS, Childhood NCLs are autosomal recessive disorders; that is, they occur only when a child inherits two copies of the defective gene, one from each parent; when both parents carry one defectivegene, each of their children faces one in four chance of developing NCL; at the same time, each child alsofaces a one in two chance of inheriting just one copy of the defective gene; individuals who have only onedefective gene are known as carriers, meaning they do not develop the disease, but they can pass the geneon to their own children; and WHEREAS, Adult NCL may be inherited as an autosomal recessive (Kufs) or, less often, as anautosomal dominant (Parrys) disorder; in autosomal dominant inheritance, all people who inherit a singlecopy of the disease gene develop the disease; as a result, there are no unaffected carriers of the gene; symptoms of Batten Disease/NCLs are linked to a buildup of substances called lipopigments in the body'stissues; these lipopigments are made up of fats and proteins; their name comes from the technical wordlipo, which is short for "lipid" or fat, and from the term pigment, used because they take on agreenish-yellow color when viewed under an ultraviolet light microscope; and WHEREAS, The lipopigments build up in cells of the brain and the eye as well as in skin, muscle, and many other tissues; inside the cells, these pigments form deposits with distinctive shapes that can be seenunder an electron microscope; some look like half-moons (or comas) and are called curvilinear bodies, others look like fingerprints and are called fingerprint inclusion bodies, and still others resemble gravel (orsand) and are called granual osmophilic deposits (grods); these deposits are what doctors look for whenthey examine a skin sample to diagnose Batten Disease; the diseases cause death of neurons (specific cells found in the brain, retina and central nervous system); the reason for neuron death is still not known; and WHEREAS, Because vision loss is often an early sign, Batten Disease/NCL may be first suspected

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[May 20, 2009] 348 during an eye exam; an eye doctor can detect a loss of cells within the eye that occurs in the threechildhood forms of Batten Disease/NCL; however, because such cell loss occurs in other eye diseases, thedisorder cannot be diagnosed by this sign alone; and WHEREAS, Often an eye specialist or other physician who suspects Batten Disease/NCL may refer thechild to a neurologist, a doctor who specializes in disease of the brain and nervous system; in order todiagnose Batten Disease/NCL, the neurologist needs the patient's medical history and information from various laboratory tests; diagnostic tests used for Batten Disease/NCLs include: Skin or tissue sampling; the doctor can examine a small piece of tissue under an electron

microscope; the powerful magnification of the microscope helps the doctor spot typical NCL deposits;these deposits are found in many different tissues, including skin, muscle, conjunctiva, rectal, and others;blood can also be used;

electroencephalogram or EEG; an EEG uses special patches placed on the scalp to record

electrical currents inside the brain; this helps doctors see telltale patterns in the brain's electrical activitythat suggest a patient has seizures;

Electrical studies of the eyes; these tests, which include visual-evoked responses (VER) and

electro-retinagrams (ERG), can detect various eye problems common in childhood BattenDisease/NCLs;

Brain scans; imaging can help doctors look for changes in the brain's appearance; the most

commonly used imaging technique is computed tomography (CT), which uses x-rays and a computer to create a sophisticated picture of the brain's tissues and structures; a CT scan may reveal brain areas thatare decaying in NCL patients; a second imaging technique that is increasingly common is magnetic resonance imaging, or MRI; MRI uses a combination of magnetic fields and radio waves, instead ofradiation, to create a picture of the brain;

Enzyme assay; a recent development in diagnosis of Batten Disease/NCL is the use of enzyme

assays that look for specific missing lysosomal enzymes for Infantile and Late Infantile only; this is aquick and easy diagnostic test;

Genetic/DNA testing; each form of Batten disease is the result of a different gene; genes

for eight or the ten forms have been identified; testing for these is available for diagnosis as well ascarrier and prenatal; and

WHEREAS, As yet, no specific treatment is known that can halt or reverse the symptoms of BattenDisease/NCL; however, seizures can be reduced or controlled with anticonvulsant drugs, and other medicalproblems can be treated appropriately as they arise; at the same time, physical and occupational therapymay help patients retain function as long as possible; and WHEREAS, Some reports have described a slowing of the disease in children with Batten Disease whowere treated with vitamins C and E and with diets low in vitamin A; however, these treatments did notprevent the fatal outcome of the disease; and WHEREAS, Support and encouragement can help children and families cope with the profounddisability and losses caused by NCLs; the Batten Disease Support and Research Association enablesaffected children, adults, and families to share common concerns and experiences; meanwhile, scientists pursue medical research that will someday yield an effective treatment; and WHEREAS, Within the federal government, the focal point for research on Batten Disease and otherneurogenetic disorders is the National Institute of Neurological Disorders and Stroke (NINDS); theNINDS, a part of the National Institutes of Health (NIH), is responsible for supporting and conductingresearch on the brain and central nervous system; the Batten Disease Support and Research Association and the Children's Brain Diseases Foundation also provide financial assistance for research; and WHEREAS, Through the work of several scientific teams, the search for the genetic cause of NCLs isgathering speed; in September 1995, The International Batten Disease Consortium announced theidentification of the gene for the juvenile form of Batten Disease; the specific gene, CLN3, located onChromosome 16, has a deletion or piece missing; this gene accounts for 73% of all cases of Juvenile Batten Disease; the rest are the result of other defects of the same gene; and WHEREAS, Also, in 1995, scientists in Finland announced the identification of the gene responsible forthe infantile form of Batten Disease; the gene, CLN1, is located on Chromosome 1; in September 1997, scientists at the Robert Woos Johnson Medical School and the Institute for Basic Research, New York,announced the identification of the gene for the "classic" Late Infantile form of Batten Disease/NCL; thegene, CLN2, is located on chromosome 11; and WHEREAS, Scientists have also identified the genes responsible for Finnish Late Infantile (CLN5),variant Late Infantile (CLN6), EPMR (CLN8), and Congenital/CTSD (CLN10); research also continues

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349 [May 20, 2009] toward identification of the gene for the adult form of Batten Disease/NCL, also known as Kufs Disease;and WHEREAS, Identification of the specific genes for Infantile, Late Infantile, Variant Late Infantile, andJuvenile Batten Disease/NCL has led to the development of DNA diagnostics, carrier, and prenatal tests; and WHEREAS, Scientists have discovered that the Infantile and Late Infantile diseases are missing keylysosomal enzymes, i.e. Palmitoyl Protein Thioesterase 1 (PPT1) for Infantile and Tripeptidyl Peptidase 1 (TPP1) for Late Infantile; knowing that these enzymes are missing is now leading to the development ofgene replacement and stem cell transplantation therapies; and WHEREAS, Recent studies have shown a link between the Juvenile form and the body's autoimmune system; although this link is not yet fully understood, it may eventually lead to a treatment; therefore, be it RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we declare June 6-7, 2009 Batten Disease Awareness Weekend in the State of Illinois and ask people of the State to look at ways in which they may help tocombat this terrible disease; and be it further RESOLVED, That a suitable copy of this resolution be presented to the Batten Disease Research and Support Association as a symbol of our support.

HOUSE RESOLUTION 425 Offered by Representative Dunkin: WHEREAS, The Illinois Chapters of the Phi Beta Sigma Fraternity and the Zeta Phi Beta Sorority aresponsoring their second annual legislative visit to the State Capitol; and WHEREAS, Phi Beta Sigma Fraternity, Inc. was founded at Howard University in Washington, D.C.,on January 9, 1914 by 3 young African-American male students, celebrated as the Honorable A. LangstonTaylor, the Honorable Leonard F. Morse, and the Honorable Charles I. Brown; and WHEREAS, Zeta Phi Beta Sorority, Inc. was founded on January 16, 1920 by 5 young women,celebrated as the Honorable Arizona Cleaver Stemons, the Honorable Pearl A. Neal, the Honorable MyrtleTyler Faithful, the Honorable Viola Tyler Goings, and the Honorable Fannie Pettie Watts; the 5 women,respectfully known as the Five Pearls, founded the sorority at Howard University in Washington, D.C.; and WHEREAS, Phi Beta Sigma and Zeta Phi Beta are the only historically Greek-lettered organizations in the National Pan-Hellenic Council to be constitutionally bound; and WHEREAS, From its inception, Phi Beta Sigma was conceived by its founders as a mechanism todeliver services to the general community, rather than gaining skills to be utilized exclusively for themselves or their immediate families; this deep conviction is mirrored in the fraternity's motto, "Culturefor Service and Service for Humanity"; and WHEREAS, Since its inception, Zeta Phi Beta has chronicled a number of firsts; Zeta Phi Beta was the first Greek-letter organization to charter a chapter in Africa in 1948; the sorority was also the first to formadult and youth auxiliary groups and centralize its operations in a national headquarters; and WHEREAS, Both the Phi Beta Sigma Fraternity and the Zeta Phi Beta sorority are honored to haveformed many wonderful, community-based partnerships with the March of Dimes, the American CancerSociety, American Diabetes Research, the NAACP, the National Pan-Hellenic Council, and the Urban League; therefore, be it RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we, in recognition of the achievements of the membersof Phi Beta Sigma Fraternity, Inc. and Zeta Phi Beta Sorority, Inc., and the values for which they strive,designate May 20, 2009 as the Second Annual Phi Beta Sigma and Zeta Phi Beta Day in the State ofIllinois; and be it further RESOLVED, That a suitable copy of this resolution be presented to the International President of Phi Beta Sigma Fraternity, Inc., Paul L. Griffin, Jr., the International President of Zeta Phi Beta Sorority, Inc.,Illinoisan Sheryl Underwood, and the Great Lakes Regional Director and Illinois State Director of both the Phi Beta Sigma Fraternity and Zeta Phi Beta Sorority.

HOUSE RESOLUTION 428

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[May 20, 2009] 350 Offered by Representative Bellock: WHEREAS, Developmental disabilities are defined as those disabilities caused by intellectual orcognitive disability, autism, cerebral palsy, epilepsy, or any other condition which results in impairmentsimilar to that of intellectual disability, which originates before the age of 18 and is expected to continueindefinitely; and WHEREAS, Approximately 1.8 percent of the U.S. population is afflicted with a developmentaldisability and one in 150 children will be diagnosed with autism; and WHEREAS, Every individual with a developmental disability has the right to live with dignity, toachieve their highest potential, and to be included in our communities; and WHEREAS, Hundreds of persons with developmental disabilities and their families will convene in the Illinois State Capitol on May 21, 2009 to show their support for legislation, funding, and policies thatsupport individuals with developmental disabilities, including autism, and that promote self-determination and inclusion in our communities; therefore, be it RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we do hereby proclaim May 21, 2009 as DisabilityFreedom Quest Day at the Illinois State Capitol.

HOUSE RESOLUTION 431 Offered by Representative Rose: WHEREAS, The laws and procedures with respect to the junking of vehicles are a confusing andunintelligible set of requirements to the average citizen of Illinois, and such laws present an unnecessaryand undue hardship to a person attempting to junk a motor vehicle in this State; therefore, be it RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SIXTH GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that the Office of the Secretary of State shall undertake anexamination of the laws and procedures with respect to junking of vehicles and prepare a report containing its findings and recommendations; and be it further RESOLVED, That the Office of the Secretary of State shall file its report with the General Assembly nolater than January 1, 2010.

AGREED RESOLUTIONS

The following resolutions were offered and placed on the Calendar on the order of Agreed Resolutions.

HOUSE RESOLUTION 422 Offered by Representative Yarbrough: Congratulates Frank M. Paris on the occasion of his retirement from the Village of River Forest.

HOUSE RESOLUTION 426 Offered by Representative Joyce: Congratulates Aiyang Jiang on the occasion of winning the Siemens Award for Advanced Placement.

HOUSE RESOLUTION 427 Offered by Representative Madigan: Congratulates Richard "Rick" Schoell on the occasion of his retirement from the University of Illinois at Champaign-Urbana.

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HOUSE RESOLUTION 429 Offered by Representative Osmond: Congratulates the staff, students, and faculty of Oakland Elementary School in Antioch on the occasion of the 50th anniversary of the school.

HOUSE RESOLUTION 430 Offered by Representative Wait: Honors Sgt. Eric J. Weber of Rockford for his service to his community and his country.

SENATE BILLS ON THIRD READING

The following bills and any amendments adopted thereto were reproduced. Any amendments still pending upon the passage or defeat of a bill on Third Reading are automatically tabled pursuant to Rule 40(a). On motion of Representative Phelps, SENATE BILL 1512 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 118, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 2) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate.

On motion of Representative Jakobsson, SENATE BILL 1544 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 118, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 3) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

On motion of Representative Jakobsson, SENATE BILL 1559 was taken up and read by title a third time. Representative Black was recognized for a parliamentary inquiry regarding the applicability of extraordinary vote requirements for certain limitations on home rule units of local government. The Chair ruled that a vote of a majority of the members elected (60 votes) was required for passage of the bill. Representative Hernandez moved to take the bill out of the record.

RECALL At the request of the principal sponsor, Representative Burke, SENATE BILL 1267 was recalled from the order of Third Reading to the order of Second Reading and held on that order.

SENATE BILLS ON THIRD READING

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[May 20, 2009] 352 The following bills and any amendments adopted thereto were reproduced. Any amendments still pending upon the passage or defeat of a bill on Third Reading are automatically tabled pursuant to Rule 40(a). On motion of Representative Tryon, SENATE BILL 1592 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 117, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 4) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate.

On motion of Representative Mautino, SENATE BILL 1611 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 117, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 5) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate.

RECALL At the request of the principal sponsor, Representative Mautino, SENATE BILL 1936 was recalled from the order of Third Reading to the order of Second Reading and held on that order.

SENATE BILLS ON THIRD READING The following bills and any amendments adopted thereto were reproduced. Any amendments still pending upon the passage or defeat of a bill on Third Reading are automatically tabled pursuant to Rule 40(a). On motion of Representative Hamos, SENATE BILL 1698 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 117, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 6) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

On motion of Representative Hamos, SENATE BILL 1729 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 117, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 7) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

On motion of Representative Feigenholtz, SENATE BILL 1738 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 117, Yeas; 0, Nays; 0, Answering Present.

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353 [May 20, 2009] (ROLL CALL 8) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate.

RECALL At the request of the principal sponsor, Representative DeLuca, SENATE BILL 1783 was recalled from the order of Third Reading to the order of Second Reading and held on that order.

SENATE BILLS ON THIRD READING The following bills and any amendments adopted thereto were reproduced. Any amendments still pending upon the passage or defeat of a bill on Third Reading are automatically tabled pursuant to Rule 40(a). On motion of Representative William Davis, SENATE BILL 1866 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 76, Yeas; 41, Nays; 0, Answering Present. (ROLL CALL 9) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

On motion of Representative Mathias, SENATE BILL 1801 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 116, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 10) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

On motion of Representative Mathias, SENATE BILL 1877 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 116, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 11) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

On motion of Representative Cross, SENATE BILL 1922 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 116, Yeas; 0, Nays; 0, Answering Present. (ROLL CALL 12) This bill, as amended, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence in the House amendment/s adopted.

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[May 20, 2009] 354 On motion of Representative Dugan, SENATE BILL 1932 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 83, Yeas; 29, Nays; 3, Answering Present. (ROLL CALL 13) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate.

On motion of Representative Jakobsson, SENATE BILL 2022 was taken up and read by title a third time.

Pending discussion, Representative Riley moved the previous question. Representative Riley withdrew the previous motion.

Pending discussion, Representative McCarthy moved the previous question. And the question being, “Shall the main question be now put?” it was decided in the affirmative. The question then being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 69, Yeas; 48, Nays; 0, Answering Present. (ROLL CALL 14) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate.

HOUSE BILLS ON SECOND READING

HOUSE BILL 2145. Having been read by title a second time on May 19, 2009, and held on the order of Second Reading, the same was again taken up. The following amendment was offered in the Committee on Appropriations-General Services, adopted and reproduced. AMENDMENT NO. 1. Amend House Bill 2145 by replacing everything after the enacting with the following:

“ARTICLE 1 Section 5. “Operational expenses” defined. For the purposes of this amendatory Act of the 96th General Assembly, the term “operational expenses” includes the following items: (a) Personal services; (b) State contributions to Social Security; (c) Group Insurance; (d) Contractual services, except that professional and artistic services shall not be included in the definition of “operational expenses”; (e) Travel; (f) Commodities; (g) Printing; (h) Equipment; (i) Electronic data processing; (j) Telecommunications services; (k) Operation of automotive equipment; (l) Refunds. Section 10. “Professional and artistic services” defined. For the purposes of this amendatory Act of the 96th General Assembly, the term “professional and artistic services” means those services provided under contract to a State agency by a person or business, acting as an independent contractor, qualified by education, experience, and technical ability.

ARTICLE 2 Section 5. The amount of $13,091,050, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for

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furnishing the items provided in Section 4 of the General Assembly Compensation Act to members of their respective houses throughout the year in connection with their legislative duties and responsibilities and not in connection with any political campaign as prescribed by law. Of this amount, 37.436% is appropriated to the President of the Senate for such expenditures and 62.564% is appropriated to the Speaker of the House for such expenditures. Section 10. Payments from the amounts appropriated in Section 5 hereof shall be made only upon the delivery of a voucher approved by the member to the State Comptroller. The voucher shall also be approved by the President of the Senate or the Speaker of the House of Representatives as the case may be. Section 15. The amount of $20,603,400 or so much thereof as may be necessary, respectively, is appropriated to meet the ordinary and incidental expenses of the Senate legislative leadership and legislative staff assistants and the House Majority and Minority leadership staff, general staff and office operations. Of this amount, 25.7% is appropriated to the President of the Senate for such expenditures, 25.7% is appropriated to the Senate Minority Leader for such expenditures and 24.8% is appropriated to the Speaker of the House for such expenditures, and 23.8% is appropriated to the House Minority Leader for such expenditures. Section 20. The amount of $9,382,100, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for the ordinary and incidental expenses of committees, the general staff and operations, per diem employees, special and standing committees, expenses incurred in transcribing and printing of debates. Of this amount, 43.018% is appropriated to the President of the Senate for such expenditures and 56.982% is appropriated to the Speaker of the House for such expenditures. Section 25. The amount of $309,200, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for the ordinary and incidental expenses, also including the purchasing on contract as required by law of printing, binding, printing paper, stationery and office supplies. For the House, no part of which shall be expended for expenses of purchasing, handling or distributing such supplies and against which no indebtedness shall be incurred without the written approval of the Speaker of the House of Representatives. Of this amount, 69.277% is appropriated to the President of the Senate for such expenditures and 30.723% is appropriated to the Speaker of the House for such expenditures. Section 30. The amount of $4,483,050, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate for the use of standing committees for expert witnesses, technical services, consulting assistance and other research assistance associated with special studies and long range research projects which may be requested by the standing committees and the Speaker of the House of Representatives for Standing House Committees pursuant to the Legislative Commission Reorganization Act of 1984. Of this amount, 46.862% is appropriated to the President of the Senate for such expenditures and 53.138% is appropriated to the Speaker of the House for such expenditures. Section 35. The amount of $167,000, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Senate Minority Leader for allowances for the particular and additional services appertaining to or entailed by the respective officers of the Senate. Of this amount, 50% is appropriated to the President of the Senate for such expenditures and 50% is appropriated to the Senate Minority Leader for such expenditures. Section 40. The amount of $88,100, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for travel, including expenses to Springfield of members on official legislative business during weeks when the General Assembly is not in session. Of this amount, 65.5% is appropriated to the President of the Senate for such expenditures and 34.5% is appropriated to the Speaker of the House for such expenditures. Section 45. The amount of $441,600, or so much thereof as may be necessary and remains unexpended from an appropriation heretofore made for such purposes in Article 17 of Public Act 95-0731, is appropriated to the Speaker of the House for expenses in connection with the planning and preparation of redistricting of legislative and representative districts as required by Article IV, Section 3 of the Illinois Constitution of 1970. Section 50. The amount of $341,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the General Assembly to meet ordinary and contingent expenses. Any use of funds appropriated under this Section must be approved jointly by the Clerk of the House of Representatives and the Secretary of the Senate. Section 55. As used in Section 15 hereof, except where the approval of the Speaker of the House

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of Representatives is expressively required for the expenditure of or the incurring of indebtedness against an appropriation for certain purchases on contract, “Speaker” means the leader of the party having the largest number of members of the House of Representatives as of January 14, 2009, and “Minority Leader” means the leader of the party having the second largest number of members of the House of Representatives as of January 14, 2009. Section 60. The sum of $312,455, or so much thereof as may be necessary, is appropriated to the Legislative Ethics Commission to meet the ordinary and contingent expenses of the Commission and the Office of Legislative Inspector General. Section 65. The sum of $113,700, or so much thereof as may be necessary, is appropriated for the ordinary and contingent expenses of the Senate Operations Commission including the planning costs, construction costs, moving expenses and all other costs associated with the construction and reconstruction of Senate offices in the Capitol Complex area.

ARTICLE 3 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Auditor General to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,999,700 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................383,500 Section 15. The amount of $1,423,800 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Auditor General to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 4 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Commission on Government Forecasting and Accountability to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................796,600 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................61,000 Section 15. The amount of $6,075,300 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Commission on Government Forecasting and Accountability to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 5 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Information System to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................2,379,200 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................182,000 Section 15. The amount of $1,863,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Information System to meet its operational expenses

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and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 6 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Audit Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................180,100 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................13,800 Section 15. The amount of $39,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Audit Commission to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 7 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Printing Unit to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,320,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................101,000 Section 15. The amount of $739,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Printing Unit to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 8 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Research Unit to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,206,050 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................92,300 Section 15. The amount of $1,632,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Research Unit to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 9 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Reference Bureau to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS

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For Personal Services for Non-Bargaining Unit Employees...........................................1,753,600 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................134,200 Section 15. The amount of $601,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Reference Bureau to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 10 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Architect of the Capitol to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................345,000 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................33,800 Section 15. The amount of $1,110,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Architect of the Capitol to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 11 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Joint Committee on Administrative Rules to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................812,200 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................62,200 Section 15. The amount of $166,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Joint Committee on Administrative Rules to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 12 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Supreme Court to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees....................................... 208,114,100 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................5,222,100 Section 15. The amount of $20,018,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Supreme Court to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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ARTICLE 13 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Judicial Inquiry Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................318,000 For State Contributions to Social Security for Non-Bargaining Unit Employees ...........................................23,300 Section 15. The amount of $372,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Judicial Inquiry Board to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 14 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the State Appellate Defender to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................16,312,500 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................1,247,900 Section 15. The amount of $3,631,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State Appellate Defender to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 15 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the State’s Attorneys Appellate Prosecutor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,463,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................264,900 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the State’s Attorneys Appellate Prosecutor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................991,400 For State Contributions to Social Security for Non-Bargaining Unit Employees ...........................................75,800 Section 15. The amount of $1,159,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State’s Attorneys Appellate Prosecutor to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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ARTICLE 16

Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Court of Claims to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,178,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................90,200 Section 15. The amount of $201,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Court of Claims to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Court of Claims for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 17 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Governor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,783,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................365,900 Section 15. The amount of $1,606,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Governor to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Governor for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 18 Section 15. The amount of $1,354,000 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Lieutenant Governor to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Lieutenant Governor for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 19 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the Attorney General to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................8,829,600 For State Contributions to Social Security for Bargaining Unit Employees......................................................675,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the

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Office of the Attorney General to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ....................................15,441,800 For State Contributions to Social Security for Non-Bargaining Unit Employees ......................................1,181,300 Section 15. The amount of $4,577,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Attorney General to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 20 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Secretary of State to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................57,111,300 For State Contributions to Social Security for Bargaining Unit Employees...................................................4,369,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Secretary of State to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................18,709,200 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................1,431,300 Section 15. The amount of $32,488,000 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Secretary of State to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 21 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Comptroller to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................6,078,300 For State Contributions to Social Security for Bargaining Unit Employees......................................................465,100 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Comptroller to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................9,016,500 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................679,600 Section 15. The amount of $14,350,300, or so much thereof as may be necessary, is appropriated

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from the General Revenue Fund to the State Comptroller to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 22 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay the elected State officers of the Executive Branch of the State Government, at various rates prescribed by law: For the Governor ............................................................................ 177,500 For the Lieutenant Governor ...........................................................135,700 For the Secretary of State ................................................................156,600 For the Attorney General.................................................................156,600 For the Comptroller .........................................................................135,700 For the State Treasurer ....................................................................135,700 Total.........................................................................................$897,800 Section 11. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay certain appointed officers of the Executive Branch of the State Government, at the various rates prescribed by law:

From General Revenue Fund Department on Aging

For the Director.................................................................................... 115,700 Department of Agriculture

For the Director.....................................................................................133,300 For the Assistant Director .....................................................................113,200

Department of Central Management Services For the Director.....................................................................................142,400 For 2 Assistant Directors ......................................................................242,100 Department of Children and Family Services For the Director.....................................................................................150,300

Department of Corrections For the Director.....................................................................................150,300 For the Assistant Director .....................................................................127,800

Department of Commerce and Economic Opportunities For the Director.....................................................................................142,400 For the Assistant Director .....................................................................121,100

Environmental Protection Agency For the Director.....................................................................................133,300

Department of Financial and Professional Regulation For the Secretary...................................................................................135,100 For the Director.....................................................................................115,400 For the Director.....................................................................................133,300 For the Director.....................................................................................124,100

Department of Human Services For the Secretary...................................................................................150,300 For 2 Assistant Secretaries....................................................................255,500

Department of Juvenile Justice For the Director.....................................................................................120,400

Department of Labor For the Director.....................................................................................124,100 For the Assistant Director .....................................................................113,200 For the Chief Factory Inspector ..............................................................52,200 For the Superintendent of Safety Inspection and Education ........................................................................................57,400

Department of State Police For the Director.....................................................................................132,600 For the Assistant Director .....................................................................113,200

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Department of Military Affairs For the Adjutant General ......................................................................115,700 For two Chief Assistants to the Adjutant General..................................................................................197,100

Department of Natural Resources For the Director.....................................................................................133,300 For the Assistant Director .....................................................................124,600 For six Mine Officers..............................................................................94,000 For four Miners' Examining Officers......................................................51,700

Illinois Labor Relations Board For the Chairman ..................................................................................104,400 For four State Labor Relations Board members...............................................................................................375,800 For two Local Labor Relations Board members...............................................................................................187,900

