ILLINOIS
SUPREME COURT
RULES
ARTICLE I. GENERAL RULES
General rules apply to both civil and criminal proceedings. The rules on
proceedings in the trial court, together with the Civil Practice Law and the
Code of Criminal Procedure, shall govern all proceedings in the trial court,
except to the extent that the procedure in a particular kind of action is
regulated by a statute other than the Civil Practice Law. The rules on appeals
shall govern all appeals.
Amended October 21, 1969, effective January 1, 1970; amended
February 19, 1982, effective April 1, 1982; amended May 28, 1982, effective July
1, 1982.
Committee Comments
(Revised July 1, 1971)
The second sentence of Rule 1 establishes for trial court proceedings the same standard for determining applicability that appears in section 1 of the Civil Practice Act.
The third sentence was revised in 1969 when the appeals rules were broadened to cover all appeals. The authority for supersedure of inconsistent statutes is found in the provision of the Judicial Article, effective January 1, 1964 (former Illinois Const., art. VI, §7), repeated in the new constitution effective July 1, 1971 (art. VI, §16), that directs the Supreme Court to "provide by rule for expeditious and inexpensive appeals." See Committee Comments to Civil Appeals Rules and Rule 601.
Supersedure by the criminal appeals rules (Rule 601 et seq.) of the appeals provisions of the Code of Criminal Procedure of 1963 is covered by Rule 601.
The effective date of the revised rules and their applicability to pending proceedings are covered in the order adopting the rules.
Rule 2. Construction
(a) Standards. These rules are to be construed in accordance with the appropriate
provisions of the Statute on Statutes (5 ILCS 70/0.01 et seq.), and in accordance with
the standards stated in section 1-106 of the Code of Civil Procedure (735 ILCS 5/1-106).
(b) Definitions. The following meanings are to be given terms used in these rules:
(1) “Judge” also includes associate judge and justice.
(2) “Judgment” also includes decree, determination, decision, order, or portion thereof.
(3) “Paper Document” means pleading, motion, notice, affidavit, memorandum, brief, petition, or other paper document or combination of papers documents required or permitted to be filed.
Amended effective July 1, 1971; amended May 28, 1982, effective July 1, 1982 ; amended May 30, 2008, effective immediately; amended Jan. 4, 2013, eff. immediately.
Committee Comments
(Revised July 1, 1971)
This rule was adopted effective January 1, 1967.
Paragraph (a) makes it clear that the same principles that govern the construction of statutes are applicable to the rules.
Paragraph (b) defines terms that appear frequently in the rules. Like article VI of the Illinois Constitution the rules use the single word "judgment," instead of "judgment, decree," etc.
Subparagraph (b)(1) was amended in 1971 to delete the reference to "magistrate," consistent with the abolition of the office of magistrate by the Illinois Constitution of 1970.
(a) Purpose and Applicability.
(1) These procedures are adopted to provide for the orderly and timely review of proposed rules and proposed amendments to existing rules of the Supreme Court; to provide an opportunity for comments and suggestions by the public, the bench, and the bar; to aid the Supreme Court in discharging its rulemaking responsibilities; to make a public record of all such proposals; and to provide for public access to an annual report concerning such proposals.
(2) The Supreme Court reserves the prerogative of departing from the procedures of this rule. An order of the Supreme Court adopting any rule or amendment shall constitute an order modifying these procedures to the extent, if any, they have not been complied with in respect to that proposal.
(b) Supreme Court Rules Committee. There shall be a Rules Committee which shall be appointed by the Supreme Court. The Administrative Office of the Illinois Courts shall serve as secretary of the Rules Committee. The Rules Committee shall have the following responsibilities:
(1) To implement rulemaking procedures, as provided in paragraph (d) of this rule, for proposed rules or amendments to existing rules received from the Administrative Office.
(2) To periodically review rules in areas which no other committee is specifically charged with the responsibility for reviewing to ensure that such rules facilitate the administration of justice.
(3) To conduct public hearings and submit the annual report as required by administrative order of the Supreme Court. The annual report shall be a public record.
(b) (c) Initiation of Proposal and Applicability.
(1) Proposed rules and proposed amendments to existing rules of the Supreme Court, and subsequent inquiries or correspondence regarding such proposals, should be forwarded to the Illinois Supreme Court Rules Committee Administrative Office of the Illinois Courts, c/o Secretary–Supreme Court Rules Committee, 222 N. LaSalle Street, 13th Floor, Chicago, Illinois 60601. All proposals shall offer specific language for the proposed rule or amendment, as well as a concise explanation of the proposal.
(2) The Supreme Court reserves the prerogative of departing from the procedures of this rule. An order of the Supreme Court adopting any rule or amendment shall constitute an order modifying these procedures to the extent, if any, they have not been complied with in respect to that proposal.
(c) (d) Responsibilities of Rules Committee Procedures for Proposed Rules and Rule Amendments. There shall be a Rules Committee which shall be appointed by the Supreme Court. The Administrative Office of the Illinois Courts shall serve as secretary of the Rules Committee. The Rules Committee shall have the following responsibilities:
(1) To receive from the Supreme Court, Judicial Conference committees, Supreme Court committees, the bench, the bar, and the public proposed rules or amendments to existing rules.
(A) If a proposed rule or an amendment to an existing rule is submitted by the Supreme Court, a judge, lawyer, or member of the public and the subject of the proposal is within the scope of a Supreme Court committee or a Judicial Conference committee, the Rules Committee shall forward the proposal to the appropriate committee of the Supreme Court or Judicial Conference for review and recommendation.
(1) If the substance of a proposal received under paragraph (c) of this rule is within the scope of a Supreme Court committee or Judicial Conference committee, the Administrative Office shall forward the proposal to the appropriate committee for review and recommendation.
The Administrative Office also shall forward a copy of the proposal to the Rules Committee, along with notice of the Supreme Court or Judicial Conference committee to which the proposal has been forwarded.
The Rules Committee shall also forward a copy of the proposal to the Clerk of the Supreme Court where it will be given a number and placed upon the docket of the Clerk of the Supreme Court.
The committee to which the proposal has been forwarded shall review the proposal for content and style. Within 12 months of the transmission of the proposal from the Rules Committee Administrative Office, the committee to which the proposal has been forwarded shall report to advise the Rules Committee Administrative Office whether the proposal is recommended for adoption by the Supreme Court. If the proposal is recommended for adoption, the Rules Committee shall place the proposal on the agenda for the annual next public hearing. In its annual report to the Supreme Court, the Rules Committee shall report the docket number, the content of the proposal, any report submitted by the Supreme Court committee or Judicial Conference committee (including a minority report), the response to the proposal, any comments or revisions submitted by the Supreme Court committee or Judicial Conference committee, the Rules Committee's recommendation, and any alternative proposal the Rules Committee developed in response to public comment.
If the committee to which the proposal has been forwarded does not recommend the proposal for adoption by the Supreme Court, the Rules Committee shall not place the proposal on the agenda for the public hearing, but shall report the nonrecommended status to the Clerk of the Supreme Court and the Supreme Court in its annual report.
(B) (2) If a proposed rule or an amendment to an existing rule is submitted by the Supreme Court, a judge, a lawyer, or a member of the public and the proposal the substance of a proposal received under paragraph (c) is in an area where no other committee is specifically charged with responsibility, the Administrative Office shall forward the proposal to the Rules Committee shall for review the proposal for of content and style.
If the proposal submitted has substantial merit, is not duplicative, and is within the Supreme Court's rulemaking authority, the Rules Committee shall forward the proposal to the Clerk of the Supreme Court where the Clerk of the Supreme Court shall give the proposal a number and place the proposal on the docket of the Clerk of the Supreme Court. The Rules Committee shall forward a copy of the proposal to the Clerk of the Supreme Court where it will be given a number and placed upon the docket of the Clerk of the Supreme Court. If, after review, the Rules Committee determines that the proposal is recommended for adoption by the Supreme Court, the Rules Committee shall place the proposal on the agenda for the annual next public hearing. In its annual report to the Supreme Court, the Rules Committee shall report the docket number, the content of the proposal, the response to the proposal, the Rules Committee's recommendation, and any alternative proposal the Rules Committee developed in response to public comment.
If the proposal submitted does not have substantial merit, is duplicative of pending proposals, or is not within the Supreme Court's rulemaking authority, the Rules Committee shall forward the proposal to the Clerk of the Supreme Court to be retained by the Clerk in a file entitled “Nondocketed Rules Proposals.” The Rules Committee shall not place these nondocketed rules the proposals on the agenda for the annual public hearing. However, the Rules Committee shall report on nondocketed rules the proposals as not recommended in its annual report to the Supreme Court.
(C) (3) If a proposed rule or an amendment to an existing rule is submitted under paragraph (c) by a Supreme Court committee or a Judicial Conference committee, the Rules Committee shall forward the proposal to the Clerk of the Supreme Court for docketing. The Clerk of the Supreme Court shall give the proposal a number and place it on the docket of the Clerk of the Supreme Court the Administrative Office shall forward the proposal to the Rules Committee. The Rules Committee shall forward a copy of the proposal to the Clerk of the Supreme Court where it will be given a number and placed upon the docket of the Clerk of the Supreme Court. The Rules Committee shall not review the proposal.
The Rules Committee shall place the proposal on the agenda for the annual next public hearing. In its annual report to the Supreme Court, the Rules Committee shall report the docket number, the content of the proposal, any report submitted by the Supreme Court committee or Judicial Conference committee (including a minority report), the response to the proposal, any comments or revisions submitted by the Supreme Court committee or Judicial Conference committee, the Rules Committee's recommendation, and any alternative proposal the Rules Committee developed in response to public comment.
(2) To periodically review rules in areas which no other committee is specifically charged with the responsibility for reviewing to ensure that such rules facilitate the administration of justice.
(3) To conduct an annual public hearing and submit the annual report as required by administrative order of the Supreme Court. The annual report shall be a public record.
(d) (e) Responsibilities of Other Committees. Each committee appointed by the Supreme Court, other than the Rules Committee, shall have the following responsibilities:
(1) To periodically review the entire body of rules for which the Supreme Court has indicated the committee is responsible to ensure that those rules continue to facilitate the administration of justice.
(2) To review proposed amendments to existing rules or proposals for new rules transmitted to it the committee from the Rules Committee pursuant to Rule 3(c)(1)(A) pursuant to paragraph (c) of this rule. Within 12 months of the transmission of the proposal from the Rules Committee Administrative Office, the committee shall report to advise the Rules Committee Administrative Office whether the proposal is recommended or not recommended for adoption by the Supreme Court.
If the committee determines that a proposal that has been forwarded to it by the Rules Committee Administrative Office should be adopted, it shall so inform the Rules Committee Administrative Office and provide the Rules Committee Administrative Office with the original proposal and a statement of the committee's reasoning. The Rules Committee shall place proposals recommended for adoption on the agenda for the annual public hearing and report on such proposals in its annual report to the Supreme Court.
If the committee determines that a proposal that has been forwarded to it by the Rules Committee Administrative Office should not be adopted, it shall so inform the Rules Committee Administrative Office and provide the Rules Committee Administrative Office with the original proposal and a statement of the committee's reasoning. The Rules Committee shall not place proposals not recommended on the agenda for the annual public hearing but shall report the decision to the Supreme Court in its annual report.
(3) To designate such members of the committee as the committee considers necessary to represent the committee at any annual public meeting where a proposal that the committee recommends is scheduled to be held out for public comment. To designate the committee chair, or another member, to represent the committee at any Rules Committee public hearing where a proposal recommended by the committee is scheduled to be held out for public comment. The committee chair, or his or her designee, may sit with the Rules Committee for purposes of answering questions or addressing testimony from individuals offering public comment on the committee’s proposal.
(4) Nothing in this rule shall preclude a Supreme Court or Judicial Conference committee from holding a public hearing independently of the Rules Committee, with prior approval of the Supreme Court.
(e) (f) Submissions Other Than Annual Report. When the Rules Committee makes a submission of a proposed rule or amendment separate from its annual report, the committee shall, to the degree practicable, comply with the content requirements of the Supreme Court's administrative order concerning notice and hearing and shall accompany the submission with a statement of:
(1) its reasons for believing that the Court should take action on its proposal prior to the time for action on the next annual submission, and
(2) describe the steps taken by the committee to comply with the Supreme Court's administrative order regarding public notice, opportunity for comment, and public hearing.
(f) (g) Distribution of New Rules or Amendments. Following the adoption of new rules or amendments, the Clerk of the Supreme Court shall promptly cause copies thereof to be distributed.
(g) (h) Effective Date of Rule Changes. The effective date of all new rules or amendments shall be as ordered by the Supreme Court. If an effective date is not ordered, the new rule or amendment shall take effect on the following July 1.
Adopted September 28, 1994, effective October 1, 1994; amended December 3, 1997, effective January 1, 1998; amended October 5, 2000, effective November 1, 2000; amended May 24, 2006, effective immediately; amended March 22, 2010, effective immediately.
ADMINISTRATIVE ORDER
MR No. 10549
(a) Annual Public Meetings
(1) Except as otherwise provided in Rule 3, no rule shall be presented to the Court for adoption without first having been held out for public comment by the bench, bar and public at an annual public meeting of the Rules Committee. which shall be held on the fourth Monday in January.
(2) All proposals for which the Rules Committee has completed its style and content review and those proposals submitted to the Rules Committee by other Supreme Court committees and Judicial Conference committees recommended for adoption by the Supreme Court on or before the last Friday in October shall be considered at the next annual public meeting. Any proposal on which the Rules Committee has not completed its content review or any proposal which a Supreme Court committee or Judicial Conference committee has not forwarded to the Rules Committee for placement on the annual public meeting agenda before the last Friday in October will not be considered at the next annual public meeting.