Department of Healthcare and Family Services For the Director.....................................................................................142,400 For the Assistant Director .....................................................................121,100

Department of Public Health For the Director.....................................................................................150,300 For the Assistant Director .....................................................................127,800

Department of Revenue For the Director.....................................................................................142,400 For the Assistant Director .....................................................................121,100

Property Tax Appeal Board For the Chairman ....................................................................................64,800 For four members..................................................................................208,800

Department of Veterans' Affairs For the Director.....................................................................................115,700 For the Assistant Director .......................................................................98,600

Civil Service Commission For the Chairman ....................................................................................30,500 For four members..................................................................................101,300

Commerce Commission For the Chairman ..................................................................................134,100 For four members..................................................................................468,200

Court of Claims For the Chief Judge.................................................................................65,000 For the six Judges .................................................................................359,600

State Board of Elections For the Chairman ....................................................................................58,500 For the Vice-Chairman ...........................................................................48,100 For six members....................................................................................225,500

Illinois Emergency Management Agency For the Director.....................................................................................129,000 For the Assistant Director .....................................................................115,700

Department of Human Rights For the Director.....................................................................................115,700

Human Rights Commission For the Chairman ....................................................................................52,200 For twelve members..............................................................................563,600

Illinois Workers’ Compensation Commission For the Chairman ..................................................................................125,300 For nine members ..............................................................................1,078,600

Liquor Control Commission For the Chairman ....................................................................................39,000 For six members....................................................................................204,400

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For the Secretary.....................................................................................37,600 For the Chairman and one member as designated by law, $200 per diem for work on a license appeal commission ..............................................55,000

Executive Ethics Commission For nine members .................................................................................338,200

Illinois Power Agency For the Director.....................................................................................103,800

Pollution Control Board For the Chairman ..................................................................................121,100 For four members..................................................................................468,200

Prisoner Review Board For the Chairman ....................................................................................95,900 For fourteen members of the Prisoner Review Board .....................................................................1,202,500

Secretary of State Merit Commission For the Chairman ....................................................................................17,300 For four members....................................................................................51,700

Educational Labor Relations Board For the Chairman ..................................................................................104,400 For four members..................................................................................375,800

State Police Merit Board For five members of the State Police Merit Board, $237 per diem, whichever is applicable in accordance with law, for a maximum of 100 days each .........................................118,400

Department of Transportation For the Secretary...................................................................................150,300 For the Assistant Secretary ...................................................................127,800

Office of Small Business Utility Advocate For the small business utility advocate ....................................................... 0 Total, General Revenue Fund .............................................$13,158,500 Section 12. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay certain officers of the Legislative Branch of the State Government, at the various rates prescribed by law:

Office of Auditor General For the Auditor General ....................................................................... 139,800 For two Deputy Auditor Generals.........................................................246,400 Total.........................................................................................$386,200

Officers and Members of General Assembly For salaries of the 118 members of the House of Representatives at a base salary of $69,735 .............................................................. 8,140,400 For salaries of the 59 members of the Senate at a base salary of $69,735 ..........................................4,138,100 Total....................................................................................$12,278,500 For additional amounts, as prescribed by law, for party leaders in both chambers as follows: For the Speaker of the House, the President of the Senate and Minority Leaders of both Chambers................................................110,000 For the Majority Leader of the House.....................................................23,300 For the eleven assistant majority and minority leaders in the Senate .........................................................227,200 For the twelve assistant majority

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and minority leaders in the House ...................................................216,900 For the majority and minority caucus chairmen in the Senate...........................................................41,300 For the majority and minority conference chairmen in the House.....................................................36,200 For the two Deputy Majority and the two Deputy Minority leaders in the House...............................................79,200 For chairmen and minority spokesmen of standing committees in the Senate except the Rules Committee, the Committee on Committees and the Committee on the Assignment of Bills ...................................................................516,400 For chairmen and minority spokesmen of standing and select committees in the House ..............................................................1,115,300 Total......................................................................................$2,365,800 For per diem allowances for the members of the Senate, as provided by law .................................................................................. 400,000 For per diem allowances for the members of the House, as provided by law ...................................................................................800,000 For mileage for all members of the General Assembly, as provided by law................................................450,000 Total......................................................................................$1,650,000 For State Contribution to Social Security: From General Revenue Fund....................................................... 1,211,200

ARTICLE 23 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Comptroller to meet its official court reporting expenses for the fiscal year ending June 30, 2010: For Personal Services for Bargaining Unit Employees.......................................................14,022,900 For State Contributions to Social Security for Bargaining Unit Employees...................................................1,072,800 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Office of the State Comptroller to meet its official court reporting expenses for the fiscal year ending June 30, 2010: For Personal Services for Non-Bargaining Unit Employees.........................................27,085,500 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................2,072,000

ARTICLE 24 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Treasurer to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................1,657,600 For State Contributions to Social Security for Bargaining Unit Employees......................................................127,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively,

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for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Treasurer to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................3,423,300 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................262,000 Section 15. The amount of $2,947,800, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State Treasurer to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 25 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Board of Elections to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,023,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................307,900 Section 15. The amount of $1,888,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Board of Elections to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 26 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department on Aging to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................2,438,500 For State Contributions to Social Security for Bargaining Unit Employees......................................................186,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department on Aging to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................2,800,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................214,200 Section 15. The amount of $2,100,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department on Aging to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department on Aging for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

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ARTICLE 27 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Agriculture to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................13,992,800 For State Contributions to Social Security for Bargaining Unit Employees......................................................106,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Agriculture to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees................................................28,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..................................................2,200 Section 15. The amount of $6,955,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Agriculture to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Agriculture for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 28 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Central Management Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,666,200 For State Contributions to Social Security for Bargaining Unit Employees......................................................280,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Central Management Services meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................5,838,300 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................446,900 Section 15. The amount of $46,880,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Central Management Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Central Management Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

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ARTICLE 29 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Children and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees ..........................................155,933,400 For State Contributions to Social Security for Bargaining Unit Employees ............................................11,928,900 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Children and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ....................................47,709,200 For State Contributions to Social Security for Non-Bargaining Unit Employees ......................................3,649,800 Section 15. The amount of $51,291,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Children and Family Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Children and Family Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 30 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................4,803,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................367,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................5,569,300 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................426,100 Section 15. The amount of $8,237,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity for professional and

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artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 31 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Natural Resources to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................35,301,100 For State Contributions to Social Security for Bargaining Unit Employees...................................................2,700,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Natural Resources to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ......................................2,235,100 For State Contributions to Social Security for Non-Bargaining Unit Employees .........................................171,000 Section 15. The amount of $13,922,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Natural Resources to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Natural Resources for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 32 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Juvenile Justice to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................77,440,600 For State Contributions to Social Security for Bargaining Unit Employees...................................................5,924,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Juvenile Justice to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,078,400 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................312,000 Section 15. The amount of $27,115,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Juvenile Justice to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Juvenile Justice for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 33 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Corrections to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...............................................707,242,600 For State Contributions to Social Security for Bargaining Unit Employees.................................................54,104,100 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Corrections to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................27,584,700 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................2,110,300 Section 15. The amount of $342,825,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Corrections to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Corrections for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 34 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Rights to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,355,600 For State Contributions to Social Security for Bargaining Unit Employees......................................................256,700 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Rights to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................2,812,900 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................215,200 Section 15. The amount of $408,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Rights to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Rights for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 35 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...............................................582,880,700 For State Contributions to Social Security for Bargaining Unit Employees.................................................44,590,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................82,269,700 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................6,293,600 Section 15. The amount of $212,997,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 36 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Labor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,535,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................270,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Labor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................909,500 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................69,600 Section 15. The amount of $770,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Labor to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Labor for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 37 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Military Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................5,011,900 For State Contributions to Social Security for Bargaining Unit Employees......................................................383,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Military Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,649,800 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................126,200 Section 15. The amount of $7,600,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military Affairs to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military Affairs for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 38 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Healthcare and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................46,949,500 For State Contributions to Social Security for Bargaining Unit Employees...................................................3,591,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Healthcare and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ....................................20,326,200 For State Contributions to Social Security for Non-Bargaining Unit Employees ......................................1,683,800 Section 15. The amount of $33,118,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Healthcare and Family Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out

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of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Healthcare and Family Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 39 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Public Health to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................28,666,500 For State Contributions to Social Security for Bargaining Unit Employees...................................................2,193,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Public Health to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................10,481,900 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................801,800 Section 15. The amount of $12,252,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Public Health to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Public Health for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 40 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Revenue to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................43,142,300 For State Contributions to Social Security for Bargaining Unit Employees...................................................3,300,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Revenue to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................39,381,500 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................3,012,700 Section 15. The amount of $22,097,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Revenue to meet its operational expenses for the

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fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Revenue for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 41 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Police to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...............................................131,697,100 For State Contributions to Social Security for Bargaining Unit Employees...................................................6,610,100 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Police to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................10,739,500 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................421,900 Section 15. The amount of $37,061,800, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Police to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Police for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 42 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Veterans’ Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................41,836,500 For State Contributions to Social Security for Bargaining Unit Employees...................................................3,200,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Veterans’ Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,931,400 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................377,300 Section 15. The amount of $6,692,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Veterans’ Affairs to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Veterans’ Affairs for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 43 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Arts Council to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................868,300 For State Contributions to Social Security for Bargaining Unit Employees........................................................66,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Arts Council to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................561,500 For State Contributions to Social Security for Non-Bargaining Unit Employees ...........................................43,000 Section 15. The amount of $421,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Arts Council to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Arts Council for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 44 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Governor’s Office of Management and Budget to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ......................................1,890,000 For State Contributions to Social Security for Non-Bargaining Unit Employees .........................................145,000 Section 15. The amount of $410,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Governor’s Office of Management and Budget to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Governor’s Office of Management and Budget for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 45 Section 15. The amount of $6,931,315, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Executive Inspector General to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Executive Inspector General for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 46 Section 15. The amount of $334,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Executive Ethics Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Executive Ethics Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 47 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Civil Service Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................260,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................20,000 Section 15. The amount of $108,250, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Civil Service Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Civil Service Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 48 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................172,100 For State Contributions to Social Security for Bargaining Unit Employees........................................................13,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................286,900 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................21,900 Section 15. The amount of $161,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission for professional and artistic

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services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 49 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................5,559,700 For State Contributions to Social Security for Bargaining Unit Employees......................................................425,300 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ......................................1,830,300 For State Contributions to Social Security for Non-Bargaining Unit Employees .........................................140,000 Section 15. The amount of $918,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 50 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Human Rights Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................447,700 For State Contributions to Social Security for Bargaining Unit Employees........................................................34,300 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Human Rights Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,228,300 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................93,900 Section 15. The amount of $248,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Human Rights Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Human Rights Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 51 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Criminal Justice Information Authority to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................538,600 For State Contributions to Social Security for Bargaining Unit Employees........................................................41,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Criminal Justice Information Authority to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................911,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................69,700 Section 15. The amount of $626,975, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Criminal Justice Information Authority to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Criminal Justice Information Authority for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 52 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Education Labor Relations Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................781,700 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................59,800 Section 15. The amount of $210,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Education Labor Relations Board to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 53 Section 15. The amount of $35,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line

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item.

ARTICLE 54 Section 15. The amount of $289,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Procurement Policy Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Procurement Policy Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 55 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Prisoner Review Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................737,700 For State Contributions to Social Security for Bargaining Unit Employees........................................................56,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Prisoner Review Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................157,200 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................12,100 Section 15. The amount of $333,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Prisoner Review Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Prisoner Review Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 56 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Emergency Management Agency to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................988,200 For State Contributions to Social Security for Bargaining Unit Employees ...........................................................75,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Emergency Management Agency to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,135,000 For State Contributions to Social Security

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for Non-Bargaining Unit Employees................................................86,900 Section 15. The amount of $1,368,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Emergency Management Agency to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Emergency Management Agency for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 57 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Employees’ Retirement System to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees........................................................73,500 For State Contributions to Social Security for Bargaining Unit Employees..........................................................5,700 Section 15. The amount of $51,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Employees’ Retirement System to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Employees’ Retirement System for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 58 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Labor Relations Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,187,700 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................90,900 Section 15. The amount of $265,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Labor Relations Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Labor Relations Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 59 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Police Merit Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................409,900 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................31,400

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Section 15. The amount of $152,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Police Merit Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Police Merit Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 60 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Board of Education to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................12,293,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................940,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Board of Education to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,795,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................366,800 Section 15. The amount of $8,154,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Board of Education to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Board of Education for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 61 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Board of Higher Education to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................13,803,500 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................207,800 Section 15. The amount of $6,831,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Board of Higher Education to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 62 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Community College Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

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OPERATIONS For Personal Services for Bargaining Unit Employees......................................................447,500 For State Contributions to Social Security for Bargaining Unit Employees..........................................................6,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Community College Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................776,700 For State Contributions to Social Security for Non-Bargaining Unit Employees .............................................9,800 Section 15. The amount of $903,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Community College Board to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 63 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Universities Civil Service System to meet its ordinary and contingent expenses for the Fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................932,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................13,500 Section 15. The amount of $327,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Universities Civil Service System to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 999 Section 999. Effective date. This Act takes effect July 1, 2009.”.

Representative Joyce offered the following amendment and moved its adoption:

AMENDMENT NO. 2. Amend House Bill 2145, AS AMENDED, by replacing everything after the enacting clause with the following:

“ARTICLE 1 Section 5. “Operational expenses” defined. For the purposes of this amendatory Act of the 96th General Assembly, the term “operational expenses” includes the following items: (a) Personal services; (b) State contributions to Social Security; (c) Group Insurance; (d) Contractual services, except that professional and artistic services shall not be included in the definition of “operational expenses”; (e) Travel; (f) Commodities; (g) Printing; (h) Equipment;

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(i) Electronic data processing; (j) Telecommunications services; (k) Operation of automotive equipment; (l) Refunds. Section 10. “Professional and artistic services” defined. For the purposes of this amendatory Act of the 96th General Assembly, the term “professional and artistic services” means those services provided under contract to a State agency by a person or business, acting as an independent contractor, qualified by education, experience, and technical ability.

ARTICLE 2 Section 5. The amount of $13,091,050, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for furnishing the items provided in Section 4 of the General Assembly Compensation Act to members of their respective houses throughout the year in connection with their legislative duties and responsibilities and not in connection with any political campaign as prescribed by law. Of this amount, 37.436% is appropriated to the President of the Senate for such expenditures and 62.564% is appropriated to the Speaker of the House for such expenditures. Section 10. Payments from the amounts appropriated in Section 5 hereof shall be made only upon the delivery of a voucher approved by the member to the State Comptroller. The voucher shall also be approved by the President of the Senate or the Speaker of the House of Representatives as the case may be. Section 15. The amount of $20,603,400 or so much thereof as may be necessary, respectively, is appropriated to meet the ordinary and incidental expenses of the Senate legislative leadership and legislative staff assistants and the House Majority and Minority leadership staff, general staff and office operations. Of this amount, 25.7% is appropriated to the President of the Senate for such expenditures, 25.7% is appropriated to the Senate Minority Leader for such expenditures and 24.8% is appropriated to the Speaker of the House for such expenditures, and 23.8% is appropriated to the House Minority Leader for such expenditures. Section 20. The amount of $9,382,100, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for the ordinary and incidental expenses of committees, the general staff and operations, per diem employees, special and standing committees, expenses incurred in transcribing and printing of debates. Of this amount, 43.018% is appropriated to the President of the Senate for such expenditures and 56.982% is appropriated to the Speaker of the House for such expenditures. Section 25. The amount of $309,200, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for the ordinary and incidental expenses, also including the purchasing on contract as required by law of printing, binding, printing paper, stationery and office supplies. For the House, no part of which shall be expended for expenses of purchasing, handling or distributing such supplies and against which no indebtedness shall be incurred without the written approval of the Speaker of the House of Representatives. Of this amount, 69.277% is appropriated to the President of the Senate for such expenditures and 30.723% is appropriated to the Speaker of the House for such expenditures. Section 30. The amount of $4,483,050, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate for the use of standing committees for expert witnesses, technical services, consulting assistance and other research assistance associated with special studies and long range research projects which may be requested by the standing committees and the Speaker of the House of Representatives for Standing House Committees pursuant to the Legislative Commission Reorganization Act of 1984. Of this amount, 46.862% is appropriated to the President of the Senate for such expenditures and 53.138% is appropriated to the Speaker of the House for such expenditures. Section 35. The amount of $167,000, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Senate Minority Leader for allowances for the particular and additional services appertaining to or entailed by the respective officers of the Senate. Of this amount, 50% is appropriated to the President of the Senate for such expenditures and 50% is appropriated to the Senate Minority Leader for such expenditures. Section 40. The amount of $88,100, or so much thereof as may be necessary, respectively, is appropriated to the President of the Senate and the Speaker of the House of Representatives for travel,

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including expenses to Springfield of members on official legislative business during weeks when the General Assembly is not in session. Of this amount, 65.5% is appropriated to the President of the Senate for such expenditures and 34.5% is appropriated to the Speaker of the House for such expenditures. Section 45. The amount of $441,600, or so much thereof as may be necessary and remains unexpended from an appropriation heretofore made for such purposes in Article 17 of Public Act 95-0731, is appropriated to the Speaker of the House for expenses in connection with the planning and preparation of redistricting of legislative and representative districts as required by Article IV, Section 3 of the Illinois Constitution of 1970. Section 50. The amount of $341,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the General Assembly to meet ordinary and contingent expenses. Any use of funds appropriated under this Section must be approved jointly by the Clerk of the House of Representatives and the Secretary of the Senate. Section 55. As used in Section 15 hereof, except where the approval of the Speaker of the House of Representatives is expressively required for the expenditure of or the incurring of indebtedness against an appropriation for certain purchases on contract, “Speaker” means the leader of the party having the largest number of members of the House of Representatives as of January 14, 2009, and “Minority Leader” means the leader of the party having the second largest number of members of the House of Representatives as of January 14, 2009. Section 60. The sum of $312,455, or so much thereof as may be necessary, is appropriated to the Legislative Ethics Commission to meet the ordinary and contingent expenses of the Commission and the Office of Legislative Inspector General. Section 65. The sum of $113,700, or so much thereof as may be necessary, is appropriated for the ordinary and contingent expenses of the Senate Operations Commission including the planning costs, construction costs, moving expenses and all other costs associated with the construction and reconstruction of Senate offices in the Capitol Complex area.

ARTICLE 3 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Auditor General to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,999,700 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................383,500 Section 15. The amount of $1,423,800 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Auditor General to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 4 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Commission on Government Forecasting and Accountability to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................796,600 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................61,000 Section 15. The amount of $6,075,300 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Commission on Government Forecasting and Accountability to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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ARTICLE 5 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Information System to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................2,379,200 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................182,000 Section 15. The amount of $1,863,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Information System to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 6 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Audit Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................180,100 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................13,800 Section 15. The amount of $39,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Audit Commission to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 7 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Printing Unit to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,320,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................101,000 Section 15. The amount of $739,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Printing Unit to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 8 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Research Unit to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,206,050 For State Contributions to Social Security

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for Non-Bargaining Unit Employees................................................92,300 Section 15. The amount of $1,632,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Research Unit to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 9 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Legislative Reference Bureau to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,753,600 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................134,200 Section 15. The amount of $601,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Legislative Reference Bureau to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 10 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Architect of the Capitol to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................345,000 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................33,800 Section 15. The amount of $1,110,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Architect of the Capitol to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 11 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Joint Committee on Administrative Rules to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................812,200 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................62,200 Section 15. The amount of $166,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Joint Committee on Administrative Rules to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 12 Section 10. The following named amounts, or so much thereof as may be necessary, respectively,

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for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Supreme Court to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees....................................... 208,114,100 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................5,222,100 Section 15. The amount of $20,018,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Supreme Court to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 13 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Judicial Inquiry Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................318,000 For State Contributions to Social Security for Non-Bargaining Unit Employees ...........................................23,300 Section 15. The amount of $372,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Judicial Inquiry Board to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 14 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the State Appellate Defender to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................16,312,500 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................1,247,900 Section 15. The amount of $3,631,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State Appellate Defender to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 15 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the State’s Attorneys Appellate Prosecutor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,463,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................264,900 Section 10. The following named amounts, or so much thereof as may be necessary, respectively,

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for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the State’s Attorneys Appellate Prosecutor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................991,400 For State Contributions to Social Security for Non-Bargaining Unit Employees ...........................................75,800 Section 15. The amount of $1,159,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State’s Attorneys Appellate Prosecutor to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 16 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Court of Claims to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,178,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................90,200 Section 15. The amount of $201,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Court of Claims to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Court of Claims for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 17 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Governor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,783,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................365,900 Section 15. The amount of $1,606,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Governor to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Governor for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 18 Section 15. The amount of $1,354,000 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Lieutenant Governor to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Lieutenant Governor for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 19

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Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the Attorney General to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................8,829,600 For State Contributions to Social Security for Bargaining Unit Employees......................................................675,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Office of the Attorney General to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ....................................15,441,800 For State Contributions to Social Security for Non-Bargaining Unit Employees ......................................1,181,300 Section 15. The amount of $4,577,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Attorney General to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 20 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Secretary of State to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................57,111,300 For State Contributions to Social Security for Bargaining Unit Employees...................................................4,369,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Secretary of State to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................18,709,200 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................1,431,300 Section 15. The amount of $32,488,000 or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the Secretary of State to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 21 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Comptroller to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................6,078,300 For State Contributions to Social Security

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for Bargaining Unit Employees......................................................465,100 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Comptroller to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................9,016,500 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................679,600 Section 15. The amount of $14,350,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Comptroller to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 22 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay the elected State officers of the Executive Branch of the State Government, at various rates prescribed by law: For the Governor ............................................................................ 177,500 For the Lieutenant Governor ...........................................................135,700 For the Secretary of State ................................................................156,600 For the Attorney General.................................................................156,600 For the Comptroller .........................................................................135,700 For the State Treasurer ....................................................................135,700 Total.........................................................................................$897,800 Section 11. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay certain appointed officers of the Executive Branch of the State Government, at the various rates prescribed by law:

From General Revenue Fund Department on Aging

For the Director.................................................................................... 115,700 Department of Agriculture

For the Director.....................................................................................133,300 For the Assistant Director .....................................................................113,200

Department of Central Management Services For the Director.....................................................................................142,400 For 2 Assistant Directors ......................................................................242,100 Department of Children and Family Services For the Director.....................................................................................150,300

Department of Corrections For the Director.....................................................................................150,300 For the Assistant Director .....................................................................127,800

Department of Commerce and Economic Opportunities For the Director.....................................................................................142,400 For the Assistant Director .....................................................................121,100

Environmental Protection Agency For the Director.....................................................................................133,300

Department of Financial and Professional Regulation For the Secretary...................................................................................135,100 For the Director.....................................................................................115,400 For the Director.....................................................................................133,300 For the Director.....................................................................................124,100

Department of Human Services For the Secretary...................................................................................150,300

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For 2 Assistant Secretaries....................................................................255,500 Department of Juvenile Justice

For the Director.....................................................................................120,400 Department of Labor

For the Director.....................................................................................124,100 For the Assistant Director .....................................................................113,200 For the Chief Factory Inspector ..............................................................52,200 For the Superintendent of Safety Inspection and Education ........................................................................................57,400

Department of State Police For the Director.....................................................................................132,600 For the Assistant Director .....................................................................113,200

Department of Military Affairs For the Adjutant General ......................................................................115,700 For two Chief Assistants to the Adjutant General..................................................................................197,100

Department of Natural Resources For the Director.....................................................................................133,300 For the Assistant Director .....................................................................124,600 For six Mine Officers..............................................................................94,000 For four Miners' Examining Officers......................................................51,700

Illinois Labor Relations Board For the Chairman ..................................................................................104,400 For four State Labor Relations Board members...............................................................................................375,800 For two Local Labor Relations Board members...............................................................................................187,900

Department of Healthcare and Family Services For the Director.....................................................................................142,400 For the Assistant Director .....................................................................121,100

Department of Public Health For the Director.....................................................................................150,300 For the Assistant Director .....................................................................127,800

Department of Revenue For the Director.....................................................................................142,400 For the Assistant Director .....................................................................121,100

Property Tax Appeal Board For the Chairman ....................................................................................64,800 For four members..................................................................................208,800

Department of Veterans' Affairs For the Director.....................................................................................115,700 For the Assistant Director .......................................................................98,600

Civil Service Commission For the Chairman ....................................................................................30,500 For four members..................................................................................101,300

Commerce Commission For the Chairman ..................................................................................134,100 For four members..................................................................................468,200

Court of Claims For the Chief Judge.................................................................................65,000 For the six Judges .................................................................................359,600

State Board of Elections For the Chairman ....................................................................................58,500 For the Vice-Chairman ...........................................................................48,100 For six members....................................................................................225,500

Illinois Emergency Management Agency For the Director.....................................................................................129,000

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For the Assistant Director .....................................................................115,700 Department of Human Rights

For the Director.....................................................................................115,700 Human Rights Commission

For the Chairman ....................................................................................52,200 For twelve members..............................................................................563,600

Illinois Workers’ Compensation Commission For the Chairman ..................................................................................125,300 For nine members ..............................................................................1,078,600

Liquor Control Commission For the Chairman ....................................................................................39,000 For six members....................................................................................204,400 For the Secretary.....................................................................................37,600 For the Chairman and one member as designated by law, $200 per diem for work on a license appeal commission ..............................................55,000

Executive Ethics Commission For nine members .................................................................................338,200

Illinois Power Agency For the Director.....................................................................................103,800

Pollution Control Board For the Chairman ..................................................................................121,100 For four members..................................................................................468,200

Prisoner Review Board For the Chairman ....................................................................................95,900 For fourteen members of the Prisoner Review Board .....................................................................1,202,500

Secretary of State Merit Commission For the Chairman ....................................................................................17,300 For four members....................................................................................51,700

Educational Labor Relations Board For the Chairman ..................................................................................104,400 For four members..................................................................................375,800

State Police Merit Board For five members of the State Police Merit Board, $237 per diem, whichever is applicable in accordance with law, for a maximum of 100 days each .........................................118,400

Department of Transportation For the Secretary...................................................................................150,300 For the Assistant Secretary ...................................................................127,800

Office of Small Business Utility Advocate For the small business utility advocate ....................................................... 0 Total, General Revenue Fund .............................................$13,158,500 Section 12. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay certain officers of the Legislative Branch of the State Government, at the various rates prescribed by law:

Office of Auditor General For the Auditor General ....................................................................... 139,800 For two Deputy Auditor Generals.........................................................246,400 Total.........................................................................................$386,200

Officers and Members of General Assembly For salaries of the 118 members of the House of Representatives at a base salary of $67,836 .............................................................. 8,140,400 For salaries of the 59 members

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of the Senate at a base salary of $67,836 ..........................................4,138,100 Total....................................................................................$12,278,500 For additional amounts, as prescribed by law, for party leaders in both chambers as follows: For the Speaker of the House, the President of the Senate and Minority Leaders of both Chambers................................................110,000 For the Majority Leader of the House.....................................................23,300 For the eleven assistant majority and minority leaders in the Senate .........................................................227,200 For the twelve assistant majority and minority leaders in the House ...................................................216,900 For the majority and minority caucus chairmen in the Senate...........................................................41,300 For the majority and minority conference chairmen in the House.....................................................36,200 For the two Deputy Majority and the two Deputy Minority leaders in the House...............................................79,200 For chairmen and minority spokesmen of standing committees in the Senate except the Rules Committee, the Committee on Committees and the Committee on the Assignment of Bills ...................................................................516,400 For chairmen and minority spokesmen of standing and select committees in the House ..............................................................1,115,300 Total......................................................................................$2,365,800 For per diem allowances for the members of the Senate, as provided by law .................................................................................. 400,000 For per diem allowances for the members of the House, as provided by law ...................................................................................800,000 For mileage for all members of the General Assembly, as provided by law................................................450,000 Total......................................................................................$1,650,000 For State Contribution to Social Security: From General Revenue Fund....................................................... 1,211,200

ARTICLE 23 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Comptroller to meet its official court reporting expenses for the fiscal year ending June 30, 2010: For Personal Services for Bargaining Unit Employees.......................................................14,022,900 For State Contributions to Social Security for Bargaining Unit Employees...................................................1,072,800 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Office of the State Comptroller to meet its official court reporting expenses for the fiscal year ending June 30, 2010: For Personal Services for Non-Bargaining Unit Employees.........................................27,085,500 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................2,072,000

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ARTICLE 24 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Treasurer to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................1,657,600 For State Contributions to Social Security for Bargaining Unit Employees......................................................127,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Treasurer to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................3,423,300 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................262,000 Section 15. The amount of $2,947,800, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State Treasurer to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 25 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Board of Elections to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,023,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................307,900 Section 15. The amount of $1,888,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Board of Elections to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 26 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department on Aging to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................2,438,500 For State Contributions to Social Security for Bargaining Unit Employees......................................................186,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department on Aging to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services

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for Non-Bargaining Unit Employees...........................................2,800,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................214,200 Section 15. The amount of $2,100,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department on Aging to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department on Aging for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 27 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Agriculture to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................13,992,800 For State Contributions to Social Security for Bargaining Unit Employees......................................................106,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Agriculture to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees................................................28,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..................................................2,200 Section 15. The amount of $6,955,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Agriculture to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Agriculture for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 28 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Central Management Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,666,200 For State Contributions to Social Security for Bargaining Unit Employees......................................................280,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Central Management Services meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................5,838,300

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For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................446,900 Section 15. The amount of $46,880,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Central Management Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Central Management Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 29 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Children and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees ..........................................155,933,400 For State Contributions to Social Security for Bargaining Unit Employees ............................................11,928,900 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Children and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ....................................47,709,200 For State Contributions to Social Security for Non-Bargaining Unit Employees ......................................3,649,800 Section 15. The amount of $51,291,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Children and Family Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Children and Family Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 30 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................4,803,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................367,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services

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for Non-Bargaining Unit Employees...........................................5,569,300 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................426,100 Section 15. The amount of $8,237,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 31 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Natural Resources to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................35,301,100 For State Contributions to Social Security for Bargaining Unit Employees...................................................2,700,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Natural Resources to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ......................................2,235,100 For State Contributions to Social Security for Non-Bargaining Unit Employees .........................................171,000 Section 15. The amount of $13,922,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Natural Resources to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Natural Resources for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 32 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Juvenile Justice to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................77,440,600 For State Contributions to Social Security for Bargaining Unit Employees...................................................5,924,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Juvenile Justice to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

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OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,078,400 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................312,000 Section 15. The amount of $27,115,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Juvenile Justice to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Juvenile Justice for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 33 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Corrections to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...............................................707,242,600 For State Contributions to Social Security for Bargaining Unit Employees.................................................54,104,100 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Corrections to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................27,584,700 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................2,110,300 Section 15. The amount of $342,825,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Corrections to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Corrections for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 34 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Rights to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,355,600 For State Contributions to Social Security for Bargaining Unit Employees......................................................256,700 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Rights to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

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OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................2,812,900 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................215,200 Section 15. The amount of $408,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Rights to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Rights for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 35 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...............................................582,880,700 For State Contributions to Social Security for Bargaining Unit Employees.................................................44,590,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Human Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................82,269,700 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................6,293,600 Section 15. The amount of $212,997,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Human Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 36 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Labor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................3,535,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................270,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Labor to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

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OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................909,500 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................69,600 Section 15. The amount of $770,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Labor to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Labor for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 37 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Military Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................5,011,900 For State Contributions to Social Security for Bargaining Unit Employees......................................................383,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Military Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,649,800 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................126,200 Section 15. The amount of $7,600,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military Affairs to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military Affairs for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 38 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Healthcare and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................46,949,500 For State Contributions to Social Security for Bargaining Unit Employees...................................................3,591,600 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Healthcare and Family Services to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS

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For Personal Services for Non-Bargaining Unit Employees ....................................20,326,200 For State Contributions to Social Security for Non-Bargaining Unit Employees ......................................1,683,800 Section 15. The amount of $33,118,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Healthcare and Family Services to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Healthcare and Family Services for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 39 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Public Health to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................28,666,500 For State Contributions to Social Security for Bargaining Unit Employees...................................................2,193,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Public Health to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................10,481,900 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................801,800 Section 15. The amount of $12,252,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Public Health to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Public Health for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 40 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Revenue to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................43,142,300 For State Contributions to Social Security for Bargaining Unit Employees...................................................3,300,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Revenue to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

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OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................39,381,500 For State Contributions to Social Security for Non-Bargaining Unit Employees...........................................3,012,700 Section 15. The amount of $22,097,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Revenue to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Revenue for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 41 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Police to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...............................................131,697,100 For State Contributions to Social Security for Bargaining Unit Employees...................................................6,610,100 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Police to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................10,739,500 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................421,900 Section 15. The amount of $37,061,800, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Police to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Police for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 42 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Veterans’ Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................41,836,500 For State Contributions to Social Security for Bargaining Unit Employees...................................................3,200,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Department of Veterans’ Affairs to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS

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For Personal Services for Non-Bargaining Unit Employees...........................................4,931,400 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................377,300 Section 15. The amount of $6,692,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Veterans’ Affairs to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Veterans’ Affairs for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 43 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Arts Council to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................868,300 For State Contributions to Social Security for Bargaining Unit Employees........................................................66,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Arts Council to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................561,500 For State Contributions to Social Security for Non-Bargaining Unit Employees ...........................................43,000 Section 15. The amount of $421,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Arts Council to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Arts Council for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 44 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Governor’s Office of Management and Budget to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ......................................1,890,000 For State Contributions to Social Security for Non-Bargaining Unit Employees .........................................145,000 Section 15. The amount of $410,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Governor’s Office of Management and Budget to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Governor’s Office of Management and Budget for professional and artistic

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services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 45 Section 15. The amount of $6,931,315, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Executive Inspector General to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of Executive Inspector General for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 46 Section 15. The amount of $334,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Executive Ethics Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Executive Ethics Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 47 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Civil Service Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................260,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................20,000 Section 15. The amount of $108,250, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Civil Service Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Civil Service Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 48 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................172,100 For State Contributions to Social Security for Bargaining Unit Employees........................................................13,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................286,900 For State Contributions to Social Security

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for Non-Bargaining Unit Employees................................................21,900 Section 15. The amount of $161,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Deaf and Hard of Hearing Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 49 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees...................................................5,559,700 For State Contributions to Social Security for Bargaining Unit Employees......................................................425,300 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees ......................................1,830,300 For State Contributions to Social Security for Non-Bargaining Unit Employees .........................................140,000 Section 15. The amount of $918,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Guardianship and Advocacy Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 50 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Human Rights Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................447,700 For State Contributions to Social Security for Bargaining Unit Employees........................................................34,300 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Human Rights Commission to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS

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For Personal Services for Non-Bargaining Unit Employees...........................................1,228,300 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................93,900 Section 15. The amount of $248,200, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Human Rights Commission to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Human Rights Commission for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 51 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Criminal Justice Information Authority to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................538,600 For State Contributions to Social Security for Bargaining Unit Employees........................................................41,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Criminal Justice Information Authority to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................911,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................69,700 Section 15. The amount of $626,975, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Criminal Justice Information Authority to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Criminal Justice Information Authority for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 52 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Education Labor Relations Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................781,700 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................59,800 Section 15. The amount of $210,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Education Labor Relations Board to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

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ARTICLE 53

Section 15. The amount of $35,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 54 Section 15. The amount of $289,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Procurement Policy Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Procurement Policy Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 55 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Prisoner Review Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................737,700 For State Contributions to Social Security for Bargaining Unit Employees........................................................56,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Prisoner Review Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................157,200 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................12,100 Section 15. The amount of $333,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Prisoner Review Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Prisoner Review Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 56 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Emergency Management Agency to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................988,200 For State Contributions to Social Security for Bargaining Unit Employees ...........................................................75,600

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Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Emergency Management Agency to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,135,000 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................86,900 Section 15. The amount of $1,368,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Emergency Management Agency to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Emergency Management Agency for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 57 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Employees’ Retirement System to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees........................................................73,500 For State Contributions to Social Security for Bargaining Unit Employees..........................................................5,700 Section 15. The amount of $51,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Employees’ Retirement System to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Employees’ Retirement System for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 58 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Labor Relations Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................1,187,700 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................90,900 Section 15. The amount of $265,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Labor Relations Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Labor Relations Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 59 Section 10. The following named amounts, or so much thereof as may be necessary, respectively,

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for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Police Merit Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................409,900 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................31,400 Section 15. The amount of $152,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Police Merit Board to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Police Merit Board for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 60 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Board of Education to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees.................................................12,293,000 For State Contributions to Social Security for Bargaining Unit Employees......................................................940,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois State Board of Education to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees...........................................4,795,000 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................366,800 Section 15. The amount of $8,154,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Board of Education to meet its operational expenses for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item. Section 17. The amount of $1, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois State Board of Education for professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred in or out of this line item.

ARTICLE 61 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Board of Higher Education to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees.........................................13,803,500 For State Contributions to Social Security for Non-Bargaining Unit Employees..............................................207,800 Section 15. The amount of $6,831,100, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Board of Higher Education to meet its operational expenses and

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professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 62 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Community College Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Bargaining Unit Employees......................................................447,500 For State Contributions to Social Security for Bargaining Unit Employees..........................................................6,500 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the Illinois Community College Board to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees .........................................776,700 For State Contributions to Social Security for Non-Bargaining Unit Employees .............................................9,800 Section 15. The amount of $1,403,900, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Community College Board to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 63 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to the State Universities Civil Service System to meet its ordinary and contingent expenses for the Fiscal year ending June 30, 2010:

OPERATIONS For Personal Services for Non-Bargaining Unit Employees..............................................932,400 For State Contributions to Social Security for Non-Bargaining Unit Employees................................................13,500 Section 15. The amount of $327,300, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the State Universities Civil Service System to meet its operational expenses and professional and artistic services for the fiscal year ending June 30, 2010. No money may be transferred into or out of this line item.

ARTICLE 999 Section 999. Effective date. This Act takes effect July 1, 2009.”.

The foregoing motion prevailed and Amendment No. 2 was adopted. There being no further amendments, the foregoing Amendments numbered 1 and 2 were ordered engrossed; and the bill, as amended, was advanced to the order of Third Reading.

HOUSE BILL ON THIRD READING

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411 [May 20, 2009] The following bill and any amendments adopted thereto were reproduced. This bill has been examined, any amendments thereto engrossed and any errors corrected. Any amendments still pending upon the passage or defeat of a bill on Third Reading are automatically tabled pursuant to Rule 40(a). On motion of Representative Madigan, HOUSE BILL 2145 was taken up and read by title a third time. And the question being, “Shall this bill pass?” it was decided in the affirmative by the following vote: 104, Yeas; 8, Nays; 5, Answering Present. (ROLL CALL 15) This bill, having received the votes of a constitutional majority of the Members elected, was declared passed. Ordered that the Clerk inform the Senate and ask their concurrence.

HOUSE BILLS ON SECOND READING

HOUSE BILL 2206. Having been read by title a second time on May 19, 2009, and held on the order of Second Reading, the same was again taken up. The following amendment was offered in the Committee on Appropriations-Public Safety, adopted and reproduced.

AMENDMENT NO. 1. Amend House Bill 2206 by replacing everything after the enacting clause with the following:

“ARTICLE 1 Section 5. The amount of $500,000, or so much thereof as may be necessary, respectively, is appropriated from the General Assembly Operations Revolving Fund to the President of the Senate and the Speaker of the House of Representatives for to meet ordinary and contingent expenses. Of this amount, 50% is appropriated to the President of the Senate for such expenditures and 50% is appropriated to the Speaker of the House for such expenditures.

ARTICLE 2 Section 5. The sum of $22,339,103, or so much of that amount as may be necessary, is appropriated to the Auditor General from the Audit Expense Fund for audits, studies, and investigations.

ARTICLE 3 Section 5. The following amount, or so much of that amount as may be necessary, is appropriated from the General Assembly Computer Equipment Revolving Fund to the Legislative Information System: For Purchase, Maintenance, and Rental of General Assembly Electronic Data Processing Equipment and for other operational purposes of the General Assembly ..............................................1,600,000

ARTICLE 4 Section 5. The sum of $14,968,300, or so much thereof as may be necessary, is appropriated from the Mandatory Arbitration Fund to the Supreme Court for Mandatory Arbitration Programs. Section 10. The sum of $131,500, or so much thereof as may be necessary, is appropriated from the Foreign Language Interpreter Fund to the Supreme Court for the Foreign Language Interpreter Program. Section 15. The sum of $851,700, or so much thereof as may be necessary, is appropriated from the Lawyers' Assistance Program Fund to the Supreme Court for lawyers' assistance programs.

ARTICLE 5 Section 5. The sum of $10,000,000 or so much thereof as may be necessary, is appropriated from the Supreme Court Historic Preservation Fund to the Supreme Court Historic Preservation Commission for historic preservation purposes.

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ARTICLE 6 Section 5. The following named amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes named, are appropriated to the Office of the State Appellate Defender for expenses related to federally assisted programs to work on systemic sentencing issues appeals cases to which the agency is appointed. Payable from State Appellate Defender Federal Trust Fund ..........................................................................210,000 Section 10. The following named amount, $3,230,213, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the Office of the State Appellate Defender for expenses incurred in providing assistance to trial attorneys under item (c) (5) of Section 10 of the State Appellate Defender Act.

ARTICLE 7 Section 5. The following named amounts, or so much of those amounts as may be necessary, respectively, are appropriated to the Office of the State's Attorneys Appellate Prosecutor for the objects and purposes hereinafter named to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2010: For Personal Services: Payable from State's Attorneys Appellate Prosecutor's County Fund ..................................................................713,580 For State Contribution to the State Employees' Retirement System Pick Up: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................28,544 For State Contribution to the State Employees' Retirement System: Payable from State's Attorneys Appellate Prosecutor's County Fund ..................................................................202,493 For State Contribution to Social Security: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................54,589 For County Reimbursement to State for Group Insurance: Payable from State's Attorneys Appellate Prosecutor's County Fund ..................................................................155,400 For Contractual Services: Payable from State's Attorneys Appellate Prosecutor's County Fund ..................................................................614,700 For Contractual Services for Tax Objection Casework: Payable from State's Attorneys Appellate Prosecutor's County Fund.................................................................33,600 For Contractual Services for Rental of Real Property: Payable from State's Attorneys Appellate Prosecutor's County Fund ..................................................................135,354 For Travel: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................10,000 For Commodities: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................10,000 For Printing: Payable from State's Attorneys Appellate Prosecutor's County Fund ......................................................................4,600 For Equipment:

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Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................40,900 For Electronic Data Processing: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................31,400 For Telecommunications: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................35,100 For Operation of Automotive Equipment: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................10,000 For Law Intern Program: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................27,400 For Continuing Legal Education: Payable from Continuing Legal Education Trust Fund..........................................................................................150,000 For Legal Publications: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................13,900 For expenses for assisting County State's Attorneys for services provided under the Illinois Public Labor Relations Act: For Personal Services: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................54,075 For State Contribution to the State Employees' Retirement System Pick Up: Payable from State's Attorneys Appellate Prosecutor's County Fund ......................................................................2,163 For State Contribution to the State Employees' Retirement System: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................15,345 For Contribution to Social Security: Payable from State's Attorneys Appellate Prosecutor's County Fund ......................................................................4,137 For County Reimbursement to State for Group Insurance: Payable from State's Attorneys Appellate Prosecutor's County Fund ....................................................................15,900 For Contractual Services: Payable from State's Attorneys Appellate Prosecutor's County Fund ..................................................................270,500 For Travel: Payable from State's Attorneys Appellate Prosecutor's County Fund ......................................................................1,200 For Commodities: Payable from State's Attorneys Appellate Prosecutor's County Fund .........................................................................900 For Equipment: Payable from State's Attorneys Appellate Prosecutor's County Fund...................................................................1,500 For Operation of Automotive Equipment: Payable from State's Attorneys Appellate Prosecutor's County Fund...................................................................1,200 For expenses pursuant to

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Narcotics Profit Forfeiture Act: Payable from Narcotics Profit Forfeiture Fund .........................................0 For Expenses Pursuant to Drug Asset Forfeiture Procedure Act: Payable from Narcotics Profit Forfeiture Fund............................................................................1,350,000 For Expenses Related to federally assisted Programs to assist local State's Attorneys including violent crimes, drug related cases and cases arising under the Narcotics Profit Forfeiture Act on the request of the State's Attorney: Payable from Special Federal Grant Project Fund............................................................................2,000,000 For Local Matching Purposes: Payable from State's Attorneys Appellate Prosecutor's County Fund .............................................................................0 For Expenses Pursuant to Grant Agreements For Training Grant Programs: Payable from Continuing Legal Education Trust Fund.................................................................................150,000 For Expenses Pursuant to the Capital Crimes Litigation Act: Payable from the Capital Litigation Trust Fund.................................................................................600,000 For Appropriation to the State Treasurer for Expenses Incurred by State's Attorneys other than Cook County: Payable from the Capital Litigation Trust Fund ...................................................................................1,000,000 For Appropriation to the State’s Attorneys Appellate Prosecutor for Federal Grants...........................................2,500,000

ARTICLE 8

CLAIMS ADJUDICATION Section 5. The amount of $325,000, or so much of that amount as may be necessary, is appropriated from the Court of Claims Administration and Grant Fund to the Court of Claims for administrative expenses under the Crime Victims Compensation Act. Section 10. The following named amounts, or so much of that amount as may be necessary, are appropriated to the Court of Claims for payment of claims as follows: For claims under the Crime Victims Compensation Act: For claims other than Crime Victims: Payable from the Road Fund..............................................................................1,000,000 Payable from the DCFS Children's Services Fund ........................................................................1,500,000 Payable from the State Garage Revolving Fund ..........................................................................50,000 Payable from the Traffic and Criminal Conviction Surcharge Fund ......................................................100,000 Payable from the Vocational Rehabilitation Fund ..................................................................125,000 Total......................................................................................$2,775,000 Section 12. The following named amounts are appropriated to the Court of Claims from Road

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Fund 011, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 93-CC-3432, Western Illinois Construction, Contract, against Department of Transportation .........................................................................49,741.20 No. 04-CC-0138, Leslie Mixon, Personal Injury, against Department of Transportation .............................................................................15,000.00 No. 09-CC-0892, International Truck & Engine – Prairie International, Debt, against the Department of Transportation .............................................................................74,436.00 No. 09-CC-1056, International Truck & Engine – Prairie International, Debt, against the Department of Transportation .............................................................................74,436.00 No. 09-CC-1712, Prairie International Trucks, Inc, Debt, against the Department of Transportation .......................................................................170,189.00 No. 09-CC-1714, Prairie International Trucks, Inc, Debt, against the Department of Transportation .......................................................................167,217.00 For payments of awards for lapsed appropriation claims less than $50,000 .....................................137,892.87 Section 15. The following named amounts are appropriated to the Court of Claims from State Fund 012, Motor Fuel Tax Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................296.37 Section 20. The following named amounts are appropriated to the Court of Claims from Federal Fund 013, Alcoholism and Substance Abuse Block Grant Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-1708, Chestnut Health Systems, Inc, Debt, against the Department of Human Services ....................................................................207,442.00 For payments of awards for lapsed appropriation claims less than $50,000 .......................................31,431.62 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................14,616.60 Section 25. The following named amounts are appropriated to the Court of Claims from State Fund 015, Penny Severns Breast, Cervical, and Ovarian Cancer Research Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................3,951.53 Section 30. The following named amounts are appropriated to the Court of Claims from State Fund 018, Transportation Regulatory Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................632.00 Section 35. The following named amounts are appropriated to the Court of Claims from State Fund 022, General Professions Dedicated Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................446.35 Section 40. The following named amounts are appropriated to the Court of Claims from State Fund 024, Illinois Department of Agriculture Laboratory Services Revolving Fund, to pay claims in

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conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................140.77 Section 45. The following named amounts are appropriated to the Court of Claims from State Fund 039, State Boating Act Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................408.16 Section 50. The following named amounts are appropriated to the Court of Claims from State Fund 041, Wildlife and Fish Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................25,491.06 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................2,824.82 Section 55. The following named amounts are appropriated to the Court of Claims from State Fund 045, Agricultural Premium Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................83.64 Section 60. The following named amounts are appropriated to the Court of Claims from State Fund 047, Fire Prevention Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 ............................................591.46 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................100.40 Section 65. The following named amounts are appropriated to the Court of Claims from State Fund 050, Mental Health Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-2427, Transystems Corporation, Inc, Debt, against the Department of Human Services...........................................................................63,360.00 For payments of awards for lapsed appropriation claims less than $50,000 .......................................40,327.00 Section 70. The following named amounts are appropriated to the Court of Claims from Federal Fund 052, Title III Social Security and Employment Service Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................8,397.34 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................6,591.58 Section 75. The following named amounts are appropriated to the Court of Claims from State Fund 059, Public Utility Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................15,000.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................27.49 Section 80. The following named amounts are appropriated to the Court of Claims from State Fund 060, Alzheimer’s Disease Research Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................20,475.43 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................4,048.27 Section 85. The following named amounts are appropriated to the Court of Claims from Federal

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Fund 063, Public Health Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-0621, OSF Saint Francis Medical Center, Debt, against the Department of Public Health.........................................................................318,000.00 For payments of awards for lapsed appropriation claims less than $50,000 .......................................93,411.30 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................50,982.06 Section 90. The following named amounts are appropriated to the Court of Claims from Federal Fund 065, U.S. Environmental Protection Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,514.00 Section 95. The following named amounts are appropriated to the Court of Claims from State Fund 067, Radiation Protection Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................3,408.92 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .............................198.00 Section 100. The following named amounts are appropriated to the Court of Claims from State Fund 074, EPA Special State Projects Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................400.51 Section 105. The following named amounts are appropriated to the Court of Claims from Federal Fund 078, Solid Waste Management Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 ............................................628.75 Section 110. The following named amounts are appropriated to the Court of Claims from Federal Fund 081, Vocational Rehabilitation Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................25,783.57 Section 115. The following named amounts are appropriated to the Court of Claims from State Fund 089, Subtitle D Management Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................113.80 Section 120. The following named amounts are appropriated to the Court of Claims from State Fund 091, Clean Air Act Permit Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................384.00 Section 125. The following named amounts are appropriated to the Court of Claims from State Fund 093, Illinois State Medical Disciplinary Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,164.79 Section 130. The following named amounts are appropriated to the Court of Claims from State Fund 118, Facility Licensing Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................2,116.91 Section 135. The following named amounts are appropriated to the Court of Claims from State

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Fund 129, State Gaming Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................21,088.66 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................150.00 Section 140. The following named amounts are appropriated to the Court of Claims from State Fund 137, Plugging and Restoration Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................19,959.78 Section 145. The following named amounts are appropriated to the Court of Claims from State Fund 146, Aggregate Operations Regulatory Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................329.97 Section 150. The following named amounts are appropriated to the Court of Claims from State Fund 152, State Crime Laboratory Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................851.05 Section 155. The following named amounts are appropriated to the Court of Claims from State Fund 163, Weights and Measures Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-1710, Prairie International Trucks, Inc, Debt, against the Department of Agriculture ..............................................................................96,129.00 No. 09-CC-1711, Prairie International Trucks, Inc, Debt, against the Department of Agriculture ..............................................................................95,129.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................25,537.00 Section 160. The following named amounts are appropriated to the Court of Claims from State Fund 175, Illinois School Asbestos Abatement Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................10,000.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................2,500.00 Section 165. The following named amounts are appropriated to the Court of Claims from State Fund 208, Ticket for the Cure Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................19,226.48 Section 170. The following named amounts are appropriated to the Court of Claims from State Fund 215, Capital Development Board Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................3,026.40 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................3,893.43 Section 175. The following named amounts are appropriated to the Court of Claims from State Fund 218, Professional Indirect Cost Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................10,028.00 Reimburse the General Revenue Fund for