(3) On or before the second Monday in November A public hearing may be scheduled when either the significance of a particular proposal or the number of proposals ready for public comment would justify holding such a hearing. At least 60 days prior to the date designated for the public hearing, the Rules Committee shall cause notice of the annual public meeting, along with copies of the proposed rules or amendments, the docket number of each proposal and an invitation for comments to be distributed as follows:
(i) one copy to each judge;
(ii) one copy to each clerk of the court to be posted in a conspicuous place;
(iii) copies to such publications as deemed appropriate;
(iv) copies to the President of the Senate, Speaker of the House and chairpersons of the Senate and House judiciary committees;
(v) copies to any bar association or other interested organization which requests, in writing, to be placed on the mailing list;
(vi) copies to such other persons and places as the Chief Justice may direct.
by the most economical means, including notification through the Illinois Court’s electronic messaging services, such as list mail or Twitter broadcasts. Additionally, a hard copy of the notice shall be mailed to each clerk of the court to be posted in a conspicuous place. The text of the proposed rules or amendments shall be posted on the Court’s Web site, with hard copies available by request from the Administrative Office of the Illinois Courts.
(4) Each committee of the Supreme Court may within 21 days following the annual public meeting respond to public comments received at the meeting by submitting to the Rules Committee:
(i) any revision to a proposal that was recommended by the committee, or
(ii) responsive comments of the committee.
(5) A committee of the Judicial Conference may within 21 days following the annual public meeting respond to public comments received at the meeting in the following manner. The committee may submit to the Conference (or the Executive Committee acting in its stead) for approval any revision to a proposal that was recommended by the committee or any responsive comment. The revised rule or response to public comments shall be included in the annual report on proposed rules and amendments unless the Conference instructs otherwise within 21 days of its receipt of the submission.
(b) Annual Report on Proposed Rules and Amendments
(1) Within 30 days after it has received all responses and comments from the relevant committees of the Supreme Court or the Judicial Conference, t The Rules Committee shall submit its annual report on rules to the Chief Justice and file it with the Clerk of the Supreme Court.
(2) The report shall include for each proposal: the docket number, the content of the proposal, any report submitted by the Supreme Court committee or Judicial Conference committee (if applicable) including any minority report, the response to the proposal, any comments or revisions submitted by the Supreme Court committee or Judicial Conference committee (if applicable), the Rules Committee's recommendation, and any alternative proposal the Rules Committee developed in response to public comment.
(3) The annual report shall be a public record.
(4) Whenever a lengthy rule or amendment is recommended, the Rules Committee shall prepare and submit a summary thereof for distribution. Whenever the Administrative Office distributes such a summary, the Office shall make provision for supplying the full text of the recommended rule or amendment to any interested person upon reasonable request.
Adopted September 28, 1994, effective October 1, 1994; amended December 3, 1997, effective January 1, 1998; amended October 5, 2000, effective November 1, 2000; amended March 22, 2010, effective immediately.
Rules 4-5. Reserved
Rule 6. Citations
Citations of cases must be by title, to the page of the volume where the case begins, and to the pages upon which the pertinent matter appears in at least one of the reporters cited. It is not sufficient to use only supra or infra. Citation of Illinois cases filed prior to July 1, 2011, and published in the Illinois Official Reports shall be to the oOfficial rReports, but the citation to the North Eastern Reporter and/or the Illinois Decisions may be added. For Illinois cases filed on or after July 1, 2011, and for any case not published in the Illinois Official Reports prior to that date and for which a public-domain citation has been assigned, the public-domain citation shall be given and, where appropriate, pinpoint citations to paragraph numbers shall be given; a citation to the North Eastern Reporter and/or the Illinois Decisions may be added but is not required. Quotations may be cited from either the official reports or the North Eastern Reporter or the Illinois Decisions. Citation of cases from other jurisdictions that do not utilize a public-domain citation shall include the date and may be to either the official Sstate reports or the National Reporter System, or both. If only the National Reporter System citation is used, the court rendering the decision shall also be identified. For other jurisdictions that have adopted a public-domain system of citation, that citation shall be given along with, where appropriate, pinpoint citations to paragraph numbers; a parallel citation to an additional case reporter may be given but is not required. Textbook citations shall include the date of publication and the edition. Illinois statutes shall generally be cited to the Illinois Compiled Statutes (ILCS) but citations to the session laws of Illinois or to the Illinois Revised Statutes shall be made when appropriate. Prior to January 1, 1997, statutory citations may shall be made to the Illinois Revised Statutes shall be given where appropriate instead of or in addition to the Illinois Compiled Statutes.
Adopted January 20, 1993, effective immediately; amended May 31, 2011, effective July 1, 2011.
Commentary
(May 31, 2011)
Background
The system of case citation that has historically prevailed in the United States relies upon the elements of printed case reporters, that is, volume number, case name, beginning and pinpoint page numbers, and year of filing. In Illinois, citations have been made to our state’s official reporters (Illinois Reports and Illinois Appellate Reports), with parallel citations to the appropriate West regional reporter (North East Reporter and/or Illinois Decisions) also allowed. But reliance upon printed reports for access to the courts’ opinions has diminished with the rise of electronic databases, such as those found on the Court’s own Internet website, Westlaw and Lexis-Nexis, and various CD-ROMs. In this state, the Illinois Supreme and Appellate Courts’ opinions have been made available on the judiciary’s website since 1996. However, the requirement that case citations be made to printed reporters has prevented direct citation of those opinions, even though they are now widely available on various electronic databases.
To remedy this situation, the Illinois Supreme Court has amended Supreme Court Rule 23, and has entered an administrative order in relation to Rule 23, to direct Illinois reviewing courts to assign, at the time of filing, public-domain case designator numbers (e.g., “2011 IL 102345”) , as well as internal paragraph numbers, to all opinions and Rule 23 orders filed after July 1, 2011. Further, any opinions that were filed prior to July 1, 2011, but not released for publication until a later date will be assigned a public-domain case designator number and internal paragraph numbers by the Reporter of Decisions. All opinions that have been assigned public-domain case designators and paragraph numbers will be posted to the Illinois judiciary’s website.
Additionally, Rule 6 has been amended to require the use of public-domain case citations for all Illinois reviewing court opinions filed or released for publication after July 1, 2011. The amendments to Rules 6 and 23 will thus introduce a new system of case citations to Illinois law based directly on the decisions of the courts. It should be noted, though, that while amended Rule 6 requires a citation to the courts’ public-domain numbering and paragraphing scheme in lieu of an Illinois Official Reports citation, the rule continues to allow citations to the unofficial regional reporters.
Citations
A public-domain case designators is unique to each opinion and is comprised of the year of decision, the court abbreviation, and a unique identifier number derived from the docket number. A public-domain citation shall include the designator preceded by the case title and will be in accord with the following examples:
Supreme Court
People v. Doe, 2011 IL 102345
Appellate Court Districts
People v. Doe, 2011 IL App (1st) 101234
People v. Doe, 2011 IL App (2d) 101234
People v. Doe, 2011 IL App (3d) 101234
People v. Doe, 2011 IL App (4th) 101234
People v. Doe, 2011 IL App (5th) 101234
Appellate Court Workers’ Compensation Division
Doe v. Illinois Workers’ Compensation Comm’n, 2011 IL App (1st) 101234WC
In the above, a citation to People v. Doe, 2011 IL 102345, shows People v. Doe as the case name; 2011 as the year of decision; the Illinois Supreme Court as the court of decision; and 102345 as the court-assigned identifier number, which, in the Supreme Court, is the docket number and, in the Appellate Court, is the last six digits of the docket number.
Where a subsequent opinion is filed under the same docket number, such as upon reconsideration of the cause after remand, a sequential capital letter will be appended to the unique-identifier number, regardless of the year-designation portion of the citation:
People v. Doe, 2011 IL App (1st) 101236
People v. Doe, 2012 IL App (1st) 101236-B
Orders filed under Illinois Supreme Court Rule 23 will have the letter “U” appended to the unique-identifier number:
People v. Roe, 2011 IL App (5th) 101237-U
Additionally, Illinois reviewing court opinions will include internally numbered paragraphs. Where a pinpoint citation to an opinion is appropriate, the citation shall include the public-domain citation followed by the pinpoint paragraph or paragraphs of the opinion. E.g.:
People v. Doe, 2011 IL App (1st) 101234, ¶ 15
People v. Doe, 2011 IL App (1st) 101234, ¶¶ 21-23
People v. Doe, 2011 IL App (1st) 101234, ¶¶ 57, 68
For those opinions filed prior to July 1, 2011, but not released by the filing court for publication until after that date, the Reporter of Decisions office will add internal paragraph numbers, as well as the public-domain designator numbers.
Rule 10. Size of Papers Documents Filed in the Illinois Courts
Except as otherwise provided in these rules, all papers documents filed in all courts of this State shall be 8½ inches by 11 inches. The court encourages use of recycled paper if the filing is in paper form.
Adopted January 5, 1981, effective January 1, 1982; amended June 25, 1990, effective July 1, 1990; amended Oct. 24, 2012, effective Jan. 1, 2013.
Committee Comments
Rule 10 was added in 1981.
Rule 11. Manner of Serving Documents Other Than Process and Complaint on Parties Not in Default in the Trial and Reviewing Courts
(a) On Whom Made. If a party is represented by an attorney of record, service shall be made upon the attorney. Otherwise service shall be made upon the party.
(b) Method. Documents shall be served as follows:
(1) by delivering them to the attorney or party personally;
(2) by leaving them in the office of the attorney with the attorney’s clerk, or with a person in charge of the office; or if a party is not represented by counsel, by leaving them at the party’s residence with a family member of the age of 13 years or upwards;
(3) by depositing them in a United States post office or post office box, enclosed in an envelope, plainly addressed to the attorney at the attorney’s business address, or to the party at the party’s business address or residence, with postage fully prepaid; or
(4) by delivering them to a third-party commercial carrier—including deposit in the carrier’s pick-up box or drop off with the carrier’s designated contractor—enclosed in a package, plainly addressed to the attorney at the attorney’s business address, or to the party at the party’s business address or residence, with delivery charge fully prepaid; or
(5) by transmitting them via facsimile machine to the office of the attorney or party, who has consented to receiving service by facsimile transmission. Briefs filed in reviewing courts shall not be served by facsimile transmission.
(i) A party or attorney electing to serve pleadings by facsimile must include on the certificate of service transmitted the telephone number of the sender's facsimile transmitting device. Use of service by facsimile shall be deemed consent by that party or attorney to receive service by facsimile transmission. Any party may rescind consent of service by facsimile transmission in a case by filing with the court and serving a notice on all parties or their attorneys who have filed appearances that facsimile service will not be accepted. A party or attorney who has rescinded consent to service by facsimile transmission in a case may not serve another party or attorney by facsimile transmission in that case.
(ii) Each page of notices and documents transmitted by facsimile pursuant to this rule should bear the circuit court number, the title of the document, and the page number.
(6) by transmitting them via e-mail to the designated e-mail address of record for the attorney or party if the attorney or party consented to e-mail service. The listing of a designated e-mail address on documents or the use of e-mail service shall be deemed consent by that party or attorney to receive e-mail service. Any party may rescind consent of e-mail service in a case by serving a notice on all parties or the attorneys of record. A party or attorney who has rescinded consent to e-mail service in a case may not serve another party or attorney by e-mail in that case; or
(7) by transmission through a service provider that provides an electronic in-box for those parties registered to use the service.
(c) Multiple Parties or Attorneys. In cases in which there are two or more plaintiffs or defendants who appear by different attorneys, service of all documents shall be made on the attorney for each of the parties. If one attorney appears for several parties, that attorney is entitled to only one copy of any document served upon the attorney by the opposite side. When more than one attorney appears for a party, service of a copy upon one of them is sufficient.
(d) Mandatory E-Mail Service. The use of e-mail service is mandatory if a local circuit adopts mandatory e-filing pursuant to Illinois Supreme Court Electronic Filing Standards.
(e) Limited Scope Appearance. After an attorney files a Notice of Limited Scope Appearance in accordance with Rule 13(c)(6), service of all documents shall be made on both the attorney and the party represented on a limited scope basis until: (1) the court enters an order allowing the attorney to withdraw under Rule 13(c) or (2) the attorney’s representation automatically terminates under Rule 13(c)(7)(ii).
Amended April 8, 1980, effective May 15, 1980; amended April 10, 1987, effective
August 1, 1987; amended October 30, 1992, effective November 15, 1992; amended
December 29, 2009, effective immediately; amended Oct. 24, 2012, effective Jan. 1,
2013; amended Dec. 21, 2012, eff. Jan. 1, 2013; amended June 14, 2013, eff. July 1,
2013.
Committee Comment
(December 21, 2012)
New subparagraphs (b)(6) and (7) were created to allow for service of documents electronically. The amendments facilitate electronic communications among the court, parties, and counsel and complement the expansion of e-filing in the trial courts. However, electronic service may not be appropriate in all instances. For example, absent a secure method for electronic service of documents, other service options should be used for cases or documents filed confidentially.
Committee Comments
(December 29, 2009)
The rules on service and filing have been revised to provide for sending documents via third-party commercial carrier. Under these rules, the term “delivery” refers to all the carrier’s standard pick-up methods, such as dropping a package in a UPS or FedEx box or with a UPS or FedEx contractor.
Rule 12. Proof of Service in the Trial and Reviewing Courts; Effective Date
of Service
(a) Filing. When service of a paper document is required, proof of service shall be filed with the clerk.