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payments of awards pursuant to P.A. 92-357 ................................2,793.33 Section 180. The following named amounts are appropriated to the Court of Claims from State Fund 220, DCFS Children’s Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-2390, Hartgrove Hospital, Debt, against the Department of Children and Family Services .........................................................................231,600.00 Section 185. The following named amounts are appropriated to the Court of Claims from State Fund 224, Asbestos Abatement Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................360.00 Section 190. The following named amounts are appropriated to the Court of Claims from State Fund 238, Illinois Health Facilities Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................41,190.90 Section 195. The following named amounts are appropriated to the Court of Claims from State Fund 258, Nursing Dedicated and Professional Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,776.65 Section 200. The following named amounts are appropriated to the Court of Claims from State Fund 270, Water Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................12,956.90 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................171.02 Section 205. The following named amounts are appropriated to the Court of Claims from State Fund 272, LaSalle Veterans Home Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................2,302.79 Section 210. The following named amounts are appropriated to the Court of Claims from State Fund 285, Long Term Care Monitor Receiver Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................551.24 Section 215. The following named amounts are appropriated to the Court of Claims from State Fund 288, Community Water Supply Laboratory Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................109.50 Section 220. The following named amounts are appropriated to the Court of Claims from State Fund 290, Fertilizer Control Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................3,702.79 Section 225. The following named amounts are appropriated to the Court of Claims from State Fund 297, Guardianship and Advocacy Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................305.72 Section 230. The following named amounts are appropriated to the Court of Claims from State Fund 301, Working Capital Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

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Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................17,489.46 Section 235. The following named amounts are appropriated to the Court of Claims from State Fund 304, Statistical Services Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................10,940.65 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,809.96 Section 240. The following named amounts are appropriated to the Court of Claims from State Fund 312, Communications Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .....................................137,592.62 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .................................3290.04 Section 245. The following named amounts are appropriated to the Court of Claims from State Fund 314, Facilities Management Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-2104, Saxony Bradley, LLC, Debt, against the Department of Central Management Services................................................................220,500.00 For payments of awards for lapsed appropriation claims less than $50,000 .....................................213,086.78 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ............................127,786.81 Section 250. The following named amounts are appropriated to the Court of Claims from State Fund 317, Professional Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................1,662.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................3,099.52 Section 255. The following named amounts are appropriated to the Court of Claims from Federal Fund 333, Federal Support Agreement Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................1,519.39 Section 260. The following named amounts are appropriated to the Court of Claims from State Fund 344, Care Provider Fund for Persons With a Developmental Disability, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................767.19 Section 265. The following named amounts are appropriated to the Court of Claims from State Fund 360, Lead Poisoning Screening, Prevention and Abatement Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 ............................................145.09 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................9,795.00 Section 270. The following named amounts are appropriated to the Court of Claims from State Fund 362, Securities Audit and Enforcement Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................2,573.40 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................8,085.46

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Section 275. The following named amounts are appropriated to the Court of Claims from State Fund 363, Department of Business Services Special Operations Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................60.00 Section 280. The following named amounts are appropriated to the Court of Claims from State Fund 370, Tanning Facility Permit Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................2,450.00 Section 285. The following named amounts are appropriated to the Court of Claims from State Fund 372, Plumbing Licensure and Program Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................160.00 Section 290. The following named amounts are appropriated to the Court of Claims from State Fund 373, State Treasurer’s Bank Services Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................16,109.37 Section 295. The following named amounts are appropriated to the Court of Claims from Federal Fund 396, Senior Health Insurance Program Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................636.12 Section 300. The following named amounts are appropriated to the Court of Claims from State Fund 398, EMS Assistant Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,200.00 Section 305. The following named amounts are appropriated to the Court of Claims from Federal Fund 408, DHS Special Purpose Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................10.00 Section 310. The following named amounts are appropriated to the Court of Claims from State Fund 416, Armory Rental Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................21,533.42 Section 315. The following named amounts are appropriated to the Court of Claims from the State Fund 421, Public Aid Recoveries Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 08-CC-2702, Public Consulting Group, Inc, Debt, against the Department of Healthcare and Family Services ................................................120,052.88 For payments of awards for lapsed appropriation claims less than $50,000 .........................................6,650.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................667.34 Section 320. The following named amounts are appropriated to the Court of Claims from State Fund 438, Illinois State Fair Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,259.00 Section 325. The following named amounts are appropriated to the Court of Claims from Federal Fund 447, GI Education Fund, to pay claims in conformity with awards and recommendations made by

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the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................30.00 Section 330. The following named amounts are appropriated to the Court of Claims from Federal Fund 488, Criminal Justice Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................40,436.67 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................13,989.50 Section 335. The following named amounts are appropriated to the Court of Claims from Federal Fund 495, Old Age Survivors Insurance Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................1,010.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................335.35 Section 340. The following named amounts are appropriated to the Court of Claims from State Fund 502, Early Intervention Services Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................14,814.79 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................6,903.09 Section 345. The following named amounts are appropriated to the Court of Claims from State Fund 514, State Asset Forfeiture Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,076.51 Section 350. The following named amounts are appropriated to the Court of Claims from State Fund 523, Department of Corrections Reimbursement and Education Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................12,500.00 Section 355. The following named amounts are appropriated to the Court of Claims from State Fund 524, Health Facility Plan Review Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................8,103.36 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................4,686.37 Section 360. The following named amounts are appropriated to the Court of Claims from State Fund 526, Emergency Management Preparedness Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................2,899.40 Section 365. The following named amounts are appropriated to the Court of Claims from State Fund 527, Sex Offender Management Board Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,200.00 Section 370. The following named amounts are appropriated to the Court of Claims from State Fund 537, State Offender DNA Identification System Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................5,970.00 Section 375. The following named amounts are appropriated to the Court of Claims from State

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Fund 538, Illinois Historic Sites Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................741.98 Section 380. The following named amounts are appropriated to the Court of Claims from State Fund 550, Supplemental Low Income Energy Assistance Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................27,662.14 Section 385. The following named amounts are appropriated to the Court of Claims from Federal Fund 561, SBE Federal Department of Education Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................3,378.18 Section 390. The following named amounts are appropriated to the Court of Claims from Federal Fund 566, DCFS Federal Projects Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................5,370.57 Section 395. The following named amounts are appropriated to the Court of Claims from State Fund 568, School Infrastructure Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................68.40 Section 400. The following named amounts are appropriated to the Court of Claims from State Fund 582, DCFS Special Purpose Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................8,396.37 Section 405. The following named amounts are appropriated to the Court of Claims from Federal Fund 592, DHS Federal Projects Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................900.00 Section 410. The following named amounts are appropriated to the Court of Claims from State Fund 600, Whistleblower Reward and Protection Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................188.80 Section 415. The following named amounts are appropriated to the Court of Claims from State Fund 614, Capital Litigation Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................15,798.19 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................16,866.46 Section 420. The following named amounts are appropriated to the Court of Claims from Federal Fund 622, Motor Vehicle License Plate Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................4,753.61 Section 425. The following named amounts are appropriated to the Court of Claims from State Fund 632, Horse Racing Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................30.00 Section 430. The following named amounts are appropriated to the Court of Claims from Federal

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Fund 664, Student Loan Operation Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................11,300.73 Section 435. The following named amounts are appropriated to the Court of Claims from State Fund 690, DHS Private Resource Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 ............................................564.00 Section 440. The following named amounts are appropriated to the Court of Claims from State Fund 705, State Police Whistleblower Reward and Protection Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................11,690.77 Section 445. The following named amounts are appropriated to the Court of Claims from State Fund 711, State Lottery Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 08-CC-2315, Neal, Gerber & Eisenberg, LLP, Debt, against the Department of Revenue.................................................................................256,010.52 For payments of awards for lapsed appropriation claims less than $50,000 .........................................3,059.00 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................62.16 Section 450. The following named amounts are appropriated to the Court of Claims from Federal Fund 726, Federal Industrial Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................6,400.00 Section 455. The following named amounts are appropriated to the Court of Claims from State Fund 731, Illinois Clean Water Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................38.99 Section 460. The following named amounts are appropriated to the Court of Claims from State Fund 732, Secretary of State DUI Administration Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................825.00 Section 465. The following named amounts are appropriated to the Court of Claims from Federal Fund 733, Tobacco Settlement Recovery Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 08-CC-0015, City of Chicago, Debt, against the Department of Public Health ...................................220,248.53 For payments of awards for lapsed appropriation claims less than $50,000 .......................................11,468.12 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................12,079.62 Section 470. The following named amounts are appropriated to the Court of Claims from State Fund 757, Child Support Administrative Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 08-CC-1776, Clerk of the Circuit Court of Cook County, Debt, against the Department of Healthcare and Family Services .....................................................................................738,057.13 For payments of awards for lapsed appropriation claims less than $50,000 .......................................29,943.33

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Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................9,171.46 Section 475. The following named amounts are appropriated to the Court of Claims from State Fund 763, Tourism Promotion Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .....................................102,300.78 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................16,411.50 Section 480. The following named amounts are appropriated to the Court of Claims from State Fund 764, Pet Population Control Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................970.00 Section 485. The following named amounts are appropriated to the Court of Claims from Federal Fund 765, Federal Surface Mining Control and Reclamation Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................431.50 Section 490. The following named amounts are appropriated to the Court of Claims from State Fund 768, IMSA Income Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................56.00 Section 495. The following named amounts are appropriated to the Court of Claims from State Fund 775, Veterans Affairs Library Grant Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,378.03 Section 500. The following named amounts are appropriated to the Court of Claims from State Fund 776, Presidential Library and Museum Operating Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................4,176.25 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................874.74 Section 505. The following named amounts are appropriated to the Court of Claims from State Fund 795, Bank and Trust Company Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................2,107.39 Section 510. The following named amounts are appropriated to the Court of Claims from State Fund 796, Nuclear Safety Emergency Preparedness Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................163.24 Section 515. The following named amounts are appropriated to the Court of Claims from State Fund 821, Dram Shop Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................4,579.00 Section 520. The following named amounts are appropriated to the Court of Claims from State Fund 823, Illinois State Dental Disciplinary Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................816.73 Section 525. The following named amounts are appropriated to the Court of Claims from State

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Fund 828, Hazardous Waste Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 98-CC-4908, 99-CC-2612, 99-CC-2613, Kimmons Thermal Corp, Contract, against the Environmental Protection Agency.......................................297,606.97 Section 530. The following named amounts are appropriated to the Court of Claims from State Fund 850, Real Estate License Administration Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,275.00 Section 535. The following named amounts are appropriated to the Court of Claims from Federal Fund 870, Low Income Home Energy Assistance Block Grant Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................30,262.08 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................11,088.75 Section 540. The following named amounts are appropriated to the Court of Claims from Federal Fund 872, Maternal and Child Health Services Block Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: No. 09-CC-0578, St. Francis Medical Center, Debt, against the Department of Public Health .............................................................................112,033.00 No. 09-CC-2008, Board of Trustees of the University of Illinois, Office of Research Services, Debt, against the Department of Public Health .....................................................149,480.79 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................3,075.30 Section 545. The following named amounts are appropriated to the Court of Claims from Federal Fund 883, Intra-Agency Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................5,366.94 Section 550. The following named amounts are appropriated to the Court of Claims from State Fund 896, Public Health Special State Projects Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................767.33 Section 555. The following named amounts are appropriated to the Court of Claims from State Fund 903, State Surplus Property Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................115.00 Section 560. The following named amounts are appropriated to the Court of Claims from State Fund 905, Illinois Forestry Development Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................10,213.50 Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,730.93 Section 565. The following named amounts are appropriated to the Court of Claims from State Fund 906, State Police Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................13,871.20 Section 570. The following named amounts are appropriated to the Court of Claims from State

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Fund 911, Juvenile Justice Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..................................421.11 Section 575. The following named amounts are appropriated to the Court of Claims from State Fund 922, Insurance Producer Administration Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ................................1,710.00 Section 580. The following named amounts are appropriated to the Court of Claims from State Fund 925, Coal Technology Development Assistance Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .........................................2,043.47 Section 585. The following named amounts are appropriated to the Court of Claims from State Fund 957, Child Support Enforcement Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ..............................23,400.00 Section 590. The following named amounts are appropriated to the Court of Claims from State Fund 962, Park and Conservation Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................732.96 Section 595. The following named amounts are appropriated to the Court of Claims from State Fund 963, Vehicle Inspection Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 .....................................65.00 Section 600. The following named amounts are appropriated to the Court of Claims from State Fund 980, Manteno Veterans Home Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: Reimburse the General Revenue Fund for payments of awards pursuant to P.A. 92-357 ...................................607.20 Section 605. The following named amounts are appropriated to the Court of Claims from Federal Fund 991, Abandoned Mined Lands Reclamation Council Federal Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows: For payments of awards for lapsed appropriation claims less than $50,000 .......................................18,692.00

ARTICLE 9 Section 5. The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Governor's Grant Fund to the Office of the Governor to be expended in accordance with the terms and conditions upon which such funds were received and in the exercise of the powers or performance of the duties of the Office of the Governor.

ARTICLE 10 Section 5. The sum of $1,300,000, or so much thereof as is available for use by the Attorney General, is appropriated to the Attorney General from the Illinois Gaming Law Enforcement Fund for State law enforcement purposes. Section 10. The following named sums, or so much thereof as may be necessary, respectively, are appropriated from the Asbestos Abatement Fund to the Attorney General to meet the ordinary and contingent expenses of the Environmental Enforcement-Asbestos Litigation Division:

ENVIRONMENTAL ENFORCEMENT- ASBESTOS LITIGATION DIVISION

For Personal Services ...................................................................1,443,000

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For State Contribution to State Employees' Retirement System ......................................................409,500 For State Contribution to Social Security........................................109,300 For Group Insurance........................................................................349,800 For Contractual Services .................................................................500,000 For Travel ..........................................................................................45,000 For Operational Expenses..................................................................60,000 Total......................................................................................$2,916,600 Section 15. The amount of $7,750,000, or so much thereof as may be necessary, is appropriated from the Attorney General Court Ordered and Voluntary Compliance Payment Projects Fund to the Office of the Attorney General for use, subject to pertinent court order or agreement, in the performance of any function pertaining to the exercise of the duties of the Attorney General, including State law enforcement and public education. Section 20. The amount of $1,600,000, or so much thereof as may be necessary, is appropriated from the Illinois Charity Bureau Fund to the Office of the Attorney General to enforce the provisions of the Solicitation for Charity Act and to gather and disseminate information about charitable trustees and organizations to the public. Section 25. The amount of $9,700,000, or so much thereof as may be necessary, is appropriated from the Attorney General Whistleblower Reward and Protection Fund to the Office of the Attorney General for ordinary and contingent expenses, including State law enforcement purposes. Section 30. The amount of $900,000, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the Attorney General for financial support under the Capital Crimes Litigation Act. Section 35. The amount of $1,050,000, or so much thereof as may be necessary, is appropriated from the Tobacco Settlement Recovery Fund to the Attorney General for the funding of a unit responsible for oversight, enforcement, and implementation of the Master Settlement Agreement entered in the case of People of the State of Illinois v. Philip Morris, et al. (Circuit Court of Cook County, No. 96L13146), for enforcement of the Tobacco Product Manufacturers' Escrow Act, and for handling remaining tobacco-related litigation. Section 40. The amount of $4,350,000, or so much thereof as may be necessary, is appropriated from the Attorney General's State Projects and Court Ordered Distribution Fund to the Attorney General for payment of interagency agreements, for court-ordered distributions to third parties, and, subject to pertinent court order, for performance of any function pertaining to the exercise of the duties of the Attorney General, including State law enforcement and public education. Section 45. The amount of $5,000, or so much thereof as may be necessary, is appropriated from the Attorney General's Grant Fund to the Office of the Attorney General to be expended in accordance with the terms and conditions upon which those funds were received. Section 50. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes named in this Section, are appropriated to the Attorney General to meet the ordinary and contingent expenses of the Attorney General:

OPERATIONS Payable from the Violent Crime Victims Assistance Fund: For Personal Services ...................................................................1,029,300 For State Contribution to State Employees' Retirement System .........................................................................292,100 For State Contribution to Social Security..........................................78,000 For Group Insurance........................................................................318,000 For Operational Expenses, Crime Victims Services Division ...................................................150,000 For Operational Expenses, Automated Victim Notification System .........................................800,000 For Awards and Grants under the Violent Crime Victims Assistance Act.....................................................8,000,000 Total....................................................................................$10,667,400 Section 55. The amount of $320,000, or so much thereof as may be necessary, is appropriated

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from the Child Support Administrative Fund to the Office of the Attorney General for child support enforcement purposes. Section 60. The amount of $2,750,000, or so much thereof as may be necessary, is appropriated from the Attorney General Federal Grant Fund to the Office of the Attorney General for funding for federal grants. Section 65. The amount of $500,000, or so much thereof as may be necessary, is appropriated from the Sex Offender Management Board Fund to the Sex Offender Management Board for the purposes authorized by the Sex Offender Management Board Act including, but not limited to, sex offender evaluation, treatment, and monitoring programs and grants. Funding received from private sources is to be expended in accordance with the terms and conditions placed upon the funding. Section 70. The amount of $50,000, or so much thereof as may be necessary, is appropriated from the Statewide Grand Jury Prosecution Fund to the Office of the Attorney General for expenses incurred in criminal prosecutions arising under the Statewide Grand Jury Act.

Section 75. The sum of $400,000, or so much thereof as may be necessary, is appropriated to the Office of the Attorney General from the Married Families Domestic Violence Fund pursuant to Public Act 95-711 for grants to public or private nonprofit agencies for the purposes of facilitating or providing free domestic violence legal advocacy, assistance, or services to married or formerly married victims of domestic violence related to order of protection proceedings, or other proceedings for civil remedies for domestic violence.

ARTICLE 11 Section 5. The following named amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Office of the Secretary of State to meet the ordinary, contingent, and distributive expenses of the following organizational units of the Office of the Secretary of State:

EXECUTIVE GROUP For Personal Services: For Regular Positions: Payable from Securities Audit and Enforcement Fund.........................................................................0 For Employee Contribution to State Employees' Retirement System: Payable from Road Fund .......................................................1,680,600 Payable from Securities Audit and Enforcement Fund ........................................................................0 Payable from Vehicle Inspection Fund ...................................................................................0 For State Contribution to State Employees' Retirement System: Payable from Securities Audit and Enforcement Fund.........................................................................0 For State Contribution to Social Security: Payable from Securities Audit and Enforcement Fund.........................................................................0 For Group Insurance: Payable from Securities Audit and Enforcement Fund.........................................................................0

GENERAL ADMINISTRATIVE GROUP For Personal Services: For Regular Positions: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund .................................310,800 Payable from Registered Limited Liability Partnership Fund ..........................................................83,500 Payable from Securities Audit and Enforcement Fund...........................................................6,985,300

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Payable from Department of Business Services Special Operations Fund........................................................2,843,100 For Extra Help: Payable from Road Fund ......................................................................0 Payable from Securities Audit and Enforcement Fund................................................................13,200 Payable from Department of Business Services Special Operations Fund...........................................................148,400 For Employee Contribution to State Employees' Retirement System: Payable from Lobbyist Registration Fund ............................................6,200 Payable from Registered Limited Liability Partnership Fund ...................................................................1,700 Payable from Securities Audit and Enforcement Fund..............................................................143,900 Payable from Department of Business Services Special Operations Fund.............................................................59,000 For State Contribution to State Employees' Retirement System: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund ...................................88,200 Payable from Registered Limited Liability Partnership Fund ..........................................................23,700 Payable from Securities Audit and Enforcement Fund...........................................................1,986,000 Payable from Department of Business Services Special Operations Fund...........................................................848,900 For State Contribution to Social Security: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund ...................................26,400 Payable from Registered Limited Liability Partnership Fund ............................................................6,200 Payable from Securities Audit and Enforcement Fund..............................................................503,400 Payable from Department of Business Services Special Operations Fund...........................................................224,000 For Group Insurance: Payable from Lobbyist Registration Fund ...................................69,000 Payable from Registered Limited Liability Partnership Fund ..........................................................24,800 Payable from Securities Audit and Enforcement Fund...........................................................1,564,800 Payable from Department of Business Services Special Operations Fund ............................................775,500 For Contractual Services: Payable from Road Fund ...........................................................900,000 Payable from Motor Fuel Tax Fund........................................1,300,000 Payable from Lobbyist Registration Fund ...................................85,200 Payable from Registered Limited Liability Partnership Fund ...............................................................600 Payable from Securities Audit and Enforcement Fund...........................................................1,745,000 Payable from Department of Business Services Special Operations Fund........................................................1,499,200 For Travel Expenses: Payable from Road Fund ......................................................................0

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Payable from Lobbyist Registration Fund .....................................4,300 Payable from Securities Audit and Enforcement Fund................................................................28,200 Payable from Department of Business Services Special Operations Fund...............................................................7,600 For Commodities: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund ............................................1,700 Payable from Registered Limited Liability Partnership Fund ...............................................................900 Payable from Securities Audit and Enforcement Fund................................................................14,200 Payable from Department of Business Services Special Operations Fund.............................................................26,000 For Printing: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund ...................................38,200 Payable from Securities Audit and Enforcement Fund..................................................................7,500 Payable from Department of Business Services Special Operations Fund..............................................................42,000 For Equipment: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund ............................................0 Payable from Registered Limited Liability Partnership Fund ...................................................................0 Payable from Securities Audit and Enforcement Fund..............................................................175,000 Payable from Department of Business Services Special Operations Fund...............................................................5,000 For Electronic Data Processing: Payable from Road Fund ......................................................................0 Payable from the Secretary of State Special Services Fund ...................................................................9,000,000 For Telecommunications: Payable from Road Fund ......................................................................0 Payable from Lobbyist Registration Fund ...................................14,300 Payable from Registered Limited Liability Partnership Fund ...............................................................600 Payable from Securities Audit and Enforcement Fund................................................................83,800 Payable from Department of Business Services Special Operations Fund.............................................................73,700 For Operation of Automotive Equipment: Payable from Securities Audit and Enforcement Fund..............................................................175,000 Payable from Department of Business Services Special Operations Fund.............................................................85,000 For Refunds: Payable from Road Fund ........................................................2,000,000

MOTOR VEHICLE GROUP For Personal Services: For Regular Positions: Payable from Road Fund ......................................................78,845,600 Payable from the Secretary of State Special License Plate Fund .......................................................616,200 Payable from Motor Vehicle Review

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Board Fund ...............................................................................187,100 Payable from Vehicle Inspection Fund...................................1,370,100 For Extra Help: Payable from Road Fund ........................................................7,024,800 Payable from Vehicle Inspection Fund........................................41,200 For Employee Contribution to State Employees' Retirement System: Payable from the Secretary of State Special License Plate Fund .........................................................11,700 Payable from Motor Vehicle Review Board Fund.........................3,700 Payable from Vehicle Inspection Fund........................................28,200 For State Contribution to State Employees' Retirement System: Payable from Road Fund ......................................................24,367,500 Payable from the Secretary of State Special License Plate Fund .......................................................174,900 Payable from Motor Vehicle Review Board Fund.......................53,100 Payable from Vehicle Inspection Fund......................................400,500 For State Contribution to Social Security: Payable from Road Fund ........................................................6,360,200 Payable from the Secretary of State Special License Plate Fund .........................................................45,000 Payable from Motor Vehicle Review Board Fund .................................................................................14,200 Payable from Vehicle Inspection Fund......................................119,600 For Group Insurance: Payable from the Secretary of State Special License Plate Fund .......................................................206,400 Payable From Motor Vehicle Review Board Fund .................................................................................12,300 Payable from Vehicle Inspection Fund......................................492,200 For Contractual Services: Payable from Road Fund ........................................................8,997,000 Payable from CDLIS/AAMVAnet Trust Fund.................................................................................820,000 Payable from the Secretary of State Special License Plate Fund .......................................................700,000 Payable from Motor Vehicle Review Board Fund .................................................................................46,700 Payable from Vehicle Inspection Fund...................................1,115,500 For Travel Expenses: Payable from Road Fund .............................................................22,200 Payable from the Secretary of State Special License Plate Fund .........................................................10,000 Payable from Motor Vehicle Review Board Fund ..........................................................................................0 Payable from Vehicle Inspection Fund..........................................5,000 For Commodities: Payable from Road Fund .............................................................27,300 Payable from the Secretary of State Special License Plate Fund ....................................................2,350,800 Payable from Motor Vehicle Review Board Fund .............................................................................0 Payable from Vehicle Inspection Fund........................................20,000 For Printing: Payable from Road Fund ...........................................................120,000

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Payable from the Secretary of State Special License Plate Fund ....................................................2,500,000 Payable from Motor Vehicle Review Board Fund ...................................................................................3,000 Payable from Vehicle Inspection Fund........................................50,000 For Equipment: Payable from Road Fund ...........................................................100,000 Payable from CDLIS/AAMVAnet Trust Fund..........................243,800 Payable from the Secretary of State Special License Plate Fund .......................................................107,800 Payable from Motor Vehicle Review Board Fund ..........................................................................................0 Payable from Vehicle Inspection Fund......................................100,000 For Telecommunications: Payable from Road Fund .............................................................54,800 Payable from the Secretary of State Special License Plate Fund .......................................................300,000 Payable from Motor Vehicle Review Board Fund ...................................................................................2,000 Payable from Vehicle Inspection Fund........................................30,000 For Operation of Automotive Equipment: Payable from Road Fund ......................................................................0 Section 10. The sum of $575,000, or so much of this amount as may be necessary, is appropriated from the Capital Development Fund to the Office of the Secretary of State for new construction and alterations, and maintenance of the interiors and exteriors of the following facilities under the jurisdiction of the Secretary of State: Chicago West Facility, 5301 N. Lexington Ave., Chicago, Illinois 60644; Roger McAuliffe Facility, 5401 N. Elston Ave., Chicago, Illinois 60630; Charles Chew Jr. Facility, 9901 S. King Drive, Chicago, Illinois 60628; and Capitol Complex buildings located in Springfield Illinois. Section 15. The sum of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from an appropriation heretofore made for such purpose in Article 17, Section 15 of Public Act 95-0734, is reappropriated from the Capital Development Fund to the Office of the Secretary of State for new construction and alterations, and maintenance of the interiors and exteriors of the following facilities under the jurisdiction of the Secretary of State: Chicago West Facility, 5301 N. Lexington Ave., Chicago, Illinois 60644; Roger McAuliffe Facility, 5401 N. Elston, Chicago, Illinois 60630; Charles Crew Jr. Facility, 9901 S. King Drive, Chicago, Illinois 60628; and Capitol Complex buildings located in Springfield Illinois. Section 20. The amount of $40,000, or so much thereof as may be necessary, is appropriated from the State Parking Facility Maintenance Fund to the Secretary of State for the maintenance of parking facilities owned or operated by the Secretary of State. Section 25. The following amounts, or so much of these amounts as may be necessary, respectively, are appropriated to the Office of the Secretary of State for the following purposes: For annual equalization grants, per capita and area grants to library systems, and per capita grants to public libraries, under Section 8 of the Illinois Library System Act. This amount is in addition to any amount otherwise appropriated to the Office of the Secretary of State: From Live and Learn Fund.........................................................16,004,200 Section 30. The following amounts, or so much of these amounts as may be necessary, respectively, are appropriated to the Office of the Secretary of State for library services for the blind and physically handicapped: From Live and Learn Fund..............................................................300,000 From Accessible Electronic Information Service Fund.....................................................................................77,000

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Section 35. The following amounts, or so much of these amounts as may be necessary, respectively, are appropriated to the Office of the Secretary of State for the following purposes: For annual per capita grants to all school districts of the State for the establishment and operation of qualified school libraries or the additional support of existing qualified school libraries under Section 8.4 of the Illinois Library System Act. This amount is in addition to any amount otherwise appropriated to the Office of the Secretary of State: From Live and Learn Fund...........................................................1,145,000 Section 40. The following amount, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State for grants to library systems for library computers and new technologies to promote and improve interlibrary cooperation and resource sharing programs among Illinois libraries: From Live and Learn Fund..............................................................274,000 From Secretary of State Special Services Fund...............................226,000 Section 45. The following amounts, or so much of these amounts as may be necessary, are appropriated to the Office of the Secretary of State for annual library technology grants and for direct purchase of equipment and services that support library development and technology advancement in libraries statewide: From Live and Learn Fund..............................................................306,000 From Secretary of State Special Services Fund ..............................................................................1,600,000 Total......................................................................................$1,906,000 Section 50. The following amount, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State from the Live and Learn Fund for the purpose of making grants to libraries for construction and renovation as provided in Section 8 of the Illinois Library System Act. This amount is in addition to any amount otherwise appropriated to the Office of the Secretary of State: From Live and Learn Fund..............................................................810,800 Section 55. The following amounts, or so much of these amounts as may be necessary, respectively, are appropriated to the Office of the Secretary of State for the following purposes: For library services under the Federal Library Services and Technology Act, P.L. 104-208, as amended; and the National Foundation on the Arts and Humanities Act of 1965, P.L. 89-209. These amounts are in addition to any amounts otherwise appropriated to the Office of the Secretary of State: From Federal Library Services Fund:...........................................7,000,000 Section 60. The following amounts, or so much of these amounts as may be necessary, respectively, are appropriated to the Office of the Secretary of State for support and expansion of the Literacy Programs administered by education agencies, libraries, volunteers, or community based organizations or a coalition of any of the above: From Live and Learn Fund..............................................................500,000 From Federal Library Services Fund: From LSTA Title IA...................................................................................0 From Secretary of State Special Services Fund ..............................................................................1,300,000 Section 65. The following amount, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State from the Live and Learn Fund for the purpose of promotion of organ and tissue donations: From Live and Learn Fund...........................................................1,750,000 Section 70. The sum of $50,000, or so much of this amount as may be necessary, is appropriated from the Secretary of State Special License Plate Fund to the Office of the Secretary of State for grants to benefit Illinois Veterans Home libraries. Section 75. The amount of $50,000, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State from the Master Mason Fund to provide grants to the Illinois Masonic Foundation for the Prevention of Drug and Alcohol Abuse Among Children, Inc., a not-

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for-profit corporation, for the purpose of providing Model Student Assistance Programs in public and private schools in Illinois. Section 80. The amount of $45,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Illinois Pan Hellenic Trust Fund to provide grants for charitable purposes sponsored by African-American fraternities and sororities. Section 85. The amount of $25,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Park District Youth Program Fund to provide grants for the Illinois Association of Park Districts: After School Programming. Section 90. The amount of $100,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Illinois Route 66 Heritage Project Fund to provide grants for the development of tourism, education, preservation and promotion of Route 66. Section 95. The sum of $125,000, or so much of this amount as may be necessary, is appropriated from the Police Memorial Committee Fund to the Office of the Secretary of State for grants to the Police Memorial Committee for maintaining a memorial statue, holding an annual memorial commemoration, and giving scholarships to children to police officers killed in the line of duty. Section 100. The sum of $120,000, or so much of this amount as may be necessary, is appropriated from the Mammogram Fund to the Office of the Secretary of State for grants to the Susan G. Komen Foundation for breast cancer research, education, screening, and treatment. Section 105. The following amounts, or so much of these amounts as may be necessary, respectively, are appropriated to the Office of the Secretary of State for such purposes in Section 3-646 of the Illinois Vehicle Code (625 ILCS 5), for grants to the Regional Organ Bank of Illinois and to Mid-America Transplant Services for the purpose of promotion of organ and tissue donation awareness. These amounts are in addition to any amounts otherwise appropriated to the Office of the Secretary of State: From Organ Donor Awareness Fund...............................................200,000 Section 110. The amount of $500, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Chicago and Northeast Illinois District Council of Carpenters Fund to provide grants for charitable purposes. Section 115. The amount of $60,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the U.S. Marine Corps Scholarship Fund to provide grants for scholarships for Higher Education. Section 120. The amount of $200,000, or so much of this amount as may be necessary, is appropriated from the SOS Federal Projects Fund to the Office of the Secretary of State for the payment of any operational expenses relating to the cost incident to augmenting the Illinois Commercial Motor Vehicle safety program by assuring and verifying the identity of drivers prior to licensure, including CDL operators; for improved security for Drivers Licenses and Personal Identification Cards; and any other related program deemed appropriate by the Office of the Secretary of State. Section 125. The amount of $2,333,500, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State from the Securities Investors Education Fund for any expenses used to promote public awareness of the dangers of securities fraud. Section 130. The amount of $5,000, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State from the Secretary of State Evidence Fund for the purchase of evidence, for the employment of persons to obtain evidence, and for the payment for any goods or services related to obtaining evidence. Section 135. The amount of $225,000, or so much thereof as may be necessary, is appropriated from the Alternate Fuels Fund to the Office of Secretary of State for the cost of administering the Alternate Fuels Act. Section 140. The amount of $17,003,300, or so much of this amount as may be necessary, is appropriated from the Secretary of State Special Services Fund to the Office of the Secretary of State for office automation and technology. Section 145. The amount of $17,000,000, or so much of this amount as may be necessary, is appropriated from the Motor Vehicle License Plate Fund to the Office of the Secretary of State for the cost incident to providing new or replacement plates for motor vehicles. Section 150. The sum of $2,000,000, or so much of this amount as may be necessary, is appropriated from the Secretary of State DUI Administration Fund to the Office of Secretary of State for operation of the Department of Administrative Hearings of the Office of Secretary of State and for no other purpose.

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Section 155. The amount of $30,000, or so much thereof as may be necessary, is appropriated from the Secretary of State Police DUI Fund to the Secretary of State for the payments of goods and services that will assist in the prevention of alcohol-related criminal violence throughout the State. Section 160. The amount of $250,000 is appropriated from the Secretary of State Police Services Fund to the Secretary of State for purposes as indicated by the grantor or contractor or, in the case of money bequeathed or granted for no specific purpose, for any purpose as deemed appropriate by the Director of Police, Secretary of State in administering the responsibilities of the Secretary of State Department of Police. Section 165. The amount of $500,000, or so much of this amount as may be necessary, is appropriated from the Office of the Secretary of State Grant Fund to the Office of the Secretary of State to be expended in accordance with the terms and conditions upon which such funds were received. Section 170. The amount of $12,000, or so much of this amount as may be necessary, is appropriated to the Office of the Secretary of State from the State Library Fund to increase the collection of books, records, and holdings; to hold public forums; to purchase equipment and resource materials for the State Library; and for the upkeep, repair, and maintenance of the State Library building and grounds. Section 175. The amount of $15,000,000, or so much of that amount as may be necessary, is appropriated from the Secretary of State Identification Security and Theft Prevention Fund to the Office of Secretary of State for all costs related to implementing identification security and theft prevention measures. Section 180. The sum of $3,000,000, or so much of this amount as may be necessary, is appropriated from the Monitoring Device Driving Permit Administration Fee Fund to the Office of the Secretary of State for all Secretary of State costs associated with administering Monitoring Device Driving Permits per Public Act 95-0400. Section 185. The sum of $500,000, or so much of this amount as may be necessary, is appropriated from the Indigent BAIID Fund to the Office of the Secretary of State to reimburse ignition interlock device providers per Public Act 95-0400. Section 190. The amount of $10,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Illinois Professional Golfers Association Junior Golf Fund for grants to the Illinois Professional Golfers Association Foundation to help Association members expose Illinois youngsters to the game of golf. Section 195. The amount of $50,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Agriculture in the Classroom Fund for grants to support Agriculture in the Classroom programming for public and private schools within Illinois. Section 200. The amount of $3,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Boy Scout and Girl Scout Fund for grants to the Illinois divisions of the Boy Scouts of America and the Girl Scouts of the U.S.A. Section 205. The amount of $5,000, or so much thereof as may be necessary, is appropriated to the Secretary of State from the Support Our Troops Fund for grants to Illinois Support Our Troops, Inc for charitable assistance to the troops and their families in accordance with its Articles of Incorporation.

ARTICLE 12 Section 5. The sum of $1,200,000, or so much thereof as may be necessary, is appropriated to the State Comptroller from the Comptroller's Administrative Fund for the discharge of duties of the office. Section 10. The amount of $50,300, or so much thereof as may be necessary, is appropriated to the State Comptroller from the State Lottery Fund for expenses in connection with the State Lottery.

ARTICLE 13 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the State Comptroller to pay the elected State officers of the Executive Branch of the State Government, at various rates prescribed by law:

Office of the State Fire Marshal For the State Fire Marshal: From Fire Prevention Fund........................................................115,700

Illinois Racing Board For eleven members of the Illinois Racing Board, $300 per diem to a maximum 12,527 as prescribed

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by law: From the Horse Racing Fund...........................................................137,800

Department of Employment Security Payable from Title III Social Security and Employment Service Fund: For the Director ...............................................................................142,200 For five members of the Board of Review .........................................................................................75,000 Total.........................................................................................$217,200

Department of Financial and Professional Regulation Payable from Bank and Trust Company Fund: For the Director ...............................................................................136,300 Subtotals: Fire Prevention ................................................................................115,700 Horse Racing ...................................................................................137,800 Bank and Trust Company Fund.......................................................136,300 Title III Social Security and Employment Service Fund.................................................................217,200 Total.........................................................................................$607,000 For State Contribution to Social Security: From Horse Racing Fund .................................................................10,600 From Fire Prevention Fund ................................................................8,100 From Bank and Trust Company Fund ................................................8,300 From Title III Social Security and Employment Service Fund ...........................................................14,200 Total...........................................................................................$41,200 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the State Comptroller in connection with the payment of salaries for officers of the Executive and Legislative Branches of State Government: For State Contribution to State Employees' Retirement System: From Horse Racing Fund ..................................................................24,600 From Fire Prevention Fund ...............................................................20,600 From Bank and Trust Company Fund ..............................................21,800 From Title III Social Security and Employment Service Fund...................................................38,700 Total.........................................................................................$105,400 For Group Insurance: From Fire Prevention Fund..........................................................15,900 From Bank and Trust Company Fund .........................................15,900 From Title III Social Security and Employment Service Fund ...............................................................95,400 Total.........................................................................................$127,200

ARTICLE 14 Section 5. The following named amounts, or so much of those amounts as may be necessary,

respectively, for the objects and purposes named in this Section, are appropriated to the Office of the State Treasurer to meet the ordinary and contingent expenses of the Office of the State Treasurer: For Personal Services: From State Pensions Fund ......................................................2,562,780 For Employee Retirement Contribution (pickup): From State Pensions Fund .........................................................102,500 For State Contributions to State Employees' Retirement System: From State Pensions Fund .........................................................727,240 For State Contribution to Social Security:

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From State Pensions Fund .........................................................249,600 For Group Insurance: From State Pensions Fund .........................................................826,800 For Contractual Services: From State Pensions Fund ......................................................2,759,000 For Travel: From State Pensions Fund ...........................................................56,400 For Commodities: From State Pensions Fund ...........................................................35,900 For Printing: From State Pensions Fund ...........................................................15,000 For Equipment: From State Pensions Fund ...........................................................30,600 For Electronic Data Processing: From State Pensions Fund ......................................................1,118,400 For Telecommunications Services: From State Pensions Fund ...........................................................55,000 For Operation of Automotive Equipment: From State Pensions Fund .............................................................4,700 Total......................................................................................$8,543,920 Section 10. The amount of $8,100,000, or so much of that amount as may be necessary, is appropriated to the State Treasurer from the Bank Services Trust Fund for the purpose of making payments to financial institutions for banking services pursuant to the State Treasurer's Bank Services Trust Fund Act. Section 15. The amount of $27,000,000, or so much of that amount as may be necessary, is appropriated to the State Treasurer from the Transfer Tax Collection Distributive Fund for the purpose of making payments to counties pursuant to Section 13b of the Illinois Estate and Generation-Skipping Transfer Tax Act. Section 20. The amount of $500,000, or so much of that amount as may be necessary, is appropriated to the State Treasurer from the Matured Bond and Coupon Fund for payment of matured bonds and interest coupons pursuant to Section 6u of the State Finance Act. Section 25. The following named amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes named in this Section, are appropriated to the State Treasurer for the payment of interest on and retirement of State bonded indebtedness: For payment of principal and interest on any and all bonds issued pursuant to the Anti-Pollution Bond Act, the Transportation Bond Act, the Capital Development Bond Act of 1972, the School Construction Bond Act, the Illinois Coal and Energy Development Bond Act, and the General Obligation Bond Act: From the General Obligation Bond Retirement and Interest Fund: Principal..............................................................................631,464,800 Interest ............................................................................. 1,033,491,000 Total............................................................................... $1,664,955,800 Section 30. The amount of $450,900, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the State Treasurer for the State Treasurer's costs to administer the Capital Litigation Trust Fund in accordance with the Capital Crimes Litigation Act. Section 35. The amount of $2,941,200, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the State Treasurer for a block grant to the Cook County Treasurer for the separate account for payment of expenses of the Cook County State's Attorney in capital cases in Cook County in accordance with the Capital Crimes Litigation Act. Section 40. The amount of $2,250,000, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the State Treasurer for a block grant to the Cook County

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Treasurer for the separate account for payment of expenses of the Cook County Public Defender in capital cases in Cook County in accordance with the Capital Crimes Litigation Act. Section 45. The amount of $2,000,000, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the State Treasurer for a block grant to the Cook County Treasurer for the separate account for payment of compensation and expenses of court appointed defense counsel, other than the Cook County Public Defender, in capital cases in Cook County in accordance with the Capital Crimes Litigation Act. Section 50. The following named amount of $3,500,000, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the State Treasurer for the separate account held by the State Treasurer for payment of compensation and expenses of court appointed counsel other than Public Defenders incurred in the defense of capital cases in counties other than Cook County in accordance with the Capital Crimes Litigation Act. Section 55. The following named amount of $500,000, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the State Treasurer for the separate account held by the State Treasurer for payment of expenses of Public Defenders incurred in the defense of capital cases in counties other than Cook County in accordance with the Capital Crimes Litigation Act. Section 60. The following named amount of $5,000,000, or so much thereof as may be necessary, is appropriated from the Hospital Basic Services Preservation Fund to the State Treasurer to collateralize loans from financial institutions for capital projects as stated in the Hospital Basic Services Preservation Act.

ARTICLE 15 Section 5. The following amounts, or so much thereof as may be necessary, are reappropriated from the Help Illinois Vote Fund to the State Board of Elections for Implementation of the Help America Vote Act of 2002: For distribution to Local Election Authorities under Section 251 of the Help America Vote Act .............................................................20,700,000 For the implementation of the Statewide Voter Registration System as required by Section 1A-25 of the Illinois Election Code, including maintenance of the IDEA/VISTA program ................................................................3,500,000 For distribution to Local Election Authorities for replacement of punch-card voting systems under Section 102 of the Help America Vote Act............................................................................200,000 For administrative costs and discretionary grants to Local Election Authorities under Section 101 of the Help America Vote Act .......................................................................................5,100,000 Total....................................................................................$29,500,000 Section 10. The amount of $1,500,000, or as much of that amount as may be necessary, is appropriated to the State Board of Elections from the State Board of Elections Federal Trust Fund for data collection project activities, under the federal EAC Data Collection Grant, related to the November 2008 federal election (647-58710-4900-00-55) (spending authority only).

ARTICLE 16 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the ordinary and contingent expenses of the Department on Aging:

DIVISION OF FINANCE AND ADMINISTRATION Payable from Services for Older Americans Fund: For Personal Services ......................................................................676,200 For State Contributions to State Employees' Retirement System..........................................................191,885

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For State Contributions to Social Security ........................................51,700 For Group Insurance........................................................................196,900 For Contractual Services ...................................................................76,300 For Travel ..........................................................................................10,000 For Commodities .................................................................................6,500 For Printing........................................................................................12,800 For Equipment.....................................................................................1,100 For Telecommunications ...................................................................14,000 For Operations of Auto Equipment .....................................................2,400 Total......................................................................................$1,239,785 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the ordinary and contingent expenses of the Department on Aging:

DIVISION OF HOME AND COMMUNITY SERVICES Payable from Services for Older Americans Fund: For Personal Services ...................................................................1,088,900 For State Contributions to State Employees' Retirement System..........................................................308,997 For State Contributions to Social Security ........................................83,300 For Group Insurance........................................................................227,900 For Contractual Services ...................................................................31,000 For Travel ..........................................................................................65,000 For Printing..........................................................................................5,000 For Telecommunications .....................................................................6,000 Total......................................................................................$1,816,097

DIVISION OF COMMUNICATIONS AND OUTREACH Section 15. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the ordinary and contingent expenses of the Department on Aging:

DISTRIBUTIVE ITEMS OPERATIONS

Payable from Services for Older Americans Fund: For Expenses of Senior Meal Program..............................................40,000 For Older Americans Training ........................................................150,000 For Ombudsman Training and Conference Planning..........................................................................150,000 For Expenses of the Discretionary Government Projects........................................................................5,000,000 Payable from the Department on Aging State Projects Fund: For Expenses of Private Partnership Projects ..............................................................................................345,000 Section 20. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the ordinary and contingent expenses of the Department on Aging:

DISTRIBUTIVE ITEMS GRANTS-IN-AID

Payable from the Tobacco Settlement Recovery Fund: For Grants and Administrative Expenses of Senior Health Assistance Programs .......................................................................1,600,000 Payable from Services for Older Americans Fund: For Title III Social Services .......................................................17,000,000 For National Family Caregiver

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Support Program .............................................................................7,500,000 For Title VII Prevention of Elder Abuse, Neglect, and Exploitation ......................................................500,000 For Title VII Long Term Care Ombudsman Services for Older Americans....................................1,000,000 For Title III D Preventive Health .................................................1,000,000 For Title III Nutrition Services...................................................24,475,800 For Title V Employment Services ................................................4,500,000 For National Lunch Program........................................................1,500,000 For Adult Food Care Program.........................................................200,000 For Nutrition Services Incentive Program....................................8,500,000 The following amounts are appropriated from the Services from Older Americans Fund to the Department on Aging pursuant to the American Recovery and Reinvestment Act of 2009, in addition to any existing funding: For Federal Recovery- Title III Nutrition Services ...........................................................................5,000,000 For Federal Recovery- Title V Employment Services ........................................................................950,000 Total......................................................................................$5,950,000 Section 25. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department on Aging for the ordinary and contingent expenses of the Senior Citizens Circuit Breaker and Pharmaceutical Assistance Program: Payable from Tobacco Settlement Recovery Fund..................................................................................6,490,900

ARTICLE 17 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Agriculture:

FOR OPERATIONS ADMINISTRATIVE SERVICES

Payable from Wholesome Meat Fund: For Personal Services ......................................................................487,300 For State Contributions to State Employees' Retirement System ......................................................138,300 For State Contributions to Social Security..................................................................................37,300 For Group Insurance........................................................................117,000 For Contractual Services .................................................................110,000 For Travel ..........................................................................................10,000 For Commodities ...............................................................................11,100 For Printing..........................................................................................3,100 For Equipment...................................................................................28,000 For Telecommunications Services.....................................................20,000 Total.........................................................................................$962,100 Payable from the Illinois Rural Rehabilitation Fund: For Illinois’ part in administration of Titles I and II of the federal Bankhead-Jones Farm Tenant Act: For Operations.....................................................................................5,000 Section 10. The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Wholesome Meat Fund to the Department of Agriculture for costs and expenses related to or in support of the agency’s operations.

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Section 15. The sum of $12,160,000, or so much thereof as may be necessary, is appropriated from the Agricultural Premium Fund to the Department of Agriculture for deposit into the State Cooperative Extension Service Trust Fund. Section 20. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

COMPUTER SERVICES Payable from Agricultural Premium Fund: For Personal Services ......................................................................338,400 For State Contributions to State Employees' Retirement System ........................................................96,000 For State Contributions to Social Security..................................................................................25,900 For Contractual Services .................................................................175,000 For Equipment...................................................................................29,000 For Telecommunications Services.......................................................5,000 Total.........................................................................................$669,300 Section 25. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Agriculture:

FOR OPERATIONS AGRICULTURE REGULATION

Payable from the Agricultural Federal Projects Fund: For Expenses of Various Federal Projects ..............................................................................350,000 Total.........................................................................................$350,000 Section 30. The sum of $500,000, or so much thereof as may be necessary, is appropriated from the Fertilizer Control Fund to the Department of Agriculture for Fertilizer Research. Section 35. The sum of $1,500,000, or so much thereof as may be necessary, is appropriated from the Feed Control Fund to the Department of Agriculture for Feed Control. Section 40. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Agriculture:

MARKETING Payable from Agricultural Premium Fund: For Expenses Connected With the Promotion and Marketing of Illinois Agriculture and Agriculture Exports ..............................................................1,956,000 For Implementation of programs and activities to promote, develop and enhance the biotechnology industry in Illinois ..........................................................................100,000 For expenses related to a contractual Viticulturist and a contractual Enologist.........................................................................................142,500 Payable from Agricultural Marketing Services Fund: For administering Illinois' part under Public Law No. 733, "An Act to provide for further research into basic laws and principles relating to agriculture and to improve and facilitate the marketing and distribution of agricultural products"..................................................4,000 Payable from Agriculture Federal

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Projects Fund: For expenses of various Federal Projects ........................................750,000 Section 45. The sum of $250,000, or so much thereof as may be necessary, is appropriated from the Illinois AgriFIRST Program Fund for AgriFIRST value added economic development grants Section 50. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

ANIMAL INDUSTRIES Payable from the Illinois Department of Agriculture Laboratory Services Revolving Fund: For Expenses Authorized by the Animal Disease Laboratories Act...................................................850,000 Payable from the Illinois Animal Abuse Fund: For expenses associated with the investigation of animal abuse and neglect under the Humane Care for Animals Act........................................................................................4,000 Payable from the Agriculture Federal Projects Fund: For Expenses of Various Federal Projects ...........................................................................1,500,000 Section 55. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

MEAT AND POULTRY INSPECTION Payable from Wholesome Meat Fund: For Personal Services ...................................................................3,107,900 For State Contributions to State Employees' Retirement System ......................................................882,000 For State Contributions to Social Security................................................................................238,400 For Group Insurance........................................................................917,600 For Contractual Services .................................................................104,700 For Travel ........................................................................................255,500 For Commodities ...............................................................................25,000 For Printing..........................................................................................3,000 For Equipment.................................................................................250,000 For Telecommunications Services.....................................................70,000 For Operation of Auto Equipment...................................................175,000 Total......................................................................................$6,029,100 Payable from Agricultural Master Fund: For Expenses Relating to Inspection of Agricultural Products................................................540,000 Section 60. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

WEIGHTS AND MEASURES Payable from the Agriculture Federal Projects Fund: For Expenses of various Federal Projects ..............................................................................200,000 Total.........................................................................................$200,000 Payable from the Weights and Measures Fund: For Personal Services ...................................................................2,181,200 For State Contributions to State Employees' Retirement System ......................................................619,000

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For State Contributions to Social Security................................................................................166,600 For Group Insurance........................................................................577,200 For Contractual Services .................................................................192,500 For Travel ........................................................................................100,000 For Commodities ...............................................................................20,000 For Printing........................................................................................13,000 For Equipment.................................................................................300,000 For Telecommunications Services.....................................................32,200 For Operation of Auto Equipment...................................................356,200 For Refunds .........................................................................................5,000 Total......................................................................................$4,563,000 Payable from the Motor Fuel and Petroleum Standards Fund: For the regulation of motor fuel quality ............................................50,000 Section 65. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

ENVIRONMENTAL PROGRAMS Payable from Agriculture Pesticide Control Act Fund: For Expenses of Pesticide Enforcement Program............................900,000 Payable from Pesticide Control Fund: For Administration and Enforcement of the Pesticide Act of 1979 ........................................................4,400,000 Payable from the Agriculture Federal Projects Fund: For expenses of Various Federal Projects ....................................3,500,000 Payable from Livestock Management Facilities Fund: For Administration of the Livestock Management Facilities Act...............................................................30,000 Payable from the Used Tire Management Fund: For Mosquito Control ........................................................................40,000 Section 70. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Agriculture for:

LAND AND WATER RESOURCES Payable from the Agricultural Premium Fund: For Personal Services ......................................................................830,600 For State Contributions to State Employees’ Retirement System......................................................235,700 For State Contributions to Social Security.............................................................................................63,600 For Contractual Services .................................................................101,900 For Travel ..........................................................................................21,700 For Commodities .................................................................................4,800 For Printing..........................................................................................7,100 For Equipment...................................................................................39,900 For Telecommunications Services.....................................................19,500 For Operation of Automotive Equipment..........................................17,100 For the Ordinary and Contingent Expenses of the Natural Resources Advisory Board ..................................................................................2,000 Total......................................................................................$1,343,900 Payable from the Agriculture Federal Projects Fund: For Expenses Relating to Various Federal Projects ..............................................................................815,000