(b) Manner of Proof. Service is proved:
(1) by written acknowledgment signed by the person served;
(2) in case of service by personal delivery, by certificate of the attorney, or affidavit of a person, other than an attorney, who made delivery;
(3) in case of service by mail or by delivery to a third-party commercial carrier, by certificate of the attorney, or affidavit of a person other than the attorney, who deposited the paper document in the mail or delivered the paper document to a third-party commercial carrier, stating the time and place of mailing or delivery, the complete address which appeared on the envelope or package, and the fact that proper postage or the delivery charge was prepaid; or
(4) in case of service by facsimile transmission, by certificate of the attorney or affidavit of a person other than the attorney, who transmitted the paper document via facsimile machine, stating the time and place of transmission, the telephone number to which the transmission was sent, and the number of pages transmitted.
(5) in case of service by e-mail, by certificate of the attorney or affidavit of a person other than the attorney who transmitted the document via e-mail, stating the time and place of transmission to a designated e-mail address of record.
(c) Effective Date of Service by Mail. Service by mail is complete four days after mailing.
(d) Effective Date of Service by Delivery to Third-Party Commercial Carrier. Service by delivery to a third-party commercial carrier is complete on the third business day after delivery of the package to the third-party carrier.
(e) Effective Date of Service by Facsimile Transmission. Service by facsimile machine is complete on the first court day following transmission.
(f) Effective Date of Service by E-mail. Service by e-mail is complete on the first court day following transmission.
Amended effective July 1, 1971, and July 1, 1975; amended October 30, 1992, effective November 15, 1992; amended December 29, 2009, effective immediately; amended Dec. 21, 2012, eff. Jan. 1, 2013; amended Jan. 4, 2013, eff. immediately.
Committee Comments
(December 29, 2009)
The rules on service and filing have been revised to provide for sending documents via third-party commercial carrier. Under these rules, the term “delivery” refers to all the carrier’s standard pick-up methods, such as dropping a package in a UPS or FedEx box or with a UPS or FedEx contractor.
Rule 13. Appearances--Time to Plead--Withdrawal
(a) Written Appearances. If a written appearance, general or special, is filed, copies of the appearance shall be served in the manner required for the service of copies of pleadings.
(b) Time to Plead. A party who appears without having been served with summons is required to plead within the same time as if served with summons on the day he appears.
(c) Appearance and Withdrawal of Attorneys.
(1) Addressing the Court. An attorney shall file his written appearance or other pleading before he addresses the court unless he is presenting a motion for leave to appear by intervention or otherwise.
(2) Notice of Withdrawal. An attorney may not withdraw his appearance for a party without leave of court and notice to all parties of record, and, unless another attorney is substituted, he must give reasonable notice of the time and place of the presentation of the motion for leave to withdraw, by personal service, certified mail, or a third-party carrier, directed to the party represented by him at his last known business or residence address. Such notice shall advise said party that to insure notice of any action in said cause, he should retain other counsel therein or file with the clerk of the court, within 21 days after entry of the order of withdrawal, his supplementary appearance stating therein an address at which service of notices or other documents may be had upon him.
(3) Motion to Withdraw. The motion for leave to withdraw shall be in writing and, unless another attorney is substituted shall state the last known address of the party represented. The motion may be denied by the court if the granting of it would delay the trial of the case, or would otherwise be inequitable.
(4) Copy to be Served on Party. If the party does not appear at the time the motion for withdrawal is granted, either in person or by substitute counsel, then, within three days of the entry of the order of withdrawal, a copy thereof shall be served upon the party by the withdrawing attorney in the manner provided in paragraph (c)(2) of this rule, and proof of service shall be made and filed.
(5) Supplemental Appearance. Unless another attorney is, at the time of such withdrawal, substituted for the one withdrawing, the party shall file in the case within 21 days after entry of the order of withdrawal a supplementary appearance, stating therein an address at which the service of notices or other documents may be had upon him. In case of his failure to file such supplementary appearance, notice, if by mail or by third-party carrier, shall be directed to him at his last known business or residence address.
(6) Limited Scope Appearance. An attorney may make a limited scope appearance on behalf of a party in a civil proceeding pursuant to Rule of Professional Conduct 1.2(c) when the attorney has entered into a written agreement with that party to provide limited scope representation. The attorney shall file a Notice of Limited Scope Appearance in the form attached to this rule, identifying each aspect of the proceeding to which the limited scope appearance pertains.
An attorney may file a Notice of Limited Scope Appearance more than once in a case. An attorney must file a new Notice of Limited Scope Appearance before any additional aspect of the proceeding in which the attorney intends to appear. A party shall not be required to pay more than one appearance fee in a case.
(7) Withdrawal Following Completion of Limited Scope Representation. Upon completing the representation specified in the Notice of Limited Scope Appearance filed pursuant to paragraph (6), the attorney shall withdraw by oral motion or written notice as provided in parts (i)-(ii) of this paragraph. A withdrawal for any reason other than completion of the representation shall be requested by motion under paragraphs (c)(2) and (c)(3).
(i) If the attorney completes the representation at or before a court hearing attended by the party the attorney represents, the attorney may make an oral motion for withdrawal without prior notice to the party the attorney represents or to other parties. The court must grant the motion unless the party objects on the ground that the attorney has not completed the representation. The order granting the withdrawal may require the attorney to give written notice of the order to parties who were neither present nor represented at the hearing. If the party objects that the attorney has not completed the representation, the court must hold an evidentiary hearing on the objection, either immediately or on a specified later date. After hearing the evidence, the court must grant the motion to withdraw unless the court expressly finds that the attorney has not completed the representation specified in the Notice of Limited Scope Appearance.
(ii) An attorney also may withdraw by filing a Notice of Withdrawal of Limited Scope Appearance in the form attached to this rule. The attorney must serve the Notice on the party the attorney represents and must also serve it on other counsel of record and other parties not represented by counsel, unless the court by order excuses service on other counsel and other parties. The attorney must also serve the Notice on the judge then presiding over the case. The attorney must file proof of service in compliance with this paragraph. Within 21 days after the service of the Notice, the party may file an Objection to Withdrawal of Limited Scope Appearance in the form attached to this rule. The party must serve the Objection on the attorney and must also serve it on other counsel of record and other parties not represented by counsel unless the court by order excuses service on other counsel and other parties. If no timely Objection is filed, the attorney’s limited scope appearance automatically terminates, without entry of a court order when the 21-day period expires. If a timely Objection is filed, however, the attorney must notice a hearing on the Objection. If the ground for the Objection is that the attorney has not completed the representation specified in the Notice of Limited Scope Appearance, the court must hold an evidentiary hearing. After the requisite hearing, the court must enter an order allowing the attorney to withdraw unless the court expressly finds that the attorney has not completed the representation specified in the Notice of Limited Scope Appearance.
Adopted June 15, 1982, effective July 1, 1982; amended February 16, 2011, effective immediately; amended Jan. 4, 2013, eff. immediately; amended June 14, 2013, eff. July 1, 2013.
Committee Comments
(rev. June 14, 2013)
Rule 13 was added in 1982. It was patterned after Proposed Uniform Circuit Court Rule III, which was prepared by a special committee of the Illinois State Bar Association and approved by the ISBA Board of Governors on June 22, 1976. Under paragraph (c) of this rule, an attorney’s written appearance on behalf of a client before any court in this State binds the attorney to continue to represent that client in that cause until the court, after notice and motion, grants leave for the attorney to withdraw. (See Code of Professional Responsibility, Rules 2-110, 5-102 and 5-105 Rule of Professional Conduct 1.16(c).) This is true whether a final judgment has been entered in the cause or the contract of employment has been carried out. See Rule 7-101(a)(2).
Committee Comments
(June 14, 2013)
Paragraph (c)(6) addresses the provision of limited scope representation to clients under Rule of Professional Conduct 1.2(c). The paragraph is not intended to regulate or impede appearances made pursuant to other types of limited engagements by attorneys, who may appear and withdraw as otherwise provided by Rule 13.
An attorney making a limited scope appearance in a civil proceeding must first enter into a written agreement with the party disclosing the limited nature of the representation. The limited appearance is then effected by using the form Notice of Limited Scope Appearance appended to this Rule. Utilizing this standardized form promotes consistency in the filing of limited scope appearances, makes the notices easily recognizable to judges and court personnel, and helps ensure that the scope of the representation is identified with specificity.
A party on whose behalf an attorney has filed a Notice of Limited Scope Appearance remains responsible, either personally or through an attorney who represents the party, for all matters not specifically identified in the Notice of Limited Scope Appearance.
Paragraph (c)(6) does not restrict (1) the number of limited scope appearances an attorney may make in a case, (2) the aspects of the case for which an attorney may file a limited scope appearance such as, for example, specified court proceedings, depositions, or settlement negotiations, or (3) the purposes for which an attorney may file a limited scope appearance. Notwithstanding the absence of numeric or subject matter restrictions on filing limited scope appearances, nothing in the Rule restricts the ability of a court to manage the cases before it, including taking appropriate action in response to client or lawyer abuse of the limited scope representation procedures.
Paragraph (c)(7) provides two alternative ways for an attorney to withdraw when the representation specified in the Notice of Limited Scope Appearance has been completed. The first method—an oral motion—can be used whenever the representation is completed at or before a hearing attended by the party the attorney represents. Prior notice of such a hearing is not required. The attorney should use this method whenever possible, because its use ensures that withdrawal occurs as soon as possible and that the court knows of the withdrawal.
The second method—filing a Notice of Withdrawal of Limited Scope Appearance—enables the attorney to withdraw easily in other situations, without having to make a court appearance, except when there is a genuine dispute about the attorney’s completion of the representation. The Notice must be served on the party represented and on other counsel of record and other parties not represented by counsel unless the court excuses service on other counsel of record and other parties not represented by counsel. The Notice must also be served on the judge then presiding over the case to ensure that the judge is made aware that the limited scope representation has been completed, subject to the client’s right to object. The attorney’s withdrawal is automatic, without entry of a court order, unless the client files a timely Objection to Withdrawal of Limited Scope Appearance.
If the attorney makes an oral motion to withdraw pursuant to paragraph (c)(7)(i), with or without client objection, or if the client files a timely Objection to Withdrawal of Limited Scope Appearance pursuant to paragraph (c)(7)(ii), the court must allow the attorney to withdraw unless the court expressly finds that the attorney has not completed the representation specified in the Notice of Limited Scope Appearance. An evidentiary hearing is required if the client objects to the attorney’s withdrawal based on the attorney’s failure to complete the representation. A nonevidentiary hearing is required if the client objects on a ground other than the attorney’s failure to complete the representation, although the primary function of such a hearing is to explain to the client that such an objection is not well-founded. A court’s refusal to permit withdrawal of a completed limited scope representation, or even its encouragement of the attorney to extend the representation, would disserve the interests of justice by discouraging attorneys from undertaking limited scope representations out of concern that agreements with clients for such representations would not be enforced.
A limited scope appearance under the rule is unrelated to “special and limited” appearances formerly used to object to the lack of personal jurisdiction. The use of such appearances ended with the adoption of Public Act 91-145, which amended section 2-301 of the Code of Civil Procedure (735 ILCS 5/2-301) effective January 1, 2000.
Form for Limited Scope Appearance in Civil Action
IN THE CIRCUIT COURT OF THE _______________ JUDICIAL CIRCUIT
______________ COUNTY, ILLINOIS
(OR, IN THE CIRCUIT COURT OF COOK COUNTY, ILLINOIS)
| ______________________________ | ) | |
| Plaintiff/Petitioner | ) | |
| ) | ||
| v. | ) | No. |
| ) | ||
| ) | ||
| ______________________________ | ) | |
| Defendant/Respondent | ) |
NOTICE OF LIMITED SCOPE APPEARANCE
1. The attorney, ___________________________________________________________________________, and the Party,
_________________________________________________________________ , have entered into a written agreement dated
_________________________________________________________________ providing that the attorney will provide limited
scope representation to the Party in the above-captioned matter in accordance
with Paragraphs 3 and 4, below.
2. The Party is Plaintiff Petitioner Defendant Respondent in this matter. (Circle one)
3. The attorney appears pursuant to Supreme Court Rule 13(c)(6). This appearance is limited in scope to the following matter(s) in which the attorney will represent the Party (check and complete all that apply):
□ In the court proceeding (identify) on the following date: ______________________
□ And in any continuance of that proceeding
□ At the trial on the following date: ____________________
□ And in any continuance of that trial
□ And until judgment
□ At the following deposition(s): _____________________________________
□ If a family law matter, specify the scope and limits of representation:
_____________________________________________________________
□ Other (specify the scope and limits of representation):
_____________________________________________________________
4. If this appearance does not extend to all matters to be considered at the
proceeding(s) above, identify the discrete issues within each proceeding covered
by this appearance: _________________________________________________________________
____________________________________________________________________________________________________
5. The attorney may withdraw following completion of the limited scope representation specified in this appearance as follows:
a. orally move to withdraw at a hearing attended by the Party, at which the Party may object to withdrawal if the Party contends that the limited scope representation specified in this appearance has not been completed; or
b. file a Notice of Withdrawal of Limited Scope Representation in the form attached to Supreme Court Rule 13. If the attorney files such a Notice, the attorney shall serve it upon the Party and upon all counsel of record and other parties not represented by counsel unless the court excuses service upon other counsel and other unrepresented parties, and upon the judge then presiding over this case. The method of service shall be as provided in Supreme Court Rule 11 unless the court orders otherwise. If the Party objects to the withdrawal, the Party may, within 21 days after the date of the attorney’s service of the Notice of Withdrawal of Limited Scope Appearance, file an Objection to Withdrawal of Limited Scope Appearance in the form attached to Supreme Court Rule 13. The attorney will provide a copy of the form of Objection to the Party with the attorney’s Notice, including instructions for filing and service of an Objection. If the Party timely serves an Objection, the attorney shall notice the matter for hearing to rule on the Objection.