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Section 75. The sum of $4,275,000, or so much thereof as may be necessary, is appropriated to the Department of Agriculture from the Partners for Conservation Fund for the Partners for Conservation Program to implement agricultural resource enhancement programs for Illinois’ natural resources, including operational expenses, consisting of the following elements at the approximate costs set forth below: Conservation Practices Cost Sharing Program..................................................................3,700,000 Sustainable Agriculture Program.....................................................287,500 Streambank Restoration...................................................................287,500 Section 80. The sum of $1,500,000, or so much thereof as may be necessary, is appropriated from the Illinois State Fair Fund to the Department of Agriculture to promote and conduct activities at the Illinois State Fairgrounds at Springfield other than the Illinois State Fair, including administrative expenses. No expenditures from the appropriation shall be authorized until revenues from fairground uses sufficient to offset such expenditures have been collected and deposited into the Illinois State Fair Fund. Section 85. The sum of $545,000, or so much thereof as may be necessary, is appropriated from the Agricultural Premium Fund to the Department of Agriculture to conduct activities at the Illinois State Fairgrounds at DuQuoin other than the Illinois State Fair, including administrative expenses. No expenditures from the appropriation shall be authorized until revenues from fairgrounds uses sufficient to offset such expenditures have been collected and deposited into the Agricultural Premium Fund. Section 90. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

DUQUOIN STATE FAIR Payable from the Agricultural Premium Fund: For Financial Assistance for the DuQuoin State Fair.........................................................................455,200 Section 95. The following named amount, or so much thereof as may be necessary, is appropriated to the Department of Agriculture for:

ILLINOIS STATE FAIR Payable from the Illinois State Fair Fund: For Operations of the Illinois State Fair including Entertainment and the Percentage Portion of Entertainment Contracts .............................................4,300,000 Total......................................................................................$4,300,000 Section 100. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

COUNTY FAIRS AND HORSE RACING Payable from the Agricultural Premium Fund: For Personal Services ........................................................................57,000 For State Contributions to State Employees' Retirement System ........................................................16,200 For State Contributions to Social Security....................................................................................5,700 For Contractual Services ...................................................................22,000 For Travel ............................................................................................2,400 For Commodities .................................................................................1,900 For Printing..........................................................................................3,300 For Equipment...................................................................................10,500 For Telecommunications Services.......................................................4,700 For Operation of Auto Equipment.......................................................4,000 Total.........................................................................................$127,700 Payable from Illinois Standardbred Breeders Fund: For Personal Services ........................................................................60,000

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For State Contributions to State Employees' Retirement System ........................................................17,000 For State Contributions to Social Security....................................................................................7,000 For Contractual Services ...................................................................89,000 For Travel ............................................................................................2,300 For Commodities .................................................................................3,000 For Printing..........................................................................................3,000 For Operation of Auto Equipment.....................................................12,000 Total.........................................................................................$193,300 Payable from Illinois Thoroughbred Breeders Fund: For Personal Services ......................................................................268,000 For State Contributions to State Employees' Retirement System ........................................................76,100 For State Contributions to Social Security..................................................................................26,000 For Contractual Services ...................................................................79,000 For Travel ............................................................................................2,100 For Commodities .................................................................................2,300 For Printing..........................................................................................1,900 For Equipment...................................................................................11,000 For Telecommunications Services.....................................................10,000 For Operation of Auto Equipment.......................................................9,600 Total.........................................................................................$486,000 Section 105. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Agriculture for:

ADMINISTRATIVE SERVICES PROGRAMS Payable from the Illinois Rural Rehabilitation Fund: For Illinois' part in administration of Titles I and II of the federal Bankhead-Jones Farm Tenant Act: For Programs, Loans and Grants .......................................................20,000 Total...........................................................................................$20,000 Section 110. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Agriculture for:

ILLINOIS STATE FAIR PROGRAMS Payable from the Illinois State Fair Fund: For Awards to Livestock Breeders and related expenses .........................................................................95,300 For Awards and Premiums at the Illinois State Fair and related expenses .......................................................................250,000 For Awards and Premiums for Grand Circuit Horse Racing at the Illinois State Fairgrounds and related expenses .........................................................................70,000 Total.........................................................................................$415,300 Section 115. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Agriculture for:

COUNTY FAIRS AND HORSE RACING PROGRAMS Payable from the Illinois Racing Quarterhorse Breeders Fund:

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For promotion of the Illinois horse racing and breeding industry ............................................................71,200 Payable from the Illinois Standardbred Breeders Fund: For grants and other purposes.......................................................1,399,500 Payable from the Illinois Thoroughbred Breeders Fund: For grants and other purposes.......................................................1,907,500 Total......................................................................................$3,378,200 Payable from the Agricultural Premium Fund: For distribution to encourage and aid county fairs and other agricultural societies. This distribution shall be prorated and approved by the Department of Agriculture ..............................................................................2,182,300 For premiums to agricultural extension or 4-H clubs to be distributed at a uniform rate ....................................................................................961,400 For premiums to vocational agriculture fairs...............................................................................408,000 For rehabilitation of county fairgrounds.......................................2,602,000 For grants and other purposes for county fair and state fair horse racing ........................................................413,000 Total......................................................................................$6,566,700 Payable from Fair and Exposition Fund: For distribution to County Fairs and Fair and Exposition Authorities...................................................1,357,400 Total......................................................................................$1,357,400

ARTICLE 18 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named are appropriated to the Department of Central Management Services:

BUREAU OF ADMINISTRATIVE OPERATIONS PAYABLE FROM STATE GARAGE REVOLVING FUND

For Personal Services .................................................................................0 For State Contributions to State Employees' Retirement System.....................................................................0 For State Contribution to Social Security ..............................................................................................0 For Group Insurance...................................................................................0 For Contractual Services .....................................................................9,000 For Travel ...................................................................................................0 For Commodities ........................................................................................0 For Printing.................................................................................................0 For Equipment............................................................................................0 For Electronic Data Processing ....................................................1,000,000 For Telecommunications Services.......................................................7,700 Total......................................................................................$1,016,700

PAYABLE FROM STATISTICAL SERVICES REVOLVING FUND For Personal Services ......................................................................640,700 For State Contribution to State Employees' Retirement Fund .............................................................181,200 For State Contributions to Social Security ................................................................................................49,000 For Group Insurance........................................................................127,200 For Contractual Services .................................................................119,000

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For Travel ............................................................................................9,000 For Commodities .................................................................................1,000 For Printing..........................................................................................1,000 For Equipment.....................................................................................1,000 For Electronic Data Processing ..................................................................0 For Telecommunications Services.......................................................3,800 Total......................................................................................$1,132,900

PAYABLE FROM COMMUNICATIONS REVOLVING FUND For Personal Services ......................................................................649,000 For State Contributions to State Employees' Retirement System..........................................................184,200 For State Contribution to Social Security .....................................................................................49,600 For Group Insurance........................................................................127,200 For Contractual Services ...................................................................18,000 For Travel ..........................................................................................10,000 For Commodities .................................................................................4,000 For Printing.............................................................................................800 For Equipment.....................................................................................4,000 For Electronic Data Processing ....................................................3,200,000 For Telecommunications Services........................................................... 0 Total......................................................................................$4,246,800

PAYABLE FROM PROFESSIONAL SERVICES FUND For Personal Services ...................................................................7,806,000 For State Contributions to State Employees' Retirement System.......................................................2,215,200 For State Contributions to Social Security ..............................................................................................597,200 For Group Insurance.....................................................................1,717,200 For Contractual Services ..............................................................2,954,500 For Travel ........................................................................................236,400 For Commodities ...............................................................................27,600 For Printing........................................................................................69,000 For Equipment...................................................................................80,500 For Electronic Data Processing .......................................................257,000 For Telecommunications Services...................................................105,500 For Operation of Auto Equipment.......................................................4,500 For Professional Services including Administrative and Related Costs ...............................................2,580,100 Total....................................................................................$18,650,700 Section 10. In addition to any other amounts appropriated, the following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Central Management Services for costs and expenses associated with or in support of a General and Regulatory Shared Services Center: Payable from State Garage Revolving Fund.........................................717,800 Payable from Statistical Services Revolving Fund.................................................................................1,422,700 Payable from Communications Revolving Fund ...............................1,229,300 Payable from Facilities Management Revolving Fund.................................................................................1,222,800 Payable from Health Insurance Reserve Fund ......................................477,600 Total......................................................................................$5,070,200 Section 15. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Central Management Services:

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ILLINOIS INFORMATION SERVICES PAYABLE FROM COMMUNICATIONS REVOLVING FUND

For Personal Services ...................................................................4,660,200 For State Contributions to State Employees' Retirement System.......................................................1,322,500 For State Contributions to Social Security ..............................................................................................356,500 For Group Insurance.....................................................................1,240,200 For Contractual Services ..............................................................1,886,400 For Travel ..........................................................................................56,000 For Commodities ...............................................................................73,400 For Printing........................................................................................51,400 For Equipment.................................................................................259,700 For Electronic Data Processing .......................................................114,500 For Telecommunications Services..............................................................0 For Operation of Auto Equipment...................................................141,100 Total....................................................................................$10,161,900 Section 20. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the objects and purposes hereinafter named, to the Department of Central Management Services:

BUREAU OF STRATEGIC SOURCING AND PROCUREMENT PAYABLE FROM STATE GARAGE REVOLVING FUND

For Personal Services ...................................................................9,660,800 For State Contributions to State Employees' Retirement System.......................................................2,741,500 For State Contributions to Social Security ..............................................................................................739,100 For Group Insurance.....................................................................2,544,000 For Contractual Services ..............................................................2,029,200 For Travel ..........................................................................................39,200 For Commodities .............................................................................116,700 For Printing........................................................................................34,100 For Equipment..............................................................................1,063,000 For Telecommunications Services.....................................................99,600 For Operation of Auto Equipment..............................................37,860,200 For Refunds .......................................................................................10,000 Total....................................................................................$56,937,400

PAYABLE FROM STATISTICAL SERVICES REVOLVING FUND For Personal Services ...................................................................1,493,600 For State Contributions to State Employees' Retirement System..........................................................423,900 For State Contributions to Social Security ...................................................................................114,300 For Group Insurance........................................................................349,800 For Contractual Services .................................................................166,500 For Travel ..........................................................................................15,000 For Commodities ...............................................................................13,000 For Printing.............................................................................................500 For Equipment.....................................................................................2,000 For Electronic Data Processing ..................................................................0 For Telecommunications Services.....................................................18,400 Total......................................................................................$2,597,000

PAYABLE FROM COMMUNICATIONS REVOLVING FUND For Personal Services ...................................................................1,001,900 For State Contributions to State Employees' Retirement System..........................................................284,400

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For State Contributions to Social Security ................................................................................................76,600 For Group Insurance........................................................................206,700 For Contractual Services ...................................................................16,500 For Travel ..........................................................................................13,400 For Commodities ....................................................................................500 For Printing.............................................................................................100 For Equipment.....................................................................................5,000 For Electronic Data Processing ..................................................................0 For Telecommunications Services.......................................................... 0 Total......................................................................................$1,605,100

PAYABLE FROM FACILITIES MANAGEMENT REVOLVING FUND For Personal Services ......................................................................206,000 For State Contributions to State Employees' Retirement System............................................................58,500 For State Contributions to Social Security ................................................................................................15,800 For Group Insurance..........................................................................47,700 For Contractual Services .....................................................................1,000 For Travel ............................................................................................1,000 For Commodities .................................................................................1,000 For Printing.............................................................................................300 For Equipment...................................................................................11,900 For Electronic Data Processing ...........................................................8,000 For Telecommunications Services.......................................................4,000 Total.........................................................................................$355,200 Section 25. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named are appropriated to the Department of Central Management Services:

BUREAU OF BENEFITS PAYABLE FROM GROUP INSURANCE PREMIUM FUND

For expenses of Cost Containment Program ...................................288,000 For Life Insurance Coverage As Elected By Members Per The State Employees Group Insurance Act of 1971........................................................95,452,100 Total....................................................................................$95,740,100

PAYABLE FROM HEALTH INSURANCE RESERVE FUND For Expenses of Cost Containment Program...................................158,900 For provisions of Health Care Coverage As Elected by Eligible Members Per The State Employees Group Insurance Act of 1971 ..........................................................................................22,752,000 Total....................................................................................$22,910,900

PAYABLE FROM WORKERS' COMPENSATION REVOLVING FUND For administrative costs of claims services and payment of temporary total disability claims of any state agency or university employee....................................................................6,411,800 For payment of Workers’ Compensation Act claims and contractual services in connection with said claims payments ........................................121,512,200

PAYABLE FROM LOCAL GOVERNMENT HEALTH INSURANCE RESERVE FUND

For expenses related to the administration and operation of the Local Government Health Program..........................................................................................0

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Expenditures from appropriations for treatment and expense may be made after the Department of Central Management Services has certified that the injured person was employed and that the nature of the injury is compensable in accordance with the provisions of the Workers' Compensation Act or the Workers' Occupational Diseases Act, and then has determined the amount of such compensation to be paid to the injured person.

PAYABLE FROM STATE EMPLOYEES DEFERRED COMPENSATION PLAN FUND

For expenses related to the administration of the State Employees’ Deferred Compensation Plan .........................................................................1,174,800

BUREAU OF PERSONNEL Section 30. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the objects and purposes hereinafter named to meet the ordinary and contingent expenses of the Department of Central Management Services:

BUSINESS ENTERPRISE PROGRAM PAYABLE FROM MINORITY AND FEMALE

BUSINESS ENTERPRISE FUND For Expenses of the Business Enterprise Program ..............................................................................50,000 Section 35. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the objects and purposes hereinafter named, to the Department of Central Management Services:

BUREAU OF PROPERTY MANAGEMENT PAYABLE FROM STATE SURPLUS PROPERTY REVOLVING FUND

For expenses related to the administration and operation of surplus property and recycling programs .................................................................3,838,000 Section 40. The following named amounts, or so much thereof as may be necessary, is appropriated from the Facilities Management Revolving Fund to the Department of Central Management Services for expenses related to the following:

PAYABLE FROM FACILITIES MANAGEMENT REVOLVING FUND For Personal Services .................................................................20,811,500 For State Contributions to State Employees’ Retirement System...................................................5,905,700 For State Contributions to Social Security........................................................................................1,592,100 For Group Insurance.....................................................................4,642,800 For Contractual Services ..........................................................169,876,400 For Travel ..........................................................................................80,000 For Commodities .............................................................................408,600 For Printing........................................................................................14,200 For Equipment...................................................................................33,000 For Electronic Data Processing .......................................................953,700 For Telecommunications Services...................................................214,400 For Operation of Auto Equipment...................................................113,300 For Lump Sums ..........................................................................22,492,800 Total..................................................................................$227,138,500 Section 45. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the objects and purposes hereinafter named to the Department of Central Management Services:

BUREAU OF COMMUNICATION AND COMPUTER SERVICES PAYABLE FROM STATISTICAL SERVICES REVOLVING FUND

For Personal Services .................................................................46,567,700

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For State Contributions to State Employees' Retirement System.....................................................13,214,600 For State Contributions to Social Security ...........................................................................................3,562,400 For Group Insurance.....................................................................9,651,300 For Contractual Services ..............................................................2,410,700 For Travel ........................................................................................271,500 For Commodities ...............................................................................75,000 For Printing......................................................................................203,100 For Equipment.................................................................................184,500 For Electronic Data Processing ..................................................89,992,400 For Telecommunications Services................................................4,500,000 For Operation of Auto Equipment.....................................................80,000 For Refunds ..................................................................................6,300,000 Total..................................................................................$177,013,200

PAYABLE FROM COMMUNICATIONS REVOLVING FUND For Personal Services ...................................................................7,695,100 For State Contributions to State Employees' Retirement System.......................................................2,183,700 For State Contributions to Social Security ..............................................................................................588,700 For Group Insurance.....................................................................1,685,400 For Contractual Services ..............................................................3,600,000 For Travel ........................................................................................130,300 For Commodities ...............................................................................20,400 For Printing..........................................................................................5,000 For Equipment...................................................................................30,000 For Telecommunications Services............................................100,136,700 For Operation of Auto Equipment.....................................................15,000 For Refunds ..................................................................................3,293,400 For Education Technology .........................................................18,152,600 Total..................................................................................$137,536,300

ARTICLE 19 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Children and Family Services: PAYABLE FROM DCFS SPECIAL PURPOSES TRUST FUND For Expenditures of Private Funds for Child Welfare Improvements .......................................................344,000 Total.........................................................................................$344,000 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Children and Family Services:

PAYABLE FROM DCFS CHILDREN’S SERVICES FUND For Independent Living Initiative...............................................10,300,000

PAYABLE FROM C&FS FEDERAL PROJECTS FUND For Federal Child Welfare Projects ..............................................2,775,000 Section 15. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Children and Family Services:

PAYABLE FROM C&FS FEDERAL PROJECTS FUND For Federal Child Protection Projects...........................................5,292,600 Total......................................................................................$5,292,600 Section 20. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Children and Family Services:

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PAYABLE FROM DCFS CHILDREN'S SERVICES FUND For all expenditures related to the collection and distribution of Title IV-E reimbursements for counties included in the Title IV-E Juvenile Justice Program .....................................5,000,000 For Title IV-E Reimbursement Enhancement...................................................................................4,128,800 For SSI Reimbursement ...............................................................1,513,300 For AFCARS/SACWIS Information System...........................................................................................20,370,400 Total....................................................................................$31,012,500 Section 25. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Children and Family Services for payments for care of children served by the Department of Children and Family Services:

GRANTS-IN-AID REGIONAL OFFICES

PAYABLE FROM DCFS CHILDREN'S SERVICES FUND For Foster Homes and Specialized Foster Care and Prevention.........................................................123,678,500 For Cash Assistance and Housing Locator Services to Families in the Class Defined in the Norman Consent Order .................................................................................2,071,300 For Counseling and Auxiliary Services......................................12,047,200 For Institution and Group Home Care and Prevention .....................................................................................86,595,800 For Assisting in the development of Children's Advocacy Centers......................................................1,398,200 For Children's Personal and Physical Maintenance .....................................................................2,856,100 For Services Associated with the Foster Care Initiative .................................................................................1,477,100 For Purchase of Adoption and Guardianship Services ..................................................................84,563,400 For Family Preservation Services...............................................18,047,400 For Purchase of Children's Services .............................................1,314,600 For Family Centered Services Initiative .....................................16,489,700 Total..................................................................................$350,539,300 Section 30. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Children and Family Services for:

GRANTS-IN-AID BUDGET AND FINANCE

PAYABLE FROM THE CHILD ABUSE PREVENTION FUND For Child Abuse Prevention ............................................................600,000 Total.........................................................................................$600,000

CLINICAL SERVICES PAYABLE FROM THE DCFS CHILDREN’S SERVICES FUND

For Foster Care and Adoption Care Training .............................14,608,500 Total....................................................................................$14,608,500

ARTICLE 20 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

GENERAL ADMINISTRATION

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OPERATIONS Payable from the Tourism Promotion Fund: For Personal Services ...................................................................1,996,000 For State Contributions to State Employees' Retirement System..........................................................566,400 For State Contributions to Social Security ...................................................................................152,700 For Group Insurance........................................................................397,500 For Contractual Services ..............................................................1,823,100 For Travel ........................................................................................110,700 For Commodities ...............................................................................21,500 For Printing........................................................................................44,600 For Equipment...................................................................................86,600 For Electronic Data Processing .......................................................210,400 For Telecommunications Services.....................................................74,300 For Operation of Automotive Equipment..........................................12,500 Total......................................................................................$5,156,400 Payable from the Intra-Agency Services Fund: For Personal Services ...................................................................3,333,400 For State Contributions to State Employees' Retirement System..........................................................945,900 For State Contributions to Social Security ...................................................................................255,100 For Group Insurance........................................................................763,200 For Contractual Services ..............................................................3,927,500 For Travel ..........................................................................................34,900 For Commodities ...............................................................................18,400 For Printing........................................................................................21,400 For Equipment.................................................................................150,000 For Electronic Data Processing .......................................................659,900 For Telecommunications Services.....................................................60,300 For Operation of Automotive Equipment..........................................25,000 For Refunds .....................................................................................500,000 Total....................................................................................$10,127,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF TOURISM OPERATIONS

Payable from the Tourism Promotion Fund: For Personal Services ...................................................................1,172,900 For State Contributions to State Employees' Retirement System..........................................................332,800 For State Contributions to Social Security .....................................................................................89,800 For Group Insurance........................................................................254,400 For Contractual Services ..............................................................1,000,000 For Travel ..........................................................................................70,000 For Commodities ...............................................................................14,300 For Printing......................................................................................607,600 For Equipment...................................................................................19,300 For Telecommunications Services.....................................................35,000 For administrative and grant expenses associated with statewide tourism promotion and development, including prior year costs...................................5,536,500 For Advertising and Promotion of Tourism Throughout Illinois Under Subsection (2)

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of Section 4a of the Illinois Promotion Act ..................................12,578,700 For Advertising and Promotion of Illinois Tourism in International Markets ...................................................2,740,500 For Illinois State Fair Ethnic Village Expenses..................................................................................61,000 Total....................................................................................$24,313,100 Section 15. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF TOURISM Payable from the Tourism Promotion Fund: For Grants, Contracts and Administrative Expenses Associated with the Development of the Illinois Grape and Wine Industry, Including Prior Year Costs.................................................................150,000 Payable from the International Tourism Fund: For Grants, Contracts and Administrative Expenses Associated with the International Tourism Program pursuant to 20 ILCS 605/605-707, Including Prior Year Costs .......................................7,275,900 Payable from the Tourism Promotion Fund: For iBIO 2010 .................................................................................485,000 Total......................................................................................$7,910,900 Section 20. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity: Payable from the Tourism Promotion Fund: For the Tourism Matching Grant Program Pursuant to 20 ILCS 665/8-1 for Counties under 1,000,000 ...............................................................1,203,400 For the Tourism Matching Grant Program Pursuant to 20 ILCS 665/8-1 for Counties over 1,000,000 ....................................................................721,600 For the Tourism Attraction Development Grant Program Pursuant to 20 ILCS 665/8a ...................................2,064,590 For Purposes Pursuant to the Illinois Promotion Act, 20 ILCS 665/4a-1 to Match Funds from Sources in the Private Sector .................................................................................................660,000 For Grants to Regional Tourism Development Organizations...............................................................792,000 Total......................................................................................$5,441,590 The Department, with the consent in writing from the Governor, may reapportion not more than ten percent of the total appropriation of Tourism Promotion Fund, in Section 35 above, among the various purposes therein recommended. Payable from Local Tourism Fund: For grants to Convention and Tourism Bureaus-- Chicago Convention and Tourism Bureau ...................................2,438,800 Chicago Office of Tourism...........................................................2,072,280 Balance of State............................................................................9,017,564 For grants, contracts, and administrative expenses associated with the Local Tourism and Convention Bureau Program pursuant to 20 ILCS 605/605-705 including prior year costs...................................................................308,000 Total....................................................................................$13,836,644

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Section 25. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF WORKFORCE DEVELOPMENT GRANTS-IN-AID

Payable from the Federal Workforce Training Fund: For Grants, Contracts and Administrative Expenses Associated with the Workforce Investment Act and other workforce training programs, including refunds and prior year costs .....................................................................275,000,000 For Grants, Contracts and Administrative Expenses under the Provisions of the American Recovery and Reinvestment Act of 2009 .................................................................................160,000,000 Section 30. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF TECHNOLOGY AND INDUSTRIAL COMPETITIVENESS OPERATIONS

Payable from the Federal Industrial Services Fund: For Personal Services ...................................................................1,043,000 For State Contributions to State Employees' Retirement System..........................................................296,000 For State Contributions to Social Security .....................................................................................79,800 For Group Insurance........................................................................286,200 For Contractual Services .................................................................274,800 For Travel ..........................................................................................67,900 For Commodities ...............................................................................12,700 For Printing........................................................................................20,000 For Equipment.................................................................................235,000 For Telecommunications Services.....................................................30,000 For Operation of Automotive Equipment..........................................11,500 For Other Expenses of the Occupational Safety and Health Administration Program .......................................451,000 Total......................................................................................$2,630,300 Section 35. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF TECHNOLOGY AND INDUSTRIAL COMPETITIVENESS GRANTS-IN-AID

Payable from the Workforce, Technology, and Economic Development Fund: For Grants, Contracts, and Administrative Expenses Pursuant to 20 ILCS 605/ 605-420, Including Prior Year Costs ..............................................5,000,000 Payable from the Digital Divide Elimination Fund: For the Community Technology Center Grant Program, Pursuant to 30 ILCS 780, Including prior year costs................................................................5,500,000 Payable from the Federal Research and Technology Fund: For Grants, Contracts and Administrative Expenses under the provisions of the American Recovery and Reinvestment Act of 2009 ...................................................................................85,000,000

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BUREAU OF TECHNOLOGY AND INDUSTRIAL COMPETITIVENESS

REFUNDS Section 40. The sum of $50,000, or so much thereof as may be necessary, is appropriated from the Federal Industrial Services Fund to the Department of Commerce and Economic Opportunity for refunds to the federal government and other refunds. Section 45. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF BUSINESS DEVELOPMENT OPERATIONS

Payable from Economic Research and Information Fund: For Purposes Set Forth in Section 605-20 of the Civil Administrative Code of Illinois (20 ILCS 605/605-20)........................................................................230,000 Payable from the Commerce and Community Affairs Assistance Fund: For Personal Services ......................................................................777,100 For State Contributions to State Employees' Retirement System..........................................................220,500 For State Contributions to Social Security .....................................................................................59,500 For Group Insurance........................................................................190,800 For Contractual Services .................................................................236,800 For Travel ..........................................................................................76,000 For Commodities ...............................................................................14,800 For Printing........................................................................................19,100 For Equipment...................................................................................15,600 For Telecommunications Services.....................................................45,400 Total......................................................................................$1,523,300 Section 50. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF BUSINESS DEVELOPMENT GRANTS-IN-AID

Payable from the Small Business Environmental Assistance Fund: For grants and administrative expenses of the Small Business Environmental Assistance Program ...................................................425,000 Payable from the Commerce and Community Affairs Assistance Fund: For Grants to Small Business Development Centers, Including Prior Year Costs ...............................................4,000,000 For Administration and Grant Expenses Relating to Small Business Development Management and Technical Assistance, Labor Management Programs for New and Expanding Businesses, and Economic and Technological Assistance to Illinois Communities and Units of Local Government, Including Prior Year Costs.......................................................................................5,000,000 For grants, contracts and administrative expenses of the Procurement Technical Assistance Center Program, including

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prior year costs...................................................................................750,000 Total......................................................................................$9,750,000 Payable from the Corporate Headquarters Relocation Assistance Fund: For Grants Pursuant to the Corporate Headquarters Relocation Act, including prior year costs................................................................................1,500,000 Payable from the Illinois Capital Revolving Loan Fund: For the Purpose of Contracts, Grants, Loans, Investments and Administrative Expenses in Accordance with the Provisions of the Small Business Development Act pursuant to 30 ILCS 750/9 .....................................................10,500,000 Payable from the Illinois Equity Fund: For the purpose of Grants, Loans, and Investments in Accordance with the Provisions of the Small Business Development Act ............................................................................2,500,000 Payable from the Large Business Attraction Fund: For the purpose of Grants, Loans, Investments, and Administrative Expenses in Accordance with Article 10 of the Build Illinois Act .............................................................2,500,000 Payable from the Public Infrastructure Construction Loan Revolving Fund: For the Purpose of Grants, Loans, Investments, and Administrative Expenses in Accordance with Article 8 of the Build Illinois Act ...............................................................2,900,000 Section 55. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF BUSINESS DEVELOPMENT REFUNDS

Payable from Commerce and Community Affairs Assistance Fund: For Refunds to the Federal Government and other refunds .................................................................................50,000 Section 60. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Commerce and Economic Opportunity:

OFFICE OF COAL DEVELOPMENT AND MARKETING GRANTS-IN-AID

Payable from the Coal Technology Development Assistance Fund: For Grants, Contracts and Administrative Expenses Under the Provisions of the Illinois Coal Technology Development Assistance Act, Including Prior Years Costs .....................................................................................23,856,100 Section 65. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

ILLINOIS FILM OFFICE Payable from Tourism Promotion Fund: For Personal Services ......................................................................568,400

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For State Contributions to State Employees' Retirement System.............................................................................161,300 For State Contributions to Social Security .......................................43,500 For Group Insurance........................................................................127,200 For Contractual Services ...................................................................47,100 For Travel ..........................................................................................35,800 For Commodities ...............................................................................13,000 For Printing........................................................................................20,000 For Equipment.....................................................................................5,000 For Telecommunications Services.....................................................24,000 For Operation of Automotive Equipment............................................3,400 For Administrative and Grant Expenses Associated with Advertising and Promotion ................................................................133,200 Total......................................................................................$1,085,100 Section 70. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Commerce and Economic Opportunity:

OFFICE OF TRADE AND INVESTMENT OPERATIONS

Payable from the International and Promotional Fund: For Grants, Contracts, Administrative Expenses, and Refunds Pursuant to 20 ILCS 605/605-25, including prior year costs................................................................................1,200,000 Section 75. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF COMMUNITY DEVELOPMENT OPERATIONS

Payable from the Federal Moderate Rehabilitation Housing Fund: For Personal Services ......................................................................143,800 For State Contributions to State Employees' Retirement System............................................................40,800 For State Contributions to Social Security .....................................................................................11,100 For Group Insurance..........................................................................47,700 For Contractual Services ...................................................................12,400 For Travel ............................................................................................8,300 For Commodities .................................................................................1,700 For Printing.............................................................................................300 For Equipment.....................................................................................6,000 For Telecommunications Services.......................................................4,700 For Operation of Automotive Equipment...............................................500 Total.........................................................................................$252,900 Payable from the Community Services Block Grant Fund: For Personal Services ......................................................................726,800 For State Contributions to State Employees' Retirement System..........................................................206,200 For State Contributions to Social Security .....................................................................................55,700 For Group Insurance........................................................................174,900 For Contractual Services ...................................................................75,700 For Travel ..........................................................................................43,000 For Commodities .................................................................................2,800 For Printing..........................................................................................1,000

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For Equipment.....................................................................................5,000 For Telecommunications Services.....................................................11,500 For Operation of Automotive Equipment............................................1,300 Total......................................................................................$1,180,200 Payable from Community Development/Small Cities Block Grant Fund: For Personal Services ......................................................................702,000 For State Contributions to State Employees' Retirement System..........................................................199,200 For State Contributions to Social Security .....................................................................................53,800 For Group Insurance........................................................................192,400 For Contractual Services ...................................................................21,200 For Travel ..........................................................................................47,900 For Commodities .................................................................................4,600 For Printing..........................................................................................1,300 For Equipment...................................................................................13,500 For Telecommunications Services.....................................................15,000 For Operation of Automotive Equipment............................................1,100 For Administrative and Grant Expenses Relating to Training, Technical Assistance and Administration of the Community Development Assistance Programs ............................................................................................500,000 Total......................................................................................$1,632,500

ENERGY ASSISTANCE Payable from Energy Administration Fund: For Personal Services ......................................................................295,200 For State Contributions to State Employees' Retirement System............................................................83,700 For State Contributions to Social Security .....................................................................................22,600 For Group Insurance..........................................................................66,100 For Contractual Services .................................................................255,300 For Travel ..........................................................................................51,800 For Commodities ...............................................................................22,000 For Equipment...................................................................................18,700 For Telecommunications Services.......................................................6,100 For Operation of Automotive Equipment............................................1,000 For Administrative and Grant Expenses Relating to Training, Technical Assistance, and Administration of the Weatherization Programs...................................................................250,000 Total......................................................................................$1,022,300 Payable from Low Income Home Energy Assistance Block Grant Fund: For Personal Services ...................................................................1,438,900 For State Contributions to State Employees' Retirement System..........................................................408,300 For State Contributions to Social Security ...................................................................................110,100 For Group Insurance........................................................................272,600 For Contractual Services ..............................................................1,538,800 For Travel ........................................................................................165,300 For Commodities .................................................................................8,100 For Printing........................................................................................65,000 For Equipment.................................................................................145,000

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For Telecommunications Services...................................................586,000 For Operation of Automotive Equipment............................................2,900 For Expenses Related to the Development and Maintenance of the LIHEAP System........................................................................1,037,000 Total......................................................................................$5,533,000 Section 80. The following named amounts, or so much thereof as may be necessary, respectively are appropriated to the Department of Commerce and Economic Opportunity:

BUREAU OF COMMUNITY DEVELOPMENT GRANTS-IN-AID

Payable from the Agricultural Premium Fund: For the Ordinary and Contingent Expenses of the Rural Affairs Institute at Western Illinois University ................................................................160,000 Payable from the Federal Moderate Rehabilitation Housing Fund: For Housing Assistance Payments Including Reimbursement of Prior Year Costs.......................................................................................1,450,000 Payable from the Community Services Block Grant Fund: For Grants to Eligible Recipients as Defined in the Community Services Block Grant Act, including prior year costs ............................................................................75,000,000 For Grants, Contracts and Administrative Expenses under the provisions of the American Recovery and Reinvestment Act of 2009 ...................................................................................48,000,000 Payable from the Community Development Small Cities Block Grant Fund: For Grants to Local Units of Government or Other Eligible Recipients as Defined in the Community Development Act of 1974, as amended, for Illinois Cities with Populations Under 50,000, Including Reimbursements for Costs in Prior Years...................................200,000,000 For Grants, Contracts and Administrative Expenses under the provisions of the American Recovery and Reinvestment Act of 2009 ...................................................................................34,000,000

ENERGY ASSISTANCE GRANTS-IN-AID

Payable from Supplemental Low-Income Energy Assistance Fund: For Grants and Administrative Expenses Pursuant to Section 13 of the Energy Assistance Act of 1989, as Amended, Including Prior Year Costs..........................................................110,685,900 Payable from Energy Administration Fund: For Grants and Technical Assistance Services for Nonprofit Community Organizations Including Reimbursement For Costs in Prior Years................................................................26,100,000 Payable from Low Income Home Energy Assistance Block Grant Fund: For Grants to Eligible Recipients

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Under the Low Income Home Energy Assistance Act of 1981, Including Reimbursement for Costs in Prior Years ...........................................................................................302,000,000 Payable from Good Samaritan Energy Trust Fund: For Grants, Contracts and Administrative Expenses Pursuant to the Good Samaritan Energy Plan Act .............................................................2,150,000 Payable from Energy Administration Fund: For Grants and Technical Assistance Services for Nonprofit Community Organizations and other Operating and Administrative Costs under the Provisions of the American Recovery And Reinvestment Act of 2009...................................................250,000,000 Section 85. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

COMMUNITY DEVELOPMENT REFUNDS

For refunds to the Federal Government and other refunds: Payable from Federal Moderate Rehabilitation Housing Fund .............................................................250,000 Payable from Community Services Block Grant Fund...............................................................................170,000 Payable from Community Development/ Small Cities Block Grant Fund ..........................................................300,000 Total.........................................................................................$720,000 Section 90. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

ENERGY AND RECYCLING GRANTS-IN-AID

Payable from the Solid Waste Management Fund: For Grants, Contracts and Administrative Expenses Associated with Providing Financial Assistance for Recycling and Reuse in Accordance with Section 22.15 of the Environmental Protection Act, the Illinois Solid Waste Management Act and the Solid Waste Planning and Recycling Act, including prior year costs..............................................................10,500,000 Payable from the Alternate Fuels Fund: For Administration and Grant Expenses of the Ethanol Fuel Research Program, Including Prior Year Costs..............................................................1,000,000 Payable from the Renewable Energy Resources Trust Fund: For Grants, Loans, Investments and Administrative Expenses of the Renewable Energy Resources Program, and the Illinois Renewable Fuels Development Program, Including Prior Year Costs ..............................................6,500,000 Payable from the Energy Efficiency Trust Fund: For Grants and Administrative Expenses Relating to Projects that Promote Energy Efficiency, Including Prior Year Costs ...........................................5,000,000

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Payable from the DCEO Energy Projects Fund: For Expenses and Grants Connected with Energy Programs, Including Prior Year Costs .............................................................................................42,000,000 Payable from the Federal Energy Fund: For Expenses and Grants Connected with the State Energy Program, Including Prior Year Costs..............................................................................3,000,000 For Grants, Contracts and Administrative Expenses under the provisions of the American Recovery and Reinvestment Act of 2009 .................................................................................608,000,000 Payable from the Petroleum Violation Fund: For Expenses and Grants Connected with Energy Programs, Including Prior Year Costs ...............................................................................................3,000,000 Section 95. The sum of $4,000,000, or so much thereof as may be necessary, is appropriated from High Speed Internet Services and Information Technology Fund to the Department of Commerce and Economic Opportunity for grants, contracts, awards and administrative expenditures, and prior year expenditures. Section 100. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

ENERGY ASSISTANCE REFUNDS

For refunds to the Federal Government and other refunds: Payable from Energy Administration Fund..........................................................................................300,000 Payable from Low Income Home Energy Assistance Block Grant Fund................................................................................600,000 Total.........................................................................................$900,000

ARTICLE 21 Section 5. The sum of $3,000,000, new appropriation, is appropriated, and the sum of $15,244,372, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 5 of Public Act 95-731, are reappropriated from the Partners for Conservation Fund to the Department of Natural Resources for the Partners for Conservation Program to implement ecosystem-based management for Illinois' natural resources. Section 10. The sum of $2,473,300, new appropriation, is appropriated from the Partners for Conservation Fund to the Department of Natural Resources for expenses of the Partners for Conservation Program. Section 15. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

GENERAL OFFICE For Personal Services: Payable from the State Boating Act Fund..................................137,300 Payable from Wildlife and Fish Fund........................................768,700 Payable from the Partners for Conservation Fund ...........................................................................65,700 Payable from the Federal Surface Mining Control and Reclamation Fund..............................................32,800

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Payable from Adeline Jay Geo-Karis Illinois Beach Marina Fund ..........................................................107,500 Payable from the Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................32,800 For State Contributions to State Employees' Retirement System: Payable from the State Boating Act Fund....................................39,000 Payable from Wildlife and Fish Fund........................................218,200 Payable from the Partners for Conservation Fund ...........................................................................18,700 Payable from the Federal Surface Mining Control and Reclamation Fund ..............................................9,400 Payable from Adeline Jay Geo-Karis Illinois Beach Marina Fund ..............................................................30,500 Payable from the Abandoned Mined Lands Reclamation Council Federal Trust Fund .............................................................................9,400 For State Contributions to Social Security: Payable from the State Boating Act Fund....................................10,500 Payable from Wildlife and Fish Fund..........................................58,800 Payable from the Partners for Conservation Fund .............................................................................4,700 Payable from the Federal Surface Mining Control and Reclamation Fund ..............................................2,200 Payable from Adeline Jay Geo-Karis Illinois Beach Marina Fund ................................................................8,200 Payable from the Abandoned Mined Lands Reclamation Council Federal Trust Fund .............................................................................2,200 For Group Insurance: Payable from the State Boating Act Fund....................................55,000 Payable from Wildlife and Fish Fund........................................162,700 Payable from the Partners for Conservation Fund .......................13,700 Payable from the Federal Surface Mining Control and Reclamation Fund ..............................................5,500 Payable from Adeline Jay Geo-Karis Illinois Beach Marina Fund ..............................................................27,400 Payable from the Abandoned Mined Lands Reclamation Council Federal Trust Fund...........................................5,500 For Contractual Services: Payable from State Boating Act Fund. ......................................115,000 Payable from Wildlife and Fish Fund. .......................................430,100 Payable from Underground Resources Conservation Enforcement Fund ....................................................16,900 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................44,900 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund................................................................................................59,100 For Travel: Payable from Wildlife and Fish Fund............................................1,600 For Equipment: Payable from Wildlife and Fish Fund..........................................66,300 For Telecommunications Services: Payable from Aggregate Operations Regulatory Fund................................................................................................16,000 Payable from Federal Surface Mining Control

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and Reclamation Fund....................................................................16,900 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................12,900 For expenses of the Park and Conservation Program: Payable from Park and Conservation Fund................................456,100 For expenses of DNR Headquarters: Payable from Park and Conservation Fund..................................20,100 For legal expenses: Payable from the Wildlife and Fish Fund ....................................75,000 Total....................................................................................$11,822,000 Section 20. The sum of $300,000, or so much thereof as may be necessary, is appropriated from the Illinois Historic Sites Fund to the Department of Natural Resources for the ordinary and contingent expenses of General Office division for costs associated with but not limited to Union Station, the Old State Capitol and the Old Journal Register Building.

ILLINOIS RIVER INITIATIVES Section 25. The sum of $250,000, new appropriation, is appropriated and the sum of $132,977, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009 from appropriations heretofore made in Article 30, Section 55 of Public Act 95-731, as amended, are appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for the non-federal cost share of a Conservation Reserve Enhancement Program to establish long-term contracts and permanent conservation easements in the Illinois River Basin; to fund cost share assistance to landowners to encourage approved conservation practices in environmentally sensitive and highly erodible areas of the Illinois River Basin; and to fund the monitoring of long-term improvements of these conservation practices as required in the Memorandum of Agreement between the State of Illinois and the United States Department of Agriculture. Section 30. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

ARCHITECTURE, ENGINEERING AND GRANTS For Personal Services: Payable from State Boating Act Fund .........................................88,300 For State Contributions to State Employees' Retirement System: Payable from State Boating Act Fund .........................................25,100 For State Contributions to Social Security: Payable from State Boating Act Fund ...........................................6,700 For Group Insurance: Payable from State Boating Act Fund .........................................19,700 For Travel: Payable from General Revenue Fund ............................................7,000 For Equipment: Payable from Wildlife and Fish Fund..........................................32,000 For expenses of the Heavy Equipment Dredging Crew: Payable from State Boating Act Fund .......................................756,400 Payable from Wildlife and Fish Fund........................................233,200 For expenses of the OSLAD Program: Payable from Open Space Lands Acquisition and Development Fund................................................................1,076,000 For Ordinary and Contingent Expenses: Payable from Park and Conservation Fund.............................2,579,000 For expenses of the Bikeways Program: Payable from Park and Conservation Fund................................125,300 Total......................................................................................$5,023,300

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Section 35. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF REAL ESTATE AND ENVIRONMENTAL PLANNING For Personal Services: Payable from Wildlife and Fish Fund........................................557,100 For State Contributions to State Employees' Retirement System: Payable from Wildlife and Fish Fund........................................158,100 For State Contributions to Social Security: Payable from Wildlife and Fish Fund..........................................42,700 For Group Insurance: Payable from Wildlife and Fish Fund........................................110,200 For Commodities: Payable from Wildlife and Fish Fund............................................8,100 For Equipment: Payable from Wildlife and Fish Fund..........................................66,900 For expenses of Natural Areas Execution: Payable from the Natural Areas Acquisition Fund ............................................................................280,800 For expenses of the OSLAD Program and the Statewide Comprehensive Outdoor Recreation Plan (SCORP): Payable from Open Space Lands Acquisition and Development Fund...................................................................386,100 For operation of consultation program from fees collected: Payable from Illinois Wildlife Preservation Fund........................................................................1,200,000 For Natural Resources Trustee Program: Payable from Natural Resources Restoration Trust Fund ................................................................1,400,000 For Ordinary and Contingent Expenses: Payable from Park and Conservation Fund.............................1,523,700 For expenses of the Bikeways Program: Payable from Park and Conservation Fund................................440,700 Total......................................................................................$8,642,200 Section 40. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF BUSINESS SERVICES For Personal Services: Payable from State Boating Act Fund .......................................696,400 Payable from Wildlife and Fish Fund.....................................1,035,100 For State Contributions to State Employees' Retirement System: Payable from State Boating Act Fund .......................................197,700 Payable from Wildlife and Fish Fund........................................293,800 For State Contributions to Social Security: Payable from State Boating Act Fund .........................................53,300 Payable from Wildlife and Fish Fund..........................................79,200 For Group Insurance: Payable from State Boating Act Fund .......................................214,700 Payable from Wildlife and Fish Fund........................................307,500 For Contractual Services: Payable from State Boating Act Fund .......................................161,000

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Payable from Wildlife and Fish Fund........................................512,000 Payable from Federal Surface Mining Control and Reclamation Fund........................................................................5,400 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund ..........................................................3,000 For Contractual Services for Postage Expenses for DNR Headquarters: Payable from State Boating Act Fund. ........................................25,000 Payable from Wildlife and Fish Fund. .........................................25,000 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................12,500 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................12,500 For the purpose of remitting funds collected from the sale of Federal Duck Stamps to the U. S. Fish and Wildlife Service: Payable from Wildlife and Fish Fund..........................................23,600 For Commodities for DNR Headquarters: Payable from State Boating Act Fund ...........................................3,300 Payable from Wildlife and Fish Fund..........................................48,400 Payable from Aggregate Operations Regulatory Fund .................................................................................2,300 Payable from Federal Surface Mining Control and Reclamation Fund........................................................................3,300 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund...........................................1,700 For Printing: Payable from State Boating Act Fund .......................................163,400 Payable from Wildlife and Fish Fund........................................125,600 For Equipment: Payable from Wildlife and Fish Fund........................................125,100 For Electronic Data Processing: Payable from State Boating Act Fund .......................................101,600 Payable from State Parks Fund....................................................22,300 Payable from Wildlife and Fish Fund........................................891,800 Payable from Natural Areas Acquisition Fund ............................23,000 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................123,600 Payable from Illinois Forestry Development Fund......................13,200 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................123,600 For Operation of Auto Equipment for DNR Headquarters: Payable from State Boating Act Fund ...........................................4,800 For expenses associated with Watercraft Titling: Payable from the State Boating Act Fund..................................200,000 For the implementation of the Camping/Lodging Reservation System: Payable from the State Parks Fund ............................................130,000 For the transfer of check-off dollars to the Illinois Conservation Foundation: Payable from the Wildlife and Fish Fund ......................................5,000 For expenses incurred for the implementation, education and maintenance of the Point of Sale System: Payable from the Wildlife & Fish Fund..................................3,000,000 For expenses of Business Services:

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Payable from the Natural Areas Acquisition Fund ............................................................................111,300 Total....................................................................................$11,462,900 Section 45. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

PUBLIC SERVICES For Personal Services: Payable from Wildlife and Fish Fund..........................................67,600 For State Contributions to State Employees' Retirement System: Payable from Wildlife and Fish Fund..........................................19,200 For State Contributions to Social Security: Payable from Wildlife and Fish Fund............................................5,200 For Group Insurance: Payable from Wildlife and Fish Fund................................................10,100 For Contractual Services: Payable from Wildlife and Fish Fund..........................................17,000 Payable from Illinois Historic Sites Fund....................................55,000 For Travel: Payable from Wildlife and Fish Fund............................................5,000 For Commodities: Payable from Illinois Historic Sites Fund......................................1,000 For Printing: Payable from Wildlife and Fish Fund..........................................10,000 Payable from Illinois Historic Sites Fund....................................16,300 For Equipment: Payable from Illinois Historic Sites Fund......................................1,000 For expenses incurred in producing and distributing site brochures, public information literature and other printed materials from revenues received from the sale of advertising: Payable from State Boating Act Fund .........................................25,000 Payable from State Parks Fund....................................................50,000 Payable from Wildlife and Fish Fund..........................................50,000 For operation and maintenance of new sites and facilities, including Sparta: Payable from State Parks Fund....................................................50,000 For the purpose of publishing and distributing a bulletin or magazine and for purchasing, marketing and distributing conservation related products for resale, and refunds for such purposes: Payable from Wildlife and Fish Fund........................................591,300 For Educational Publications Services and Expenses, Contingent upon Revenues collected for same: Payable from Wildlife and Fish Fund..........................................25,000 For Ordinary and Contingent Expenses of Public Services: Payable from Park and Conservation Fund................................570,900 For Historic Preservation Programs: Payable from Illinois Historic Sites Fund....................................90,000 Total......................................................................................$4,163,300

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Section 50. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

SPECIAL EVENTS For Personal Services: Payable from State Boating Act Fund .........................................55,300 Payable from Wildlife and Fish Fund........................................526,000 For State Contributions to State Employees' Retirement System: Payable from State Boating Act Fund .........................................15,700 Payable from Wildlife and Fish Fund........................................149,300 For State Contributions to Social Security: Payable from State Boating Act Fund ...........................................4,300 Payable from Wildlife and Fish Fund..........................................40,200 For Group Insurance: Payable from State Boating Act Fund .........................................17,600 Payable from Wildlife and Fish Fund........................................149,100 For Contractual Services: Payable from Wildlife and Fish Fund........................................193,500 Payable from State Boating Act Fund ...........................................5,000 For Travel: Payable from Wildlife and Fish Fund..........................................18,500 For Commodities: Payable from Wildlife and Fish Fund........................................128,000 Payable from State Boating Act Fund ...........................................5,000 For Printing: Payable from Wildlife and Fish Fund..........................................45,000 Payable from State Boating Act Fund .........................................10,000 For Equipment: Payable from Wildlife and Fish Fund..........................................43,600 For Operation of Auto Equipment: Payable from Wildlife and Fish Fund..........................................26,900 For the coordination of public events and promotions from activity fees, donations and vendor revenue: Payable from State Parks Fund....................................................47,100 Payable from Wildlife and Fish Fund............................................2,100 For expenses associated with the Sportsman Against Hunger Program: Payable from the Wildlife & Fish Fund.....................................100,000 For Ordinary and Contingent Expenses of Special Events: Payable from Park and Conservation Fund................................318,400 For the Sparta Imprest Account: Payable from the State Parks Fund ............................................250,000 For the ordinary and contingent expenses of the World Shooting and Recreational Complex, of which no expenditures shall be authorized from the appropriation until revenues from sponsorships, shooting events, or donations sufficient to offset such expenditures have been collected and deposited into the State Parks Fund: Payable from the State Parks Fund ............................................350,000 For the ordinary and contingent expenses of the World Shooting

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and Recreational Complex: Payable from the State Parks Fund ............................................481,200 Payable from the Wildlife and Fish Fund ...............................1,570,100 For expenses associated with the State Fair: Payable from the Wildlife and Fish Fund ....................................15,500 Payable from the Park and Conservation Fund............................96,000 Payable from the Illinois Forestry Development Fund ...........................................................................20,500 Total......................................................................................$4,856,000 Section 55. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF RESOURCE CONSERVATION For Personal Services: Payable from Wildlife and Fish Fund...................................11,509,300 Payable from Salmon Fund........................................................231,900 Payable from Natural Areas Acquisition Fund .......................1,289,600 For State Contributions to State Employees' Retirement System: Payable from Wildlife and Fish Fund.....................................3,266,000 Payable from Salmon Fund..........................................................65,900 Payable from Natural Areas Acquisition Fund ..........................366,000 For State Contributions to Social Security: Payable from Wildlife and Fish Fund........................................873,300 Payable from Salmon Fund..........................................................17,800 Payable from Natural Areas Acquisition Fund ............................98,600 For Group Insurance: Payable from Wildlife and Fish Fund.....................................2,869,800 Payable from Salmon Fund..........................................................46,200 Payable from Natural Areas Acquisition Fund ..........................313,800 For Contractual Services: Payable from Wildlife and Fish Fund.....................................1,918,100 Payable from Salmon Fund..........................................................19,900 Payable from Natural Areas Acquisition Fund ............................64,300 Payable from Natural Heritage Fund ...........................................59,200 For Travel: Payable from Wildlife and Fish Fund..........................................76,000 Payable from Natural Areas Acquisition Fund ............................32,200 For Commodities: Payable from Wildlife and Fish Fund.....................................1,253,600 Payable from Natural Areas Acquisition Fund ............................40,200 Payable from the Natural Heritage Fund .....................................16,000 For Printing: Payable from Wildlife and Fish Fund........................................133,700 Payable from Natural Areas Acquisition Fund ............................11,600 For Equipment: Payable from Wildlife and Fish Fund.....................................1,123,100 Payable from Natural Areas Acquisition Fund ..........................203,700 Payable from Illinois Forestry Development Fund .........................................................................108,600 For Telecommunications Services: Payable from Wildlife and Fish Fund........................................251,800 Payable from Natural Areas Acquisition Fund ............................34,200 For Operation of Auto Equipment: Payable from Wildlife and Fish Fund........................................734,400 Payable from Natural Areas Acquisition Fund ............................69,200