6. Service of pleadings on the attorney and party named above shall be made in accordance with Supreme Court Rule 11(e).
7. By signing below, the Party being represented under this Limited Scope Appearance:
a. agrees to the delivery of all court papers to the addresses specified below; and
b. agrees to inform the court, all counsel of record, and all parties not represented by counsel of any changes to the Party’s address information listed below during the limited scope representation.
____________________________ _______________________________
Signature of Attorney Name of Attorney
____________________________ _______________________________
Attorney’s Address Attorney’s Telephone Number
____________________________ _______________________________
Attorney’s E-Mail Address Attorney Number
____________________________ _______________________________
Signature of Party Name of Party
____________________________ _______________________________
Party’s Address Party’s Telephone Number
____________________________
Party’s E-Mail Address
_____________________________
Date
Form for Notice of Withdrawal of Limited Scope Appearance
IN THE CIRCUIT COURT OF THE _______________ JUDICIAL CIRCUIT
______________ COUNTY, ILLINOIS
(OR, IN THE CIRCUIT COURT OF COOK COUNTY, ILLINOIS)
| ___________________________________________ | ) | |
| Plaintiff/Petitioner | ) | |
| ) | ||
| v. | ) | No. |
| ) | ||
| ) | ||
| __________________________________________ | ) | |
| Defendant/Respondent | ) |
NOTICE OF WITHDRAWAL OF LIMITED SCOPE APPEARANCE
I withdraw my Notice of Limited Scope Appearance for _____________ [party], pursuant to Supreme Court Rule 13(c)(7).
I have completed all services within the scope of the Notice of Limited Scope Appearance, and I have completed all acts ordered by the court within the scope of that appearance.
Service of documents upon me under Supreme Court Rule 11(e) will no longer be required upon the later of: (a) 21 days after service of this Notice or, (b) if _____________ [party] files and serves an Objection to Withdrawal of Limited Scope Appearance within 21 days after service of this Notice, entry of a court order allowing my withdrawal. Service of documents on ____________[party] continues to be required.
NOTICE TO _________________[party]: You have the right to object to my withdrawal as your lawyer if you believe that I have not finished everything that I had agreed to do. To object, you must:
1. Fill in the blanks in the attached form of Objection to Withdrawal of Limited Scope Appearance, including the Certificate of Service and sign where indicated.
2. File the original Objection with the court by _______ __, ____, [date to be filled in by lawyer] which is 21 days after the date that I am filing and serving this Notice.
3. On the same day that you file the Objection with the court, send copies of it to me and to the other persons listed in the Certificate of Service attached to the Objection. Also, check the boxes in the Certificate of Service to show how you sent the copy to each person.
If you file and serve an Objection within the 21-day period, I will arrange to have a hearing date set by the court. I will send you notice of the date. You must appear at the hearing and explain to the judge why you believe that I have not finished everything that I had agreed to do for you.
____________________________ _______________________________
Signature of Attorney Name of Attorney
____________________________ _______________________________
Attorney’s Address Attorney’s Telephone Number
____________________________ _______________________________
Attorney’s E-Mail Address Attorney Number
____________________________
Date
Proof of Filing and Service
I certify that this Notice has been filed with the court on the ___ day of ___________, 20__, and on the same day I served this Notice on the following, including the Party that I represented, all counsel of record and parties not represented by counsel, and the judge now presiding over this case, by the method checked below for each.
[List Name and Address of Each] [Check Method of Service}
The Honorable _______________ [ ] US Mail, Postage Prepaid [ ] Messenger
____________________________ [ ] Personal Delivery [ ] Facsimile
____________________________ [ ] Email
____________________________
[Client]______________________ [ ] US Mail, Postage Prepaid [ ] Messenger
_____________________________ [ ] Personal Delivery [ ] Facsimile
_____________________________ [ ] Email
_____________________________
[Repeat Same Information for Each Other Counsel of Record and Unrepresented Party]
_________________
Signature of Attorney
Form for Objection To Withdrawal of Limited Scope Appearance
*****************************
[To Withdrawing Attorney: On the Copy of This Form Sent to the Client, List the Parties and Addresses in the Certificate of Service and Complete All Parts of the Form Except the Statement of Grounds, the Signature Block Information, the Date of Filing and Service of the Objection, the Client’s Method of Service, and the Client’s Signatures]
**************************
IN THE CIRCUIT COURT OF THE _______________ JUDICIAL CIRCUIT
______________ COUNTY, ILLINOIS
(OR, IN THE CIRCUIT COURT OF COOK COUNTY, ILLINOIS)
| ______________________________________________ | ) | |
| Plaintiff/Petitioner | ) | |
| ) | ||
| v. | ) | No. |
| ) | ||
| ) | ||
| ______________________________________________ | ) | |
| Defendant/Respondent | ) |
OBJECTION TO WITHDRAWAL OF LIMITED SCOPE APPEARANCE
I, _________________, object to my attorney’s Notice of Withdrawal of Limited Scope Appearance filed on ________________.
My attorney has not finished everything he or she had agreed to do in the Notice of Limited Scope Appearance. I understand this is the only basis for me to present a valid objection to my attorney’s notice of withdrawal. The specific services that my attorney has not completed are:
__________________________________________________________________
__________________________________________________________________
___________________________________________________________________.
I understand that my objection will be set for a court hearing and I will be required to appear at that hearing and explain to a judge what services my attorney has not completed that he or she had agreed to do for me.
____________________________ _______________________________
Signature of Party Name of Party
____________________________ _______________________________
Party’s Address Party’s Telephone Number
____________________________
Party’s E-Mail Address
____________________________
Date
Proof of Filing and Service
I certify that this Objection has been filed with the court on the ___ day of ___________, ____, and on the same day I served this Objection on the following by the method checked below for each.
[List Name and Address of Each] [Check Method of Service}
[Attorney Who Represented Client] [ ] US Mail, Postage Prepaid
____________________________ [ ] Messenger
____________________________ [ ] Personal Delivery [ ] Facsimile
____________________________ [ ] Email
[Repeat Same Information for Each Other Counsel of Record and Unrepresented Party]
___________________________________
Signature of Party
Committee Comments
Rule 13 was added in 1982. It was patterned after Proposed Uniform Circuit Court Rule III, which was prepared by a special committee of the Illinois State Bar Association and approved by the ISBA Board of Governors on June 22, 1976. Under paragraph (c) of this rule, an attorney's written appearance on behalf of a client before any court in this State binds the attorney to continue to represent that client in that cause until the court, after notice and motion, grants leave for the attorney to withdraw. (See Code of Professional Responsibility, Rules 2--110, 5--102 and 5--105.) This is true whether a final judgment has been entered in the cause or the contract of employment has been carried out. See Rule 7--101(a)(2).
Rule 138 15. Social Security Numbers in Pleadings and Related Matters.
(a) Unless otherwise required by law or ordered by the court, parties shall not include Social Security numbers in documents filed with the court, including exhibits thereto, whether filed electronically or in paper. If disclosure of an individual’s Social Security number is required for a particular filing, only the last four digits of that number shall be used. The filing must be accompanied by a confidential information form in substantial compliance with the attached NOTICE OF CONFIDENTIAL INFORMATION WITHIN COURT FILING, which shall identify the full Social Security number and shall remain confidential, except as to the parties or as the court may direct.
(b) Neither the court, nor the clerk, will review each pleading for compliance with this rule. If a pleading is filed without redaction, a party or identified person may move the court to order redaction. If the court finds the inclusion of the Social Security number was willful, the court may award the prevailing party reasonable expenses, including attorney fees and court costs, incurred in making or opposing the motion.
(c) This rule does not require any party, attorney, clerk or judicial officer to redact information from a court record that was filed prior to the adoption of this rule; provided, however, that a party may request that a Social Security number be redacted in a matter that preceded the adoption of this rule.
Adopted October 4, 2011, effective January 1, 2012; renumbered April 26, 2012, eff. immediately.
Committee Comment
(October 4, 2011)
This rule was adopted pursuant to section 40 of the Identity Protection Act (5 ILCS 179/40 (West 2010)).
[Appendix]
(Revised July 25, 2012)
In the Circuit Court of the __________________ Judicial Circuit,
_________ County, Illinois
(Or, In the Circuit Court of Cook County, Illinois)
| ____________________ | ) | |
| Plaintiff/Petitioner, | ) | |
| ) | ||
| v. | ) | Case No. ______________ |
| ) | ||
| ____________________ | ) | |
| Defendant/Respondent | ) |
NOTICE OF CONFIDENTIAL INFORMATION WITHIN COURT FILING
Pursuant to Illinois Supreme Court Rule 138 15, the filer of a court record at the time
of filing shall include a confidential information form which identifies the full social
security numbers for any individuals whose social security numbers are redacted
within the filing. This information will not be available to the public and this
document will be stored in a separate location from the case file.
Party/Individual Information:
1. Name: _______________________
Address: _______________________
_______________________
Phone: _______________________
SSN: _______________________
2. Name: _______________________
Address: _______________________
_______________________
Phone: _______________________
SSN: _______________________
(Attach additional pages, if necessary.)
Rule 18. Findings of Unconstitutionality
A court shall not find unconstitutional a statute, ordinance, regulation or other
law, unless:
(a) the court makes the finding in a written order or opinion, or in an oral statement on the record that is transcribed;
(b) such order or opinion clearly identifies what portion(s) of the statute, ordinance, regulation or other law is being held unconstitutional;
(c) such order or opinion clearly sets forth the specific ground(s) for the finding of unconstitutionality, including:
(1) the constitutional provision(s) upon which the finding of unconstitutionality is based;
(2) whether the statute, ordinance, regulation or other law is being found unconstitutional on its face, as applied to the case sub judice, or both;
(3) that the statute, ordinance, regulation or other law being held unconstitutional cannot reasonably be construed in a manner that would preserve its validity;
(4) that the finding of unconstitutionality is necessary to the decision or judgment rendered, and that such decision or judgment cannot rest upon an alternative ground; and
(5) that the notice required by Rule 19 has been served, and that those served with such notice have been given adequate time and opportunity under the circumstances to defend the statute, ordinance, regulation or other law challenged.
Adopted July 27, 2006, effective September 1, 2006.
Committee Comment
(July 27, 2006)
This rule is intended to implement the principles encapsulated in People v.
Cornelius, 213 Ill. 2d 178 (2004), and In re Parentage of John M., 212 Ill. 2d 253
(2004), concerning the duties incumbent upon the circuit court when declaring state
statutes to be unconstitutional.
Rule 19. Notice of Claim of Unconstitutionality or Preemption by Federal Law
(a) Notice Required. In any cause or proceeding in which the constitutionality or preemption by federal law of a statute, ordinance, or administrative regulation, or other law affecting the public interest is raised, and to which action or proceeding the State or the political subdivision, agency, or officer affected is not already a party, the litigant raising the constitutional or preemption issue shall serve an appropriate notice thereof on the Attorney General, State’s Attorney, municipal counsel or agency attorney, as the case may be.
(b) Contents and Time for Filing Notice. The notice shall identify the particular statute, ordinance, or regulation, or other law, and shall briefly describe the nature of the constitutional or preemption challenge. The notice shall be served at the time of suit, answer or counterclaim, if constitutionality the challenge is raised at that level, or promptly after the constitutional or preemption question arises as a result of a circuit or reviewing court ruling or judgment.
(c) Purpose of Notice. The purpose of such notice shall be to afford the State, political subdivision, agency or officer, as the case may be, the opportunity, but not the obligation, to intervene in the cause or proceeding for the purpose of defending the constitutionality of the law or regulation challenged. The election to intervene shall be subject to applicable provisions of law governing intervention or impleading of interested parties.
Adopted February 21, 1986, effective August 1, 1986; amended July 27, 2006, effective September 1, 2006.
Rule 20. Certification of Questions of State Law From Certain
Federal Courts
(a) Certification. When it shall appear to the Supreme Court of the United States, or to the United States Court of Appeals for the Seventh Circuit, that there are involved in any proceeding before it questions as to the law of this State, which may be determinative of the said cause, and there are no controlling precedents in the decisions of this court, such court may certify such questions of the laws of this State to this court for instructions concerning such questions of State law, which certificate this court, by written opinion, may answer.
(b) Contents of Certification Order. A certification order shall contain:
(1) the questions of law to be answered; and
(2) a statement of all facts relevant to the questions certified and showing fully the nature of the controversy in which the questions arose.
(c) Record Before Certifying Court. This court may require the original or copies of all or of any portion of the record before the certifying court to be filed with it, if, in the opinion of this court, the record or a portion thereof may be necessary in answering the questions.
(d) Briefs and Argument. Proceedings in this court shall be those provided in these rules governing briefs and oral arguments, except that the time for filing briefs specified in Rule 343 begins to run from the day this court agrees to answer the certified question of law, and the parties retain the same designation as they have in the certifying court.
(e) Costs of Certification. Fees and costs shall be the same as in civil appeals docketed before this court and shall be equally divided between the parties unless otherwise ordered by the certifying court.
Adopted August 30, 1983, effective October 1, 1983; amended
April 1, 1992, effective August 1, 1992.
Committee Comments
This rule permits the Supreme Court of the United States or the United States Court of Appeals for the Seventh Circuit to certify a question of Illinois law to the Supreme Court of Illinois, which question may be controlling in an action pending before said court and upon which no controlling Illinois authority exists.
The Court of Appeals for the Seventh Circuit has a rule which encourages certification in jurisdictions that have a rule similar to the one provided herein. See Rule 13 of the Rules of the United States Court of Appeals for the Seventh Circuit.
Subparagraph (a) establishes the standard for certification and also makes the acceptance of certification by the Supreme Court of Illinois discretionary.
Subparagraph (b) establishes the contents of a certification order.
Subparagraph (c) provides that the Supreme Court of Illinois may require the original or copies of all or any portions of the record before the certifying court.
Subparagraph (d) provides that briefs and arguments are to be governed by the Supreme Court of Illinois rules dealing with briefs and oral arguments. Amended in 1992 to provide that the time schedule for briefs will not begin to run until the court decides that it will answer the certified question.
Subparagraph (e) of the rule provides for fees and costs in the Supreme Court of Illinois.
Rule 21. Circuit Court Rules and Filing of Rules; Administrative
Authority; and General Orders; Filing of Rules
(a) Appellate Court and Circuit Court Rules. A majority of the Appellate Court judges in each district and a majority of the circuit judges in each circuit may adopt rules governing civil and criminal cases which are consistent with these rules and the statutes of the State, and which, so far as practicable, shall be uniform throughout the State. All rules of court shall be filed with the Administrative Director within 10 days after they are adopted.
(b) Administrative Authority. Subject to the overall authority of the Supreme Court, the chief circuit judge shall have the authority to determine, among other things, the hours of court, available leave time to which a judge is entitled, and to instruct the way in which a judge on the bench is expected to behave. In the exercise of this general administrative authority, the chief judge shall take or initiate appropriate measures to address the persistent failure of any judge to perform his or her judicial duties.
(b c) General Orders. The chief judge of each circuit may enter general orders in the exercise of his or her general administrative authority, including orders providing for assignment of judges, general or specialized divisions, and times and places of holding court.
(c d) Proceedings to Compel Compliance With Certain Orders Entered by a Chief Circuit Judge. Any proceeding to compel a person or agency other than personnel of the circuit court to comply with an administrative order of the chief circuit judge shall be commenced by filing a complaint and summons and shall be tried without a jury by a judge from a circuit other than the circuit in which the complaint was filed. The proceedings shall be held as in other civil cases.
(d) Filing of Rules. All rules of court shall be filed with the Administrative Director within 10 days after they are adopted.
Amended August 9, 1983, effective October 1, 1983; amended December 1, 2008, effective immediately.
Committee Comments
(Revised December 1, 2008)
This rule consists of paragraphs (2), (3), and (4) of former Rule 1, which was revised effective January 1, 1964.
New paragraph (b) was adopted December 1, 2008, to clarify that a chief circuit judge’s administrative role includes the authority, and the responsibility, to address the persistent failure of any judge to perform his or her judicial duties. Such failure may be due to, among other things, professional incompetence, poor case load management, or chronic absenteeism. Depending on the facts involved, the expectation is that the chief circuit judge will take or initiate appropriate action to remedy the situation. It shall be the duty of the chief judge to provide counseling, if deemed necessary or appropriate, and to report violations of the Canons to the Judicial Inquiry Board. In circumstances where there is uncertainty as to whether the conduct at issue is violative of the Canons, the chief judge shall report the conduct, with substantial particularity, to the Supreme Court.
Rule 22. Appellate Court Organization;Administrative
Authority; Appellate Court Rules
(a) Divisions–Appellate Districts.
(1) Each district of the Appellate Court shall consist of one division unless the Supreme Court provides otherwise by order. The First District shall sit in the city of Chicago. The Second District shall sit in the city of Elgin. The Third District shall sit in the city of Ottawa. The Fourth District shall sit in the city of Springfield. The Fifth District shall sit in the city of Mount Vernon. With the approval of the chief justice of the Supreme Court, a division may sit at any place in the State. The Appellate Court in each district shall be in session throughout the year, and each division shall sit periodically as its judicial business requires. Each division shall sit in panels of three judges as hereinafter provided.
(2) Oral arguments in the appellate court will normally be held in the courthouse provided for that purpose in the appropriate city designated in subparagraph (a)(1). However, with the approval of all the parties and the chief justice, a panel of the appellate court may, on occasion, agree to set an oral argument to be held in a suitable, alternative location but outside the courthouse in which the panel would otherwise normally preside.
(b) Assignment to Divisions–Designation of Panels. The Supreme Court shall assign judges to the various divisions. The presiding judge of a division shall designate judges serving in that division to sit in panels of three. Such a three-judge panel shall constitute the division for purposes of rendering a decision in a case. The Executive Committee of the First District, upon request of a division of that district, may designate any Appellate Court judge of that district to sit in the place of a judge of the requesting division for such case or cases as may be designated in the request.
(c) Decisions. Three judges must participate in the decision of every case, and the concurrence of two shall be necessary to a decision. One judge may decide motions of course.
(d) Divisions–Presiding Judge. The judges of each division shall select one of their number to serve as presiding judge of that division for a term of one year.
(e) Executive Committee of the Appellate Court of Illinois. The presiding judges of the Second, Third, Fourth, and Fifth Districts and the members of the Executive Committee of the First District shall constitute the Executive Committee of the Appellate Court of Illinois. Meetings of the executive committee may be called by any three of its members, and meetings of the Appellate Court may be called by the executive committee.
(f) Executive Committee of the Appellate Court in the First Appellate District. There shall be an Executive Committee of the First District composed of one member of each division, which committee shall exercise general administrative authority. The executive committee shall select one of its number as chairman.
(g) Administrative Authority. Subject to the overall authority of the Supreme Court, the presiding judge of each district, and the chairman of the Executive Committee in the First District, shall have the authority to determine, among other things, the hours of court, available leave time to which a judge is entitled, and to instruct the way in which a judge on the bench is expected to behave. In the exercise of this general administrative authority, the presiding judge of each judicial district and the chairman of the Executive Committee in the First District shall take or initiate appropriate measures to address the persistent failure of any judge to perform his or her judicial duties.
(h) Appellate Court Rules. A majority of the appellate court judges in each district may adopt rules governing civil and criminal cases which are consistent with these rules and the statutes of the state, and which, so far as practicable, shall be uniform throughout the state. All rules of court shall be filed with the Administrative Director within 10 days after they are adopted.
(g i) Workers’ Compensation Commission Appeals. A five-judge panel of the Appellate Court will sit as the Workers’ Compensation Commission division of each district of the Appellate Court. The Workers’ Compensation Commission division will hear and decide all appeals involving proceedings to review orders of the Workers’ Compensation Commission. The division will sit, periodically, as its judicial business requires, at any place in the State it chooses. Five judges must participate in the decisions of the Workers’ Compensation Commission division, and the concurrence of three shall be necessary to a decision. If a judge designated to serve on this panel cannot participate, the alternate designated by the Supreme Court shall participate. Motions of course may be decided by one judge.
Amended effective July 1, 1971, and December 9, 1974; amended July 30, 1979, effective October 15, 1979; amended February 1, 1984, effective February 1, 1984, with Justice Moran dissenting (see Yellow Cab Co. v. Jones (1985), 108 Ill. 2d 330, 342); amended April 10, 1987, effective August 1, 1987; amended November 20, 1991, effective immediately; amended October 15, 2004, effective January 1, 2005; amended May 23, 2005, effective immediately; amended December 1, 2008, effective immediately.
Committee Comments
(December 1, 2008)
New paragraph (g) was adopted December 1, 2008, to clarify that a presiding judge’s administrative role includes the authority, and the responsibility, to address the persistent failure of any judge to perform his or her judicial duties. Such failure may be due to, among other things, professional incompetence, poor case load management, or chronic absenteeism. Depending on the facts involved, the expectation is that the presiding judge will take or initiate appropriate action to remedy the situation. It shall be the duty of the presiding judge to provide counseling, if deemed necessary and appropriate, and to report violations of the Canons to the Judicial Inquiry Board. In circumstances where there is uncertainty as to whether the conduct at issue is violative of the Canons, the presiding judge shall report the conduct, with substantial particularity, to the Supreme Court.
(Revised February 1, 1984)
As originally adopted, Rule 22 was derived from former Rule 56--2, effective January 1, 1964, and modified June 24, 1965, without change in substance.
Paragraph (a)
As originally adopted, paragraph (a) provided that the Appellate Court should sit in divisions and specified the number of divisions in each of the five districts, four in the First, and one in each of the other districts. It was amended in 1971 to reflect the creation of a fifth division in the First District, and again in 1974, to authorize the creation of a second division in the Second District.
In 1979, the paragraph was amended.
Under the paragraph, as amended, each district constitutes a single division
unless the Supreme Court provides otherwise by order. A division may consist of
four, five, or six judges. Cases are assigned to panels of three judges. The
concurrence of two is necessary for a decision.
Paragraph (b)
In 1979, paragraph (b) was amended to
permit the presiding judges to designate judges within their division to sit in
panels. The authority of the Executive Committee of the First District to make
designations on request of a division was retained.
Paragraph (c)
Paragraph (c) provides that three
judges must participate in the decision of every case, and that two shall be
necessary to a decision, other than a ruling on a motion of course. The 1979
amendments to the rule made no change in paragraph (c). Thus, though a division
may consist of more than three judges, it sits in panels of three.
Paragraph (d)
The 1979 amendment retained the
one-year term for the presiding judges, but eliminated the provision in the
pre-1979 text requiring that the position of presiding judge be rotated among
the judges of the division.
Paragraph (e)
Until 1979, paragraph (e) provided
that the presiding judge of each division should be a member of the Executive
Committee of the Appellate Court of Illinois. In that year it was amended to
provide that the presiding judges of the Second, Third, Fourth, and Fifth
Districts, together with the members of the Executive Committee of the Appellate
Court in the First Appellate District, shall constitute the Executive Committee
of the Appellate Court of Illinois. The 1979 amendment makes some change in the
First District representation on the Executive Committee, since the members of
the Executive Committee of the Appellate Court in the First Appellate District
are not necessarily the presiding judges of the divisions of the First District.
Paragraph (f)
Paragraph (f) was amended in 1979 to
reflect the deletion from paragraph (a) of the specific provision setting out
the number of divisions in each district. There was no change in substance.
Paragraph (g)
Paragraph (g) was added in 1984 to provide for the creation of the Industrial Commission division of the Appellate Court. A single panel of five appellate judges, one from each district (or alternates designated by the Supreme Court), will hear and decide all cases involving proceedings to review orders of the Industrial Commission. The procedure was adopted to relieve the Supreme Court of the growing burden of hearing all such appeals (see amended Rule 302(a)), and to insure that such appeals will continue to enjoy the traditional benefits of speedy consideration and uniform application of the law, the need for which was considered the original justification for giving such cases preferred status in the first place.
Notices of appeal from trial court
orders disposing of cases involving review of Industrial Commission orders will
be filed in the circuit court in accordance with Rule 303, and copies thereof
will be sent to the clerk of the Appellate Court, as required in Rule 303(a)(4).
Rule 23. Disposition of Cases in the Appellate Court
The decision of the Appellate Court may be expressed in one of the following
forms: a full opinion, a concise written order, or a summary order conforming to the
provisions of this rule. All dispositive opinions and orders shall contain the names
of the judges who rendered the opinion or order.
(a) Opinions. A case may be disposed of by an opinion only when a majority of the panel deciding the case determines that at least one of the following criteria is satisfied:
(1) the decision establishes a new rule of law or modifies, explains or criticizes an existing rule of law; or
(2) the decision resolves, creates, or avoids an apparent conflict of authority within the Appellate Court.
(b) Written Order. Cases which do not qualify for disposition by opinion may be disposed of by a concise written order which shall succinctly state:
(1) in a separate introductory paragraph, a concise syllabus of the court’s holding(s) in the case;
(2) the germane facts;
(3) the issues and contentions of the parties when appropriate;
(4) the reasons for the decision; and
(5) the judgment of the court.
(c) Summary Order. In any case in which the panel unanimously determines that any one or more of the following dispositive circumstances exist, the decision of the court may be made by summary order. A summary order may be utilized when:
(1) the Appellate Court lacks jurisdiction;
(2) the disposition is clearly controlled by case law precedent, statute, or rules of court;
(3) the appeal is moot;
(4) the issues involve no more than an application of well-settled rules to recurring fact situations;
(5) the opinion or findings of fact and conclusions of law of the trial court or agency adequately explain the decision;
(6) no error of law appears on the record;
(7) the trial court or agency did not abuse its discretion; or
(8) the record does not demonstrate that the decision of the trier of fact is against the manifest weight of the evidence.
When a summary order is issued it shall contain:
(i) a statement describing the nature of the case and the dispositive issues without a discussion of the facts;
(ii) a citation to controlling precedent, if any; and
(iii) the judgment of the court and a citation to one or more of the criteria under this rule which supports the judgment, e.g., “Affirmed in accordance with Supreme Court Rule 23(c)(1).”
The court may dispose of a case by summary order at any time after the case is docketed in the Appellate Court. The disposition may provide for dismissal, affirmance, remand, reversal or any combination thereof as appropriate to the case. A summary order may be entered after a dispositive issue has been fully briefed, or if the issue has been raised by motion of a party or by the court, sua sponte, after expiration of the time for filing a response to the motion or rule to show cause issued by the court.
(d) Captions. All opinions and orders entered under this rule shall bear a caption substantially conforming to the requirements of Rule 330. Additionally, an opinion or order entered under subpart (a) or (b) of this rule must clearly show the date of filing on its initial page.