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For the Purposes of the "Illinois Non-Game Wildlife Protection Act": Payable from Illinois Wildlife Preservation Fund .....................................................................500,000 For programs beneficial to advancing forests and forestry in this State as provided for in Section 7 of the "Illinois Forestry Development Act", as now or hereafter amended: Payable from Illinois Forestry Development Fund........................................................................1,136,500 For Administration of the "Illinois Natural Areas Preservation Act": Payable from Natural Areas Acquisition Fund .......................1,728,000 For payment of the expenses of the Illinois Forestry Development Council: Payable from Illinois Forestry Development Fund....................118,500 For an Urban Fishing Program in conjunction with the Chicago Park District to provide fishing and resource management at the park district lagoons: Payable from Wildlife and Fish Fund........................................275,900 For workshops, training and other activities to improve the administration of fish and wildlife federal aid programs from federal aid administrative grants received for such purposes: Payable from Wildlife and Fish Fund..........................................11,400 For expenses of the Natural Areas Stewardship Program: Payable from Natural Areas Acquisition Fund .......................1,612,400 For evaluating, planning, and implementation for the updating and modernization of the inventory and identification of natural areas in Illinois: Payable from Natural Areas Acquisition Fund .......................2,044,400 For expenses of the Urban Forestry Program: Payable from Illinois Forestry Development Fund....................................................................758,100 For expenses associated with the Nursery Reforestation Program: Payable from the Illinois Forestry Development Fund....................................................................200,000 For expenses of subgrantee payments: Payable from the Wildlife and Fish Fund ...............................1,500,000 For operational expenses of Resource Conservation: Payable from the Wildlife and Fish Fund ...............................1,500,000 For Chronic Wasting Disease Programs: Payable from the Wildlife and Fish Fund ...............................1,000,000 For eligible expenses related to Wildlife and Fish activities as supported by fee increases...........................................................2,500,000 For the reallocation of Wildlife and Fish grant reimbursements ..........................................................2,000,000 Total....................................................................................$42,403,000

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Section 60. The sum of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 85, of Public Act 95-731, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for subgrantee payments. Section 65. The sum of $1,905,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 11, of Public Act 95-731, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for the reallocation of Wildlife and Fish grant reimbursements. Section 70. The sum of $1,500,000, or so much thereof as may be necessary, is appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for operations expenses of resource conservation. Section 75. The sum of $1,528,462, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 85, and Article 250, Section 90 of Public Act 95-731, as amended, is reappropriated from the Illinois Wildlife Preservation Fund to the Department of Natural Resources for purposes associated with the “Illinois Non-Game Wildlife Protection Act.” Section 80. The sum of $920,839, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 85 and Section 95 of Public Act 95-731, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for expenses associated with the Inner City Urban Revitalization Program. Section 85. The sum of $468,968, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 30, Section 85 of Public Act 95-731, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for expenses associated with the Urban Forestry Program. Section 90. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

PRESERVATION SERVICES For Personal Services: Payable from Illinois Historic Sites Fund..................................435,000 For State Contributions to State Employees' Retirement System: Payable from Illinois Historic Sites Fund..................................123,500 For State Contributions to Social Security: Payable from Illinois Historic Sites Fund....................................33,300 For Group Insurance: Payable from Illinois Historic Sites Fund..................................111,300 For Contractual Services: Payable from Illinois Historic Sites Fund....................................79,000 For Travel: Payable from Illinois Historic Sites Fund....................................26,000 For Commodities: Payable from Illinois Historic Sites Fund......................................3,000 For Printing: Payable from Illinois Historic Sites Fund......................................1,300 For Equipment: Payable from Illinois Historic Sites Fund......................................2,000 For Electronic Data Processing: Payable from Illinois Historic Sites Fund......................................5,000 For Telecommunications Services: Payable from Illinois Historic Sites Fund....................................18,000 For Historic Preservation Programs either independent or in cooperation with the Federal Government, or any agency thereof, any municipal

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corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, or for refunds: Payable from Illinois Historic Sites Fund..................................500,000 Total....................................................................................$42,403,000 Section 95. The sum of $150,000, or so much thereof as may be necessary, is appropriated from the Illinois Historic Sites Fund to the Department of Natural Resources for awards and grants for historic preservation programs made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual. Section 100. The sum of $335,447, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made for such purpose in Article 20, Sections 20 and 25 of Public Act 95-731, is reappropriated from the Illinois Historic Sites Fund to the Department of Natural Resources for awards and grants for historic preservation programs made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual. Section 105. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF LAW ENFORCEMENT For Personal Services: Payable from State Boating Act Fund ....................................2,159,000 Payable from State Parks Fund..................................................885,300 Payable from Wildlife and Fish Fund.....................................3,614,000 For State Contributions to State Employees' Retirement System: Payable from State Boating Act Fund .......................................612,700 Payable from State Parks Fund..................................................251,300 Payable from Wildlife and Fish Fund.....................................1,025,600 For State Contributions to Social Security: Payable from State Boating Act Fund .........................................47,400 Payable from State Parks Fund....................................................14,600 Payable from Wildlife and Fish Fund..........................................28,600 For Group Insurance: Payable from State Boating Act Fund .......................................463,000 Payable from State Parks Fund..................................................168,100 Payable from Wildlife and Fish Fund........................................723,900 For Contractual Services: Payable from State Boating Act Fund .........................................60,200 Payable from Wildlife and Fish Fund........................................126,500 For Travel: Payable from State Boating Fund ................................................15,000 Payable from Wildlife and Fish Fund..........................................19,100 For Commodities: Payable from State Boating Act Fund .........................................14,800 Payable from Wildlife and Fish Fund..........................................45,500 For Printing: Payable from Wildlife and Fish Fund............................................5,800 For Equipment: Payable from State Boating Act Fund .......................................476,100 Payable from State Parks Fund..................................................224,600 Payable from Wildlife and Fish Fund........................................472,600 For Telecommunications Services: Payable from State Boating Act Fund .......................................207,900

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Payable from Wildlife and Fish Fund........................................247,000 For Operation of Auto Equipment: Payable from State Boating Act Fund .......................................307,300 Payable from Wildlife and Fish Fund........................................235,700 For Snowmobile Programs: Payable from State Boating Act Fund .........................................32,900 For Payment of Timber Buyers bond forfeitures: Payable from Illinois Forestry Development Fund....................................................................125,000 For use in enforcing laws regulating controlled substances and cannabis on Department of Natural Resources regulated lands and waterways to the extent funds are received by the Department: Payable from the Drug Traffic Prevention Fund..........................................................................25,000 For use in alcohol related enforcement efforts and training to the extent funds are available to the Department: Payable from State Boating Fund ................................................20,000 For Operations and Maintenance of Training Facility: Payable from Wildlife and Fish Fund..........................................50,000 For Personal Services and related costs related to Federal Enforcement grants to the extent that such funds are available for use by the department: Payable from the DNR Federal Projects Fund........................1,800,000 For costs related to Federal Enforcement grants to the extent that such funds are available for use by the department: Payable from the DNR Federal Projects Fund........................1,700,000 Total....................................................................................$23,981,400 Section 110. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF LAND MANAGEMENT AND EDUCATION For Personal Services: Payable from State Boating Act Fund ....................................1,610,500 Payable from State Parks Fund...............................................3,318,600 Payable from Wildlife and Fish Fund.....................................8,248,400 Payable from the Illinois Historic Sites Fund.........................................................................................38,000 For State Contributions to State Employees' Retirement System: Payable from State Boating Act Fund .......................................457,100 Payable from State Parks Fund..................................................941,800 Payable from Wildlife and Fish Fund.....................................2,340,700 Payable from the Illinois Historic Sites Fund ...................................................................................10,800 For State Contributions to Social Security: Payable from State Boating Act Fund .......................................123,200 Payable from State Parks Fund..................................................253,900 Payable from Wildlife and Fish Fund........................................631,000

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Payable from the Illinois Historic Sites Fund...........................................................................................2,900 For Group Insurance: Payable from State Boating Act Fund .......................................504,100 Payable from State Parks Fund...............................................1,006,800 Payable from Wildlife and Fish Fund.....................................2,355,800 Payable from the Illinois Historic Sites Fund.........................................................................................15,900 For Contractual Services: Payable from State Boating Act Fund .......................................451,200 Payable from State Parks Fund...............................................3,766,500 Payable from Wildlife and Fish Fund.....................................1,243,700 Payable from the Illinois Historic Sites Fund.......................................................................................180,000 For Travel: Payable from State Boating Act Fund ...........................................5,900 Payable from State Parks Fund....................................................49,700 Payable from Wildlife and Fish Fund..........................................14,700 Payable from the Illinois Historic Sites Fund...........................................................................................5,000 For Commodities: Payable from State Boating Act Fund .........................................51,000 Payable from State Parks Fund..................................................443,400 Payable from Wildlife and Fish Fund........................................537,700 Payable from the Illinois Historic Sites Fund.........................................................................................35,000 For Equipment: Payable from State Parks Fund..................................................955,000 Payable from Wildlife and Fish Fund.....................................1,044,800 Payable from the Illinois Historic Sites Fund.........................................................................................25,000 For Telecommunications Services: Payable from State Parks Fund..................................................282,500 Payable from Wildlife and Fish Fund..........................................32,500 Payable from the Illinois Historic Sites Fund.........................................................................................15,000 For Operation of Auto Equipment: Payable from State Parks Fund..................................................309,700 Payable from Wildlife and Fish Fund........................................204,800 Payable from the Illinois Historic Sites Fund.........................................................................................10,000 For Illinois-Michigan Canal: Payable from State Parks Fund..................................................118,000 For Union County and Horseshoe Lake Conservation Areas, Farming and Wildlife Operations: Payable from Wildlife and Fish Fund........................................466,100 For operations and maintenance from revenues derived from the sale of surplus crops and timber harvest: Payable from the State Parks Fund .........................................1,000,000 Payable from the Wildlife and Fish Fund ...............................1,050,000 For Snowmobile Programs: Payable from State Boating Act Fund .........................................46,900 For expenses related to Pyramid State Park contingent upon revenues generated at the site: Payable from State Parks Fund....................................................40,000

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For expenses related to the Illinois Beach Ecosystem Program: Payable from the Natural Areas Acquisition Fund. .....................................................................500,000 For operating expenses of the North Point Marina at Winthrop Harbor: Payable from the Adeline Jay Geo-Karis Illinois Beach Marina Fund..................................1,987,300 For expenses of the Park and Conservation program: Payable from Park and Conservation Fund.............................7,631,500 For expenses of the Bikeways program: Payable from Park and Conservation Fund.............................1,700,700 For Wildlife Prairie Park Operations and Improvements: Payable from General Revenue Fund ........................................790,000 Payable from Wildlife Prairie Park Fund...................................100,000 Total....................................................................................$58,308,300 For operational and maintenance expenses derived from State Parking and Equestrian fees to the extent that such funds are available: Payable from the State Parks Fund .........................................2,800,000 For operational and maintenance expenses derived from State Parking fees to the extent that such funds are available: Payable from the Wildlife and Fish Fund ..................................600,000 For programs related to the American Recovery and Reinvestment Act of 2009 to the extent that such funds are available to the department: Payable from the Parks and Conservation Fund .....................2,500,000 For expenses related to FEMA grants to the extent that such funds are available to the department: Payable from the Parks and Conservation Fund .....................1,000,000 For operations, maintenance, repairs, permanent improvements, special events, and all other costs related to the operation of Illinois Historic Sites and only to the extent to which donations are received at Illinois State Historic Sites: Payable from the Illinois Historic Sites Fund ............................600,000 For operational expenses related to the operations of Illinois Historic Sites: Payable from the Illinois Historic Sites Fund.......................................................................................300,000 For operational expenses related to the operations, construction, and development of the Lewis and Clark Historic Site: Payable from the Illinois Historic Sites Fund .................................................................................300,000 For programs and purposes including

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repairing, maintaining, reconstructing, rehabilitating, replacing, fixed assets, construction and development, studies, all costs for supplies, materials, labor, land acquisition and its related costs, services and other expenses at historic sites: Payable from the Illinois Historic Sites Fund ...................................................................................75,000 Total......................................................................................$8,175,000 Section 115. The sum of $786,928, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 20, Section 105, of Public Act 95-731, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for operations and maintenance from revenues derived from the sale of surplus crops and timber harvest. Section 120. The sum of $825,436, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2009, from appropriations heretofore made in Article 20, Section 105, of Public Act 95-731, is reappropriated from the State Parks Fund to the Department of Natural Resources for operations and maintenance from revenues derived from the sale of surplus crops and timber harvest. Section 125. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF MINES AND MINERALS For Personal Services: Payable from Mines and Minerals Underground Injection Control Fund ...................................................................190,600 Payable from Plugging and Restoration Fund ...........................275,100 Payable from Underground Resources Conservation Enforcement Fund ....................................................403,300 Payable from Federal Surface Mining Control and Reclamation Fund.................................................................1,197,100 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund....................................2,021,800 For State Contributions to State Employees' Retirement System: Payable from Mines and Minerals Underground Injection Control Fund .....................................................................55,000 Payable from Plugging and Restoration Fund ..............................7,200 Payable from Underground Resources Conservation Enforcement Fund ....................................................114,500 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................339,700 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................573,800 For State Contributions to Social Security: Payable from Mines and Minerals Underground Injection Control Fund .....................................................................14,600 Payable from Plugging and Restoration Fund .............................21,000 Payable from Underground Resources Conservation Enforcement Fund ......................................................30,800 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................91,600 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................154,600 For Group Insurance:

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Payable from Mines and Minerals Underground Injection Control Fund .....................................................................53,500 Payable from Plugging and Restoration Fund .............................64,200 Payable from Underground Resources Conservation Enforcement Fund ....................................................123,800 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................294,200 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................461,800 For Contractual Services: Payable from Plugging and Restoration Fund .............................26,500 Payable from Underground Resources Conservation Enforcement Fund ......................................................85,700 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................468,200 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................218,200 For Contractual Services related to Litigation of mining regulatory action: Payable from Federal Surface Mining Control and Reclamation Fund......................................................................15,000 For Travel: Payable from Mines and Minerals Underground Injection Control Fund .......................................................................5,000 Payable from Plugging and Restoration Fund ...............................5,000 Payable from Underground Resources Conservation Enforcement Fund ........................................................6,000 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................31,400 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................30,700 For Commodities: Payable from Plugging and Restoration Fund ...............................5,000 Payable from Underground Resources Conservation Enforcement Fund ........................................................9,600 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................12,400 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................25,800 For Printing: Payable from Plugging and Restoration Fund ..................................500 Payable from Underground Resources Conservation Enforcement Fund ........................................................3,300 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................11,200 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund...........................................1,000 For Equipment: Payable from Mines and Minerals Underground Injection Control Fund .....................................................................34,000 Payable from Plugging and Restoration Fund .............................58,300 Payable from Underground Resources Conservation Enforcement Fund ......................................................77,400 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................198,600 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.......................................270,700

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For Electronic Data Processing: Payable from Plugging and Restoration Fund ...............................8,000 Payable from Underground Resources Conservation Enforcement Fund ......................................................31,000 Payable from Federal Surface Mining Control and Reclamation Fund....................................................................119,800 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................82,500 For Telecommunications Services: Payable from Plugging and Restoration Fund .............................18,200 Payable from Underground Resources Conservation Enforcement Fund ......................................................15,600 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................32,000 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................20,000 For Operation of Auto Equipment: Payable from Mines and Minerals Underground Injection Control Fund .....................................................................34,200 Payable from Plugging and Restoration Fund .............................51,800 Payable from Underground Resources Conservation Enforcement Fund ......................................................54,000 Payable from Federal Surface Mining Control and Reclamation Fund......................................................................60,300 Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund.........................................65,300 For the purpose of coordinating training and education programs for miners and laboratory analysis and testing of coal samples and mine atmospheres: Payable from the Coal Mining Regulatory Fund .........................32,800 Payable from Federal Surface Mining Control and Reclamation Fund.......................................................284,100 For expenses associated with Aggregate Mining Regulation: Payable from Aggregate Operations Regulatory Fund .............................................................................380,600 For expenses associated with Explosive Regulation: Payable from Explosives Regulatory Fund................................129,800 For expenses associated with Environmental Mitigation Projects, Studies, Research, and Administrative Support: Payable from Abandoned Mined Lands Reclamation Council Federal Trust Fund ......................................................................................400,000 For the purpose of reclaiming surface mined lands, with respect to which a bond has been forfeited: Payable from Land Reclamation Fund ......................................350,000 For expenses associated with Surface Coal Mining Regulation: Payable from Coal Mining Regulatory Fund.............................410,600 For costs associated with the operations of mine safety and related programs to the extent that funds are available................................................................6,000,000

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For Small Operators' Assistance Program: Payable from Federal Surface Mining Control and Reclamation Fund.......................................................150,000 For Plugging & Restoration Projects: Payable from Plugging & Restoration Fund...........................1,000,000 Payable from Underground Resources Conservation Enforcement Fund ...........................................................500 Total....................................................................................$20,881,600 Section 130. The following named sums, or so much thereof as may be necessary, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Natural Resources:

OFFICE OF WATER RESOURCES For Personal Services: Payable from State Boating Act Fund .......................................460,300 For State Contributions to State Employees' Retirement System: Payable from State Boating Act Fund .......................................130,700 For State Contributions to Social Security: Payable from State Boating Act Fund .........................................35,200 For Group Insurance: Payable from State Boating Act Fund .......................................126,500 For Contractual Services: Payable from State Boating Act Fund .........................................73,000 For Travel: Payable from State Boating Act Fund .........................................10,500 For Commodities: Payable from State Boating Act Fund .........................................14,200 For Equipment: Payable from State Boating Act Fund .........................................67,600 For Telecommunications Services: Payable from State Boating Act Fund ...........................................7,800 For Operation of Auto Equipment: Payable from State Boating Act Fund ...........................................3,500 For payment of the Department’s share of operation and maintenance of statewide stream gauging network, water data storage and retrieval system, in cooperation with the U.S. Geological Survey: Payable from the Wildlife and Fish Fund ..................................200,000 For execution of state assistance programs to improve the administration of the National Flood Insurance Program (NFIP) and National Dam Safety Program as approved by the Federal Emergency Management Agency (82 Stat. 572): Payable from National Flood Insurance Program Fund .................................................................................711,200 For Repairs and Modifications to Facilities: Payable from State Boating Act Fund .........................................53,900 For expenses of the Boat Grant Match: Payable from the State Boating Act Fund..................................100,000 For operational expenses of the Office of Water Resources’ regulatory operation to the extent that

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such funds are available from fees collected: Payable from the State Boating Act Fund...............................1,000,000 Total......................................................................................$8,412,600 Section 135. Pursuant to Executive Order 2006-01, the sum of $250,000, or so much thereof as may be necessary, is appropriated from the DNR Special Projects Fund to the Department of Natural Resources for the Office of Water Resources to develop a comprehensive program for state and regional water supply planning and management and develop a plan for its implementation consistent with existing laws, regulations and property rights, incorporation with local officials and regional planning committees, and to provide for grants to priority regions to recruit and assign responsibilities to Regional Water Supply Planning Committees formed to assist the State agencies in comparing population forecast with water supply needs, establishing a public participation process for plan formulation and developing management options for meeting long-term water supply needs including conservation strategies. Section 140. The sum of $5,290,000 or so much thereof as may be necessary, is appropriated from the DNR Federal Projects Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for Floodplain Map Modernization as approved by the Federal Emergency Management Agency. Section 145. Pursuant to the American Recovery and Reinvestment Act of 2009 and only to the extent that funds are made available to the Department for such purposes, the sum of $1,500,000, or so much thereof as may be necessary, is appropriated from the Illinois Wildlife Preservation Fund to the Department of Natural Resources for awards and grants related to natural areas at Illinois Beach. Section 150. The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources:

STATE MUSEUMS For operational expenses related to the operation of Illinois Historic sites: Payable from the Illinois Historic Sites Fund ............................300,000 For historic preservation programs administered by the Abraham Lincoln Presidential Library and Museum, only to the extent that funds are received through grants, and awards, or gifts: Payable from Illinois Historic Sites Fund..................................135,000 For research projects associated with Abraham Lincoln: Payable from Illinois Historic Sites Fund..................................200,000 For microfilming Illinois newspapers and manuscripts and performing genealogical research: Payable from Illinois Historic Sites Fund..................................225,000 Total.........................................................................................$860,000 Section 155. The amount of $12,535,800, or so much thereof as may be necessary, is appropriated from the Abraham Lincoln Presidential Library and Museum Fund to the Department of Natural Resources meet the ordinary and contingent expenses of the Abraham Lincoln Presidential Library and Museum in Springfield.

FOR REFUNDS Section 160. The following named sums, or so much thereof as may be necessary, are appropriated to the Department of Natural Resources: For Payment of Refunds: Payable from State Boating Act Fund .........................................30,000 Payable from State Parks Fund....................................................50,000 Payable from Wildlife and Fish Fund.....................................1,150,000

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Payable from Plugging and Restoration Fund ............................25,000 Payable from Underground Resources Conservation Enforcement Fund ......................................................25,000 Payable from Adeline Jay Geo-Karis Illinois Beach Marina Fund ........................................................25,000 Total......................................................................................$1,305,000

ARTICLE 22 STATEWIDE SERVICES AND GRANTS

Section 5. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Juvenile Justice for the objects and purposes hereinafter named: Payable from the Department of Corrections Reimbursement and Education Fund: For payment of expenses associated with School District Programs ........................................................5,000,000 For payment of expenses associated with federal programs, including, but not limited to, construction of additional beds, treatment programs, and juvenile supervision .................................................................3,000,000 For payment of expenses associated with miscellaneous programs, including, but not limited to, medical costs, food expenditures, and various construction costs............................................................................5,000,000 Total....................................................................................$13,000,000 The following amount is appropriated from the Department of Corrections Reimbursement Education Fund to the Department of Juvenile Justice pursuant to the American Recovery and Reinvestment Act of 2009 in addition to any existing funding: For Federal Recovery – Federal Programs ...................................4,000,000

ARTICLE 23 STATEWIDE SERVICES AND GRANTS

Section 5. The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Corrections for the objects and purposes hereinafter named: Payable from the Department of Corrections Reimbursement and Education Fund: For payment of expenses associated with School District Programs...................................................15,000,000 For payment of expenses associated with federal programs, including, but not limited to, construction of additional beds, treatment programs, and juvenile supervision ............................................................27,000,000For payment of expenses associated with miscellaneous programs, including, but not limited to, medical costs, food expenditures, and various construction costs ......................................................................23,000,000 Total....................................................................................$65,000,000 Section 10. The following named amount is appropriated from the Department of Corrections Reimbursement and Education Fund to the Department of Corrections pursuant to the American Recovery and Reinvestment Act of 2009 in addition to any existing funding: For Federal Recovery- Federal Programs...................................20,000,000 Section 15. The following named amounts, or so much thereof as may be necessary, respectively,

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are appropriated to the Department of Corrections from the Working Capital Revolving Fund: ILLINOIS CORRECTIONAL INDUSTRIES

For Personal Services ...................................................................9,339,600 For the Student, Member and Inmate Compensation .................................................................................1,897,200 For State Contributions to State Employees' Retirement System.......................................................2,650,300 For State Contributions to Social Security ...................................................................................714,500 For Group Insurance.....................................................................2,385,000 For Contractual Services ..............................................................2,194,700 For Travel ..........................................................................................99,900 For Commodities ........................................................................21,973,300 For Printing..........................................................................................9,400 For Equipment.................................................................................354,000 For Telecommunications Services.....................................................61,300 For Operation of Auto Equipment................................................1,218,500 For Repairs, Maintenance and Other Capital Improvements........................................................................147,000 For Refunds .........................................................................................7,400 Total....................................................................................$43,052,100

ARTICLE 24 Section 5. The following named amounts, or so much thereof as may be necessary, respectively, for the purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Employment Security:

OFFICE OF THE DIRECTOR Payable from Title III Social Security and Employment Service Fund: For Personal Services ...................................................................7,370,000 For State Contributions to State Employees' Retirement System ...................................................2,091,400 For State Contributions to Social Security................................................................................563,800 For Group Insurance.....................................................................1,908,000 For Contractual Services .................................................................501,200 For Travel ........................................................................................127,300 For Telecommunications Services...................................................237,700 Total....................................................................................$12,799,400 Section 10. The following named amounts, or so much thereof as may be necessary, respectively, for the purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Employment Security:

FINANCE AND ADMINISTRATION BUREAU Payable from Title III Social Security and Employment Service Fund: For Personal Services .................................................................20,432,800 For State Contributions to State Employees' Retirement System ..............................................5,798,200 For State Contributions to Social Security ........................................................................1,563,100 For Group Insurance.....................................................................4,849,500 For Contractual Services ............................................................48,909,300 For Travel ........................................................................................153,300 For Commodities ..........................................................................1,206,300 For Printing...................................................................................1,939,100 For Equipment..............................................................................4,022,400

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[May 20, 2009] 484

For Telecommunications Services................................................2,645,700 For Operation of Auto Equipment...................................................106,300 Payable from Title III Social Security and Employment Service Fund: For expenses related to America's Labor Market Information System ..............................................1,500,000 Total....................................................................................$93,126,000 Section 15. The following named sums, or so much thereof as may be necessary, are appropriated to the Department of Employment Security:

WORKFORCE DEVELOPMENT Payable from Title III Social Security and Employment Service Fund: For Personal Services .................................................................77,891,600 For State Contributions to State Employees' Retirement System .................................................22,103,300 For State Contributions to Social Security........................................................................................5,958,700 For Group Insurance...................................................................21,862,500 For Contractual Services ..............................................................3,088,900 For Travel .....................................................................................1,195,600 For Telecommunications Services................................................6,247,800 For Permanent Improvements ....................................................................0 For Refunds .....................................................................................300,000 For expenses related to the Development of Training Programs ...............................................100,000 For expenses related to Employment Security Automation....................................................................5,000,000 For expenses related to a Benefit Information System Redefinition ..............................................15,000,000 Total..................................................................................$158,748,400 Payable from the Unemployment Compensation Special Administration Fund: For expenses related to Legal Assistance as required by law......................................................2,000,000 For deposit into the Title III Social Security and Employment Service Fund..............................................................................12,000,000 For Interest on Refunds of Erroneously Paid Contributions, Penalties and Interest ............................................................................................100,000 Total....................................................................................$14,100,000 Section 20. The amount of $500,000, or so much thereof as may be necessary, is appropriated from the Title III Social Security and Employment Services Fund to the Department of Employment Security, for all costs, including administrative costs associated with providing community partnerships for enhanced customer service. Section 25. The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Employment Security:

WORKFORCE DEVELOPMENT Grants-In-Aid

Payable from Title III Social Security and Employment Service Fund: For Grants........................................................................................500,000 For Tort Claims ...............................................................................715,000 Total......................................................................................$1,215,000

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