(e) Effect of Orders.
(1) An order entered under subpart (b) or (c) of this rule is not precedential and may not be cited by any party except to support contentions of double jeopardy, res judicata, collateral estoppel or law of the case. When cited for these purposes, a copy of the order shall be furnished to all other counsel and the court.
(2) An order entered under subpart (b) of this rule must contain on its first page a notice in substantially the following form:
NOTICE: This order was filed under Supreme Court Rule 23 and may not be cited as precedent by any party except in the limited circumstances allowed under Rule 23(e)(1).
(f) Motions to Publish. If an appeal is disposed of by order, any party may move to have the order published as an opinion. The motion shall set forth the reasons why the order satisfies the criteria for disposition as an opinion and shall be filed within 21 days of the entry of the order.
(g) Electronic Publication. In order to make available to the public all opinions and orders entered under subparts (a) and (b) of this rule, the clerks of the Appellate Court shall transmit an electronic copy of each opinion or order filed in his or her district to the webmaster of the Illinois Supreme and Appellate Courts’ Web site on the day of filing. No opinion or order may be posted to the Web site that does not substantially comply with the Style Manual for the Supreme and Appellate Courts.
(h) Public-Domain Case Designators
An opinion or order entered under subpart (a) or (b) of this rule must be assigned a public-domain case designator and internal paragraph numbers, as set forth in the accompanying administrative order.
Effective January 31, 1972; amended effective July 1, 1975; amended February 19,
1982, effective April 1, 1982; amended May 18, 1988, effective August 1, 1988;
amended November 21, 1988, effective January 1, 1989; amended and Commentary and
Administrative Order adopted June 27, 1994, effective July 1, 1994; amended May 30,
2008, effective immediately; amended September 13, 2010, effective January 1, 2011;
amended May 31, 2011, effective July 1, 2011.
Commentary
(June 27, 1994)
By this amendment, Rule 23 creates a presumption against disposing of Appellate Court cases by full, published opinions and authorizes a third type of disposition by summary order in select circumstances. The concept of the traditional "Rule 23 order" remains, but conciseness is encouraged. Disposition by order rather than by opinion reflects the precedential value of a case, not necessarily its merits.
Two of the criteria upon which a case could qualify for disposition by opinion and the preference for publishing cases which include concurring and/or dissenting opinions have been eliminated consistent with the presumption against publication.
M.R. No. 10343
(Amended October 4, 2011)
Under the general administrative and supervisory authority granted the Illinois Supreme Court over the courts of this state (Ill. Const. 1970, art. VI, §16), the order entered under Supreme Court Rule 23, dated May 31, 2011, is amended as follows:
(A) Assignment of Public-Domain Case Designators
The Districts of the Illinois Appellate Court shall assign a public-domain case designator to those opinions filed on or after July 1, 2011. This designator number for an opinion must be unique to that opinion and shall include the year of decision, the court abbreviation, and an identifier number comprised of the final six digits of the docket number, or the final six digits of the initial docket number in a consolidated appeal, without use of the hyphen. In the case of opinions by the Workers’ Compensation Commission Division of the Appellate Court, the letters “WC” shall be added as a suffix. The public-domain identifier shall appear at top of the first page of an opinion and shall be in the following form:
[year] IL App (1st) [no.]
[year] IL App (2d) [no.]
[year] IL App (3d) [no.]
[year] IL App (4th) [no.]
[year] IL App (5th) [no.]
Workers’ Compensation Commission Division
2011 IL App ([dist.]) [no.]WC
By way of example, should the First District file an opinion in cause No. 1–10–1234 in 2011, the public-domain case designator will be “2011 IL App (1st) 101234.”
Where a second opinion is filed under the same docket number, such as upon reconsideration after remand, a capital letter “B” will be appended to the case-designator number, regardless of the year-designator portion of the citation:
2011 IL App (1st) 101159
2012 IL App (1st) 101159-B
Any further opinions arising from the same appeal shall be assigned an alphabetic letter consecutive to the preceding opinion.
However, where an opinion is withdrawn while jurisdiction has been retained by the issuing court, the new opinion or order in the matter shall be given the same case-designator number as the withdrawn opinion without the addition of a sequential alphabetic designator.
Orders filed under Illinois Supreme Court Rule 23(b) shall have the letter “U,” preceded by a hyphen, appended to the case-designator number:
2011 IL App (5th) 101160-U
A subsequently filed unpublished order in the same cause of action will result in use of both a “U” and an alphabetic designator:
2011 IL App (5th) 101160-UB
Use of the “U” designator for unpublished decisions and use of an alphabetic designator (“B,” “C,” etc.) for a subsequent opinion or order are independent elements of the case-designator number:
2011 IL App (5th) 101160-U [unpublished; initial decision]
2011 IL App (5th) 101160-B [published; decision after remand]
2011 IL App (5th) 101160-UC [unpublished; decision after second remand]
Should an unpublished order under Supreme Court Rule 23 be converted to a published opinion, the “U” designation shall be deleted.
(B) Internal Paragraphing of Opinions
Illinois reviewing court opinions shall include internally numbered paragraphs as directed below. Use of internal paragraph numbers allows a pinpoint citation to the appropriate portions of an opinion when cited for a specific proposition. Such a citation will include the case name, the public-domain designator number, and the specific, or pinpoint, paragraph or paragraph numbers within the opinion:
People v. Doe, 2011 IL App (1st) 101157, ¶ 15
People v. Doe, 2011 IL App (1st) 101157, ¶¶ 21-23
People v. Doe, 2011 IL App (1st) 101157, ¶¶ 57, 68
Except for the materials denoted in paragraph below, each paragraph of text is to be numbered consecutively beginning after the heading “OPINION” or “ORDER” (including the lead-in line to a separate opinion and any joiner lines thereto).
(2) The numbering of paragraphs within a separate opinion shall be consecutive to the final paragraph number of the opinion that precedes it, beginning with the lead-in line to the separate opinion, as shown in the example below:
¶ 43 CONCLUSION ¶ 45 Judgment reversed; ¶ 47 JUSTICE DOE, dissenting: |
The following portions of an opinion do not constitute new paragraphs and shall not be numbered:
(a) indented (blocked) text, regardless of the nature material (e.g., quotation, listing of issues, etc.) or the length of the material;
(b) text immediately following indented text, unless such text begins a new paragraph;
(c) text within footnotes;
(d) appendices or other attachments.
If quoted text, including indented quotations, is derived from a source that uses numbered paragraphs under a public-domain system of citation, the numbers from the original source shall not be shown in the quoted material but in the citation only.
If a supplemental document is filed, the paragraph numbering in the original document shall be continued into the supplemental document, including any lead-in lines and document headings (e.g., “Supplemental Opinion”; “Dissent Upon Denial of Rehearing”).
Where revisions are made to an opinion following filing that result in the addition of a new paragraph or paragraphs, the new paragraph(s) shall be denoted by use of the paragraph number that preceded the new materials, plus the addition of consecutive, alphabetical letters (e.g., ¶ 11b, ¶ 11c, etc.)
Each paragraph number shall be shown using the paragraph symbol, followed by a space, and then the number (e.g., ¶ 1). The paragraph number is placed at the left margin, followed by a tab that indents the paragraphed text, as follows:
¶ 23 The appellate court found that Grant supported its conclusion that the designation of the NAF in the agreement to arbitrate was integral to the agreement. Specifically, citing Grant, the court noted: “[The NAF] has a very specific set of rules and procedures that has implications for every aspect of the arbitration process.” Thus the court found that section 5 of the Arbitration Act could not be used to reform the arbitration provision. ¶ 24 The defendant argues that the appellate court erroneously determined there is a split in federal case law as to the proper application of section 5 of the Act. |
IN THE
SUPREME COURT
OF
THE STATE OF ILLINOIS
Order entered December 18, 2006.
In re Administrative Order No. M.R. 10343
On the court’s own motion, effective January 1, 2007, the administrative order entered in M.R. No. 10343, on June 27, 1994, is hereby vacated.
Order entered by the Court.
Rule 24. Research Department in Each District of the Appellate Court
In each Appellate Court district there shall be a research department supervised by a director of research and staffed by such number of staff attorneys as the Supreme Court may from time to time determine. The research departments in each district shall perform such duties as may be assigned to it by the presiding judge of the district or, in the First District, by the Executive Committee. The research department of the various districts shall coordinate their activities, exchange information, and publish and maintain a manual of procedures for the research staff. An assistant to the Supreme Court may be assigned by that court to coordinate the activities of the research departments hereby created. The director of research and all staff attorneys employed in any research department shall be graduates of law schools approved by the American Bar Association.
Adopted July 30, 1979, effective October 15, 1979; amended April
10, 1987, effective August 1, 1987.
Committee Comments
Rule 24 is new. It recedes from the recommendation of the 1972 committee report for a statewide research department and incorporates the development of research departments in each district with a coordination of the activities of those departments by an assistant to the Supreme Court.
Rule 30. Administrative Duties of the Chief Justice and the
Administrative Director
(a) The Chief Justice. The chief justice of the Supreme Court shall be
responsible for the administration of all courts in the State. To assist him,
the court shall appoint an Administrative Director to serve at its pleasure, who
shall report directly to the chief justice. If there is a vacancy in the office
of the chief justice, the senior justice shall serve temporarily as acting chief
justice. Seniority shall be determined as provided in Rule 31. If the chief
justice is absent or unable to serve, the senior justice shall serve temporarily
as acting chief justice.
(b) The Administrative Director. The Administrative Director of the courts shall be generally responsible for the enforcement of the rules, orders, policies and directives of the Supreme Court and the chief justice relating to matters of administration. At the direction of the chief justice and the Supreme Court, the Administrative Director shall develop, compile and promulgate administrative rules and directives relating to case processing, records and management information services, personnel, budgeting and such other matters as the chief justice and the Supreme Court shall direct. The Administrative Director also shall perform such other functions and duties as may be assigned by the chief justice or by the Supreme Court.
Adopted November 21, 1988, effective January 1, 1989.
Rule 31. Seniority in the Supreme Court
Seniority among the judges of the Supreme Court shall be determined by length of continuous service, but if the terms of two or more judges begin at the same time they shall determine the seniority as between or among themselves by lot, unless they are able to determine it by agreement.
Committee Comments
This is former Rule 56 without change of substance.
Rule 33. Library of Supreme Court
The librarian of the library of the Supreme Court shall not permit any person except judges of the court to take any book from the library without the consent of the court or the chief justice. No books shall be marked or underlined, nor shall the pages of any book be folded down. Any person who offends against the provisions of this rule is in contempt of the Supreme Court.
Committee Comments
This is former Rule 55 with minor
language changes.
Rules 34-38. Reserved
Rule 39. Appointment of Associate Judges
(a) Terms.
(1) The terms of all associate judges in office on June 30, 1975, shall expire on that date and on every fourth anniversary of that date, regardless of the date on which any judge is appointed. Notwithstanding the provisions for conditional notices of vacancy as contained in paragraph (a)(2) of this rule, the office of an associate judge shall be vacant upon his or her death, resignation, retirement, or removal, or upon the expiration of his or her term without his or her reappointment. When a sitting associate judge submits in writing his or her resignation, the chief judge of the circuit may, no sooner than 120 days before the effective date of such resignation, cause notice of the vacancy to be given pursuant to subpart (b) of this rule, provided that the candidate appointed to fill the vacancy shall not take office before the effective date of such resignation.
(2) In those instances where a sitting associate judge is running unopposed or where two or more associate judges are the only candidates opposing one another in the general election and an associate judge vacancy therefore can be anticipated, the Administrative Director may, upon the chief judge’s request, approve posting of a conditional notice of vacancy not more than 30 days prior to the general election and absent a letter of resignation from a sitting associate judge. The conditional notice of vacancy shall clearly advise potential associate judge candidates that the vacancy is contingent upon certification by the Illinois Board of Elections of general election results declaring a sitting associate judge the winner. Prior to the distribution of ballots provided for in paragraph (b)(4), the Director shall await the Illinois Board of Elections’ certification of the general election results.
(b) Filling Vacancies. Vacancies in the office of associate judge shall be filled in the following manner:
(1) Notice of Vacancy. Upon approval of the Director of the Administrative Office of the Illinois Courts, the chief judge of the circuit shall, after forwarding a copy of the notice to the Director, cause notice to be given to the bar of the circuit, in the same manner as notice of matters of general interest to the bar is customarily given in the circuit, that the vacancy exists and will be filled by the judges of the circuit. The notice of vacancy shall be given as soon as practicable, but no later than 30 days after the accumulation of five consecutive vacancies for which notice has not been given. If the chief judge of the circuit fails to give notice within the time period prescribed by this provision, the Chief Justice of the Supreme Court may direct the Director of the Administrative Office of the Illinois Courts to give notice of the vacancies in the manner prescribed by this rule.
(2) Applications and Certification. Any attorney who seeks appointment to the office of associate judge must be a United States citizen, licensed to practice law in this state, and a resident of the unit from which he/she seeks appointment. Applicants shall have 30 days after the notice of vacancy is given within which to file with the Director of the Administrative Office of the Illinois Courts two signed originals of an application on the form prescribed and furnished by the Director. Applications must be received by the Director within the 30-day period. Applications transmitted via facsimile will not be accepted. At the close of the application process, the Director shall certify to the chief judge a list of those applicants who have timely filed and provide a copy of those applications.
(3) Nomination. In judicial circuits having a population of more than 500,000, the chief judge of each circuit and at least two but not more than 10 additional circuit judges selected by their fellow circuit judges shall serve as a nominating committee for candidates for appointment to the office of associate judge of their circuit. If there are fewer than 20 circuit judges in a circuit, all of the circuit judges may sit as a nominating committee. When one or more vacancies in the office of associate judge are to be filled, the nominating committee shall select from the applications filed twice as many names of qualified candidates as there are vacancies to be filled.
(4) Distribution of Ballots and Related Materials.
(i) In judicial circuits having a population of more than 500,000, the chief judge shall notify the Director of the names of those candidates selected by the nominating committee and request that the Director initiate the balloting process. Within 14 days after the chief judge’s notification, the Director shall place the name of each candidate on a ballot in alphabetical order. The ballot shall also contain blank spaces equal in number to the number of vacancies to be filled, in which spaces may be written the name of any qualified applicant whose name does not appear on the ballot as a candidate.
(ii) In judicial circuits having a population of less than 500,000, the chief judge shall request that the Director initiate the balloting process. Within 14 days after the chief judge’s request, the Director shall place the name of each candidate on a ballot in alphabetical order.
(iii) A ballot and a brief biographical synopsis of each candidate shall be mailed to each circuit judge in the circuit. Each ballot shall also be accompanied by a stamped, addressed return envelope, an envelope marked “For Ballot Only,” and a signature card. Upon request, any circuit judge may obtain a copy of the complete application of any applicant.
(5) Balloting. Each circuit judge shall complete his or her ballot by voting for one candidate for each vacancy to be filled, enclose the ballot in the envelope marked “For Ballot Only,” seal the envelope, sign the signature card, and enclose that envelope and signature card in the stamped, addressed return envelope, which shall be delivered to the Director within 14 days of the date the ballots were distributed. The Director shall count the ballots which are accompanied by a signed signature card, tabulate the results and certify them to the chief judge, maintaining the secrecy of the ballots.
(6) Results of Balloting; Runoffs.
(i) In judicial circuits having a population of more than 500,000 the candidates receiving the most votes shall be declared to be appointed to fill the vacancies. Where a tie prevents a winner from being declared, Ties shall be decided by reballoting shall proceed in the manner provided above for the first balloting except that ballots shall include only the names of those candidates whose tied votes prevented a winner from being declared.
(ii) In judicial circuits having a population of less than 500,000 the candidates receiving votes from a majority of the circuit judges who have voted shall be declared to be appointed to fill the vacancies. If there are not enough candidates receiving majorities to fill all the vacancies, the Director shall list alphabetically on a runoff ballot the remaining candidates, in number equal to twice the number of remaining vacancies, who received the most votes in the first balloting (or twice that number plus any who are tied with the candidate in the list who received the least number of votes). The candidates receiving the most votes in the runoff balloting shall be declared to be appointed to vacancies not filled as a result of the first balloting. Where a tie prevents a winner from being declared, Ties shall be decided by reballoting shall proceed in the manner provided above for the first balloting except that ballots shall include only the names of those candidates whose tied votes prevented a winner from being declared.
(c) Reappointment of Associate Judges Upon Expiration of Their Terms.
(1) Request for Reappointment. An associate judge may file a request for reappointment with the chief judge of the circuit at least three months but not more than six months before the expiration of his or her term. At least 63 days before the expiration of the terms of associate judges, each chief judge shall certify to the Director the names of the associate judges in the circuit who have requested reappointment.
(2) Distribution of Ballots. At least 40 days before the expiration of the terms of associate judges, the Director shall prepare and distribute ballots on which each circuit judge shall vote on the question whether each associate judge who has requested reappointment shall be reappointed for another term. Each ballot shall be accompanied by a stamped, addressed return envelope, an envelope marked “For Ballot Only,” and a signature card.
(3) Balloting. Each circuit judge shall complete his or her ballot, enclose it in the envelope marked “For Ballot Only,” seal the envelope, sign the signature card, and enclose the sealed envelope and signature card in the stamped, addressed return envelope, which shall be delivered to the Director within 14 days after it was distributed. The Director shall count the ballots which are accompanied by a signed signature card, tabulate the results and certify them to the chief judge, maintaining the secrecy of the ballots. If three fifths of the circuit judges voting on the question vote in favor of reappointment of an associate judge, he or she shall be declared reappointed for another term.
(d) Definition of “Circuit Judge.” For the purposes of this rule, “circuit judge” shall include a circuit judge elected or appointed to a term of office within a circuit (or a unit defined by law which is smaller than the circuit), including a circuit judge who is assigned to the Supreme or the Appellate Court (whether relieved of judicial duties on the circuit court or not), and a circuit judge temporarily recalled from retirement and assigned to judicial duty as a circuit judge in the circuit from which the circuit judge had been elected, but shall not include a circuit judge who was elected in another circuit but is temporarily assigned to a circuit which is in the process of selecting or retaining an associate judge. A circuit judge appointed to office during the balloting period may vote to fill associate judge vacancies in his or her circuit if the circuit judge has been sworn in and has provided a copy of his or her signed oath of office to the Director. The newly appointed circuit judge must complete and deliver his or her ballot to the Director within the same 14-day period that the ballots were distributed to the circuit judges under paragraph (b)(5). In no instance will the 14-day period specified in paragraph (b)(5) be extended for those circuit judges appointed to office during the balloting period.
Effective July 1, 1971; amended effective October 14, 1971; amended April 1, 1992, effective August 1, 1992; amended December 3, 1997, effective January 1, 1998; amended December 17, 1999, effective immediately; amended March 16, 2001, effective immediately; amended November 27, 2002, effective immediately; amended May 28, 2003, effective immediately; amended January 25, 2007, corrected January 26, 2007, effective February 1, 2007; amended April 23, 2009, effective July 1, 2009; amended Oct. 30, 2012, effective immediately; amended Dec. 28, 2012, eff. immediately.
Committee Comments
(July 1, 1971)
This rule implements section 8 of article VI of the new Illinois Constitution, which provides, "Associate Judges shall be appointed by the Circuit Judges in each circuit as the Supreme Court shall provide by rule."
Rule 40. Marriage and Civil Union Divisions
(a) Creation. The chief judge of any judicial circuit may, by administrative order, establish a marriage and civil union division in any county in the circuit and specify the times and places at which those judges willing to perform marriages solemnizations and civil union certifications will normally be available to do so. A marriage and civil union fund may be established on a circuitwide basis rather than a county-by-county basis when the chief judge, along with the majority of circuit judges, determines that the circuit’s judicial needs are best served by a circuitwide fund.
(b) Clerk–Fee. The chief judge may provide that the clerk of the circuit court or someone designated by the clerk shall attend each regular session of each marriage and civil union division to assist the judge assigned thereto. The chief judge may set a fee to be collected by the clerk in an amount not to exceed $10 for each marriage solemnization or civil union certification performed. No additional fee or gratuity will be solicited or accepted.
(c) Trust Account. The fees received shall be deposited in a federally insured or fully collateralized bank account in the name of the “Marriage and Civil Union Fund of the Circuit Court of ____________ County” or the “Marriage and Civil Union Fund of the __________ Circuit Court.” The trustees of the account shall be three in number, consisting of the chief judge, the administrative secretary to the chief judge, and a resident circuit judge of the county. If there is no administrative secretary to the chief judge, or if there is no resident circuit judge of the county, the chief judge shall designate one or two fellow circuit judges as his or her co-trustees. Money in a marriage and civil union fund may be spent in furtherance of the administration of justice for the following items:bank charges;
business meal costs when an agenda is prepared for the meeting;
courtroom and judicial office improvements;
electronic legal research services;
equipment–purchase, repair, and service;
judicial robes–purchase, repair, and cleaning;
jury room supplies and equipment;
legal publications;
membership dues for legal and judicial associations;
name plates for judges;
office supplies;
pictures, plaques, and frames for the courthouse;
public education/awareness program materials;
training courses approved by the judicial education committee;
training and professional education programs for nonjudicial employees of the judicial branch; and
travel for judicial business, not to exceed reimbursement levels consistent with the Supreme Court’s travel reimbursement guidelines for judicial and nonjudicial members of the judicial branch.
Payment of a reasonable per diem fee to the clerk, or person designated by the clerk, who attends the marriage and civil union division on a day other than a regular working day may be made from the fund.
(d) Reporting and Auditing Requirements.
(1) Funds with Balances Under $50,000 at the end of the State Fiscal Year. For marriage and civil union funds that reflect a balance under $50,000 at the end of each State Fiscal Year (June 30), the chief judge of the circuit shall file, quarterly in the next fiscal year, reports with the Administrative Director of the Illinois Courts. The reports shall be filed not later than the fifteenth of each October, January, April and July. The report shall contain (i) the name of the marriage and civil union fund; (ii) the quarter end date; (iii) the balance on hand at the beginning of the quarter; (iv) the total income, including a detailed list of any income other than marriage and civil union fees for the quarter; (v) the total expenses for the quarter with a detailed list including the name of the vendor paid, description of the goods or services purchased, and the amount of each expense, and (vi) such other information as deemed necessary by the Administrative Director. The report shall be in a format prescribed by the Administrative Office. These reports shall be prepared by the administrative secretary or the resident judge and approved by the chief circuit judge.
(2) Funds with Balances of $50,000 and over at the end of the State Fiscal Year. On an annual basis, and not later than September 30, the chief judge of the circuit shall file with the Administrative Director of the Illinois Courts a professional, independent audit conducted by an accredited audit firm for each marriage and civil union fund in his or her circuit reflecting a balance of $50,000 and over at the end of the prior State fiscal year. The content of the annual audit shall be consistent with the reporting requirements contained in paragraphs (d)(1)(i) through (d)(1)(vi) of this rule.
(e) Excess Funds to County Treasurer. The trustees for all marriage and civil union funds shall pay into the county general fund or other judicial-related county funds such amounts as in their judgment may be appropriate.
Effective April 1, 1974; amended January 7, 2002, effective March 1, 2002; amended October 29, 2004, effective January 1, 2005; amended May 24, 2006, effective immediately; amended December 6, 2006, effective January 1, 2007; amended December 17, 2007, effective January 1, 2008; amended May 26, 2011, effective immediately.
JUSTICE FREEMAN, dissenting:
I would quickly join the court in adopting the March 1, 2002, amendments to Supreme Court Rule 40 (134 Ill. 2d R. 40), which increase auditing and spending accountability, but for my fundamental constitutional concern with certain parts of the rule itself. Notwithstanding the amendments, the collection and disbursement of marriage fees is simply beyond this court’s constitutional authority. So, while I commend the efforts taken today by my colleagues, I must dissent because the provisions amended are themselves invalid under the separation of powers doctrine.
Although there is no question that the Illinois Constitution provides this court with the authority to create, within the circuit courts, marriage divisions such as those provided for in Rule 40(a), our Constitution gives to the General Assembly–not this court–the power to set and control the deposit and disbursement of fees. The Constitution states that "[f]ees may be collected as provided by law and by ordinance and shall be deposited upon receipt with the treasury of the unit." (Emphasis added.) Ill. Const. 1970, art. VII, §9. The phrase "by law," as used in our Constitution, means the General Assembly’s entire lawmaking process and encompasses the "normal legislative manner." Quinn v. Donnewald, 107 Ill. 2d 179, 186-87 (1985). This court has recognized that the normal legislative manner consists of the vote of a majority of both houses of the General Assembly, with presentment to the Governor for his or her action, bills that successfully passed each house of the legislature. Quinn, 107 Ill. 2d at 186-87. In defining the phrase "by law," this court specifically relied on the drafters’ meaning of the phrase as was recorded at the Constitutional Convention. Quinn, 107 Ill. 2d at 186. In particular, the court noted the remarks of Delegate Wayne W. Whalen, who stated that
" ‘[t]he reason for the addition of the words "by law" was to point out to you that it was not the intent of the Committee of the Whole or the Substantive Committee that the General Assembly could act in any other way than the law-making process. As you know, the General Assembly can act by rule, it can act by resolution; that was not the intent. The intent was to use the entire law-making process as set out in the constitution, so to clarify this ambiguity we added the term "by law" ***.’ " Quinn, 107 Ill. 2d at 186, quoting 3 Record of Proceedings, Sixth Illinois Constitutional Convention 2180 (statements of Delegate Whalen).
Delegate Whalen’s construction of the phrase is faithful to its commonly understood legal meaning–Black’s Law Dictionary notes that the phrase "provided by law" when used in a constitution or statute generally means "prescribed or provided by some statute" (Black’s Law Dictionary 1102 (5th ed. 1979)), and his construction was understood by the delegates to be the meaning of the phrase throughout the entire constitutional document. See 4 Record of Proceedings, Sixth Illinois Constitutional Convention 3416 (comments of Delegate Netsch, stating "the Style and Drafting Committee has adopted a practice *** whereby the expression ‘by law’ refers only to laws enacted by the General Assembly"); see also 4 Record of Proceedings, Sixth Illinois Constitutional Convention 2629 (comments of Delegate Nudelman). In short, the constitutional provision "as provided by law" means "as by provided by statute." In other words, the Constitution means to exclude, as the source of fee provisions, any rulemaking authority, judicial or otherwise.
Any doubt about this construction is dispelled by the fact that the Constitution provided, in juxtaposition, that fees might also be collected by municipal ordinances. An "ordinance" is defined as "a local rule enacted by a unit of government pursuant to authority delegated by the State." City of Peoria v. Toft, 215 Ill. App. 3d 440, 443 (1991). In light of the phrase "by law or ordinance," the Constitution demands that fees be enacted through the legislative process, on a statewide basis or on a local government basis, as opposed to any judicial rulemaking process.
Pursuant to this constitutional grant of authority, our General Assembly has set out an extensive fee schedule in the Clerks of Courts Act (705 ILCS 105/0.01 et seq. (West 1998)), which is arranged according to county population. See 705 ILCS 105/27.1 (West 1998) (pertaining to counties of 180,000 or less); 705 ILCS 105/27.1a (West 1998) (pertaining to counties over 180,000, but not more than 650,000); 705 ILCS 105/27.2 (West 1998) (pertaining to counties over 650,000, but less than 3 million); 705 ILCS 105/27.2a (West 1998) (pertaining to counties of 3 million or more). The Act sets a $10 fee for all in-court marriages in counties having populations of not more than 650,000. See 705 ILCS 105/27.1(b)(3), 27.1a(a–1) (West 1998). The legislature has not expressly provided a fee amount for in-court marriages performed in counties having populations greater than 650,000. In these counties, the legislature has provided that "[a]ny fees not covered in this Section shall be set by rule or administrative order of the Circuit Court with the approval of the Administrative Office of the Illinois Courts." 705 ILCS 105/27.2(r), 27.2a(r) (West 1998). Thus, we, as a court, have been given authority by the legislature to set a fee for in-court marriages performed in counties having populations of over 650,000. Rule 40(b), which provides for a $10 marriage fee, is only constitutional in those counties where the legislature has not expressly provided for an in-court marriage fee.
This court’s authority to direct the deposit and disbursement of the fees collected by the clerks of the circuit courts is also governed by our Constitution. Section 9(a) states:
"Compensation of officers and employees and the office expenses of units of local government shall not be paid from fees collected. Fees may be collected as provided by law and by ordinance and shall be deposited upon receipt with the treasurer of the unit. Fees shall not be based upon funds disbursed or collected, nor upon the levy or extension of taxes." Ill. Const. 1970, art. VII, §9(a).
In order to implement this constitutional ban on fee offices within units of local government and the judicial system, the General Assembly enacted the Fee Deposit Act in 1972. Kaden v. Kagann, 260 Ill. App. 3d 256, 265 (1994). Section 2 of the Fee Deposit Act mandates
"All elected or appointed officials of units of local government, and clerks of the circuit courts, authorized by law to collect fees which collection is not prohibited by Section 9 of Article VII of the Constitution, shall deposit all such collected fees upon receipt with the county treasurer or treasurer of such other unit of local government, as the case may be, except as otherwise provided by law; and except that such officials may maintain overpayments, tax redemptions, trust funds and special funds as provided for by law or local ordinance." 50 ILCS 315/2 (West 1998).
Section 2 of the Fee Deposit Act requires that, except as "provided by law" to the contrary, monies collected by the clerks of the circuit court cannot be deposited with any entity other than the county treasurer. As noted above, the phrase "provided by law" means a statute–not judicial rulemaking. Furthermore, section 2’s reference to "trust funds" does not mean trust funds provided by judicial rule, but rather those "provided for by law or local ordinance." The trust fund established in Rule 40(c) does not fall within the ambit of this exception. Indeed, my research has not revealed the "law or local ordinance" by which the in-court marriage fees collected under Rule 40 may be excepted from deposit with the county treasurer and, instead, placed in a trust fund. The General Assembly, by way of the Fee Deposit Act, has expressly directed that all fees collected by the clerks of the circuit court be deposited with the treasurer of the county in which the court sits. To the extent that this court, through Rule 40, directs otherwise, it would appear that this court is improperly acting in an area wholly reserved, by constitutional fiat, to our legislature.
Our Constitution is silent as to the disposition or disbursement of fees. Our appellate court has recognized that the drafters of the 1970 Constitution, in contemplating the inclusion of a provision in the Constitution that would direct the disposition of fees, believed the issue was a matter for the General Assembly. Kaden, 260 Ill. App. 3d at 261 (acknowledging that it was "clear from this debate *** the drafters intended that the General Assembly determine where such fees should be deposited"). I would point out the comments of Delegate Fay: "I must respectfully urge the defeat of this proposed amendment, and the reason I do so is because *** the legislature could take care of this matter, and I think that we should let them do so rather than engraft this in the constitution where it is not needed." 4 Record of Proceedings, Sixth Illinois Constitutional Convention 2632-33 (statements of Delegate Fay). These statements led the appellate court to conclude that the Constitution left the matter of fee disbursement to the authority of our legislative branch of government and that neither the state nor the counties have a constitutional right to fees collected by the circuit court clerks. Kaden, 260 Ill. App. 3d at 260-61.
In the absence of an express constitutional provision on a subject, the legislature is free to act. County of Stark v. County of Henry, 326 Ill. 535, 538 (1927). The General Assembly has comprehensively provided for the disbursement of clerks’ fees in the Clerks of Courts Act. Section 27.5 of that Act states that
"All fees, fines, costs, additional penalties, bail balances assessed or forfeited, and any other amount paid by a person to the circuit clerk that equals an amount less than $55, except restitution under Section 5–5–6 of the Unified Code of Corrections, reimbursement for the costs of an emergency response as provided under Section 5–5–3 of the Unified Code of Corrections, any fees collected for attending a traffic safety program under paragraph (c) of Supreme Court Rule 529, any fee collected on behalf of a State’s Attorney under Section 4–2002 of the Counties Code or a sheriff under Section 4–5001 of the Counties Code, or any cost imposed under Section 124A–5 of the Code of Criminal Procedure of 1963, for convictions, orders of supervision, or any other disposition for a violation of Chapters 3, 4, 6, 11, and 12 of the Illinois Vehicle Code, or a similar provision of a local ordinance, and any violation of the Child Passenger Protection Act, or a similar provision of a local ordinance, shall be disbursed within 60 days after receipt by the circuit clerk as follows: 47% shall be disbursed to the entity authorized by law to receive the fine imposed in the case; 12% shall be disbursed to the State Treasurer; and 41% shall be disbursed to the county’s general corporate fund. Of the 12% disbursed to the State Treasurer, 1/6 shall be deposited by the State Treasurer into the Violent Crime Victims Assistance Fund, 1/2 shall be deposited into the Traffic and Criminal Conviction Surcharge Fund, and 1/3 shall be deposited into the Drivers Education Fund. For fiscal years 1992 and 1993, amounts deposited into the Violent Crime Victims Assistance Fund, the Traffic and Criminal Conviction Surcharge Fund, or the Drivers Education Fund shall not exceed 110% of the amounts deposited into those funds in fiscal year 1991. Any amount that exceeds the 110% limit shall be distributed as follows: 50% shall be disbursed to the county’s general corporate fund and 50% shall be disbursed to the entity authorized by law to receive the fine imposed in the case. Not later than March 1 of each year the circuit clerk shall submit a report of the amount of funds remitted to the State Treasurer under this Section during the preceding year based upon independent verification of fines and fees. All counties shall be subject to this Section, except that counties with a population under 2,000,000 may, by ordinance, elect not to be subject to this Section. For offenses subject to this Section, judges shall impose one total sum of money payable for violations. The circuit clerk may add on no additional amounts except for amounts that are required by Sections 27.3a and 27.3c of this Act, unless those amounts are specifically waived by the judge. With respect to money collected by the circuit clerk as a result of forfeiture of bail, ex parte judgment or guilty plea pursuant to Supreme Court Rule 529, the circuit clerk shall first deduct and pay amounts required by Sections 27.3a and 27.3c of this Act. This Section is a denial and limitation of home rule powers and functions under subsection (h) of Section 6 of Article VII of the Illinois Constitution." (Emphases added.) 705 ILCS 105/27.5 (West 1998).
The comprehensive treatment could not more strongly demonstrate the legislature’s intention that all fees covered by the law, except those the legislature wanted to exempt, were to be disbursed in the manner described. In fact, the reference to our Rule 529 shows that when the General Assembly wanted to refer to monies collected by way of this court’s rules, it expressly so provided. Moreover, the fact that the General Assembly specifically referred to this section as a "denial and limitation" on the home rule power provides further proof of the intention that the General Assembly itself solely provide for the disbursement of fees collected by the clerks of our courts. The disbursement provisions contained in Rule 40 are at odds with the statutory provisions mandated by our legislature. Because our Constitution intends for this matter to be left to the legislature and not this court, I believe that the conflict must be resolved in favor of the legislature.
In sum, the Constitution mandates that fees must be collected by statute (or ordinance) and not by judicial rule. The legislature has expressly provided for the collection of fees in the Clerks of Courts Act and has further provided that any fees not covered specifically in that Act shall be set by rule or administrative order of the circuit court with the approval of the Administrative Office of the Illinois Courts. So it is by legislative enactment that the court may, by rule, set those fees not otherwise provided by law. Our Constitution also mandates that fees collected be deposited with the treasurer of the unit. There is no complementary constitutional provision which mandates the manner in which fees collected by clerks of the courts shall be disbursed; rather the matter is left to legislative authority. The General Assembly has implemented the constitutional mandate regarding fee deposits through enactment of the Fee Deposit Act and has provided for fee disbursements through enactment of the Clerks of Courts Act. Neither of these pieces of legislation grant to this court any authority whatsoever to direct either the deposit or disposition of fees.
Other observations support this conclusion. I refer specifically to the duty given by the legislature to the county boards to provide for court facilities. See 55 ILCS 5/5–1106 (West 1998). Section 5–1106 of the Counties Code mandates that the county board of each county provide reasonable and necessary expenses for the use of, inter alios, judges and clerks of the courts. The Code further mandates each county board to provide for proper rooms and offices for the accommodation of the circuit court of the county and to provide "suitable furnishings for such rooms and offices. *** The court rooms and furnishings thereof shall meet with reasonable minimum standards prescribed by the Supreme Court of Illinois. Such standards shall be substantially the same as those generally accepted in court rooms as to general furnishings, arrangement of bench, tables and chairs, cleanliness, convenience to litigants, decorations, lighting and other such matters relating to the physical appearance of the court room." 55 ILCS 5/5–1106 (West 1998). These mandates from the General Assembly are in harmony with the fee deposit and disbursement system established by the legislature–the fees revert directly to the county, which is charged with the responsibility of providing the upkeep of its courts.
The only conclusion that can be reached in light of the foregoing is that this court simply lacks the authority to create marriage trust funds in the manner prescribed in Rule 40. The Illinois Attorney General reached the same conclusion in 1977, when he issued an opinion finding that Rule 40 was inoperative insofar as it authorized deposits and disbursements of fees in contravention of statute. See 1977 Ill. Att’y Gen. Op. 159. Again, the fact that the amendments are well-intended and commendable must be separated from the fact that the collection and disbursement provisions of Rule 40 violate the separation of powers doctrine. This is no small concern. We, as an institution charged with the solemn authority to measure the constitutionality of legislative acts, must also be diligent to circumscribe our conduct to what is constitutionally permissive. Unfortunately, that has not occurred with respect to Rule 40. For these reasons, I respectfully dissent.
Committee Comment
(May 24, 2006)
Rule 40 provides that marriage funds may be expended to support judicial
"training courses approved by the judicial education committee." Under this
provision, marriage funds may be expended for only those judicial education programs
which have been approved for the award of continuing judicial education credit,
pursuant to the Supreme Court's Comprehensive Judicial Education Plan for Illinois
Judges. The role of the Illinois Judicial Conference Committee on Education, under
Rule 40, is limited to review and recommendation to the Supreme Court regarding the
award of judicial education credit. The authority to expend marriage funds for those
courses approved by the Court for the award of judicial education credit rests with
the chief circuit judges.
(a) Duties. There shall be a Judicial Conference to consider the work of the courts, to suggest improvements in the administration of justice, and to make recommendations for the improvement of the courts.
(b) Membership.
(1) The membership of the Judicial Conference shall consist of:
(A) The Chief Justice of the Supreme Court of Illinois who shall preside over the conference;
(B) The other members of the Supreme Court, who shall be ex officio members of the conference, and the Director of the Administrative Office of the Illinois Courts, who shall also be an ex officio member;
(C) The chairperson of the Executive Committee of the Appellate Court of the First Judicial District and the presiding judge of the appellate court in each judicial district other than the First Judicial District;
(D) Thirty judges from the First Judicial District;
(E) Ten judges from each judicial district other than the First Judicial District.
(F) The Supreme Court may appoint any judge, lawyer, or person involved with the judicial branch or administration of justice to the Judicial Conference pursuant to the Operating Procedures and Policies of the Illinois Judicial Conference.
(2)(A) All members designated in subparagraphs (1)(D) and (E) shall be appointed by the Supreme Court; however, at least one chief circuit judge shall be appointed from each judicial district.
(B) At least 10 of the judges appointed from the First Judicial District shall be associate judges of the circuit court, and at least three of the judges appointed from each of the other judicial districts shall be associate judges of the circuit court.
(C) One-third of the initial members appointed by the court from the First Judicial District shall serve until January 1, 1994; one-third shall serve until January 1, 1995; and one-third shall serve until January 1, 1996, or until their successors are appointed. In each of the other judicial districts, four of the initial members appointed by the Court shall serve until January 1, 1994; three shall serve until January 1, 1995; and three shall serve until January 1, 1996, or until their successors are appointed. Each term thereafter shall be for three years, and no member may be appointed to more than three full consecutive terms.
(c) Executive Committee.
(1) The Supreme Court shall appoint six members of the conference from the First Judicial District and two members from each of the other districts to serve on the Executive Committee, which shall act on behalf of the conference when the conference is not in session.
(2) The Chief Justice shall serve as chairperson of the committee, and shall convene the committee as necessary to attend to the business of the conference.
(3) At least 60 days prior to the date on which the Judicial Conference is to be convened the committee shall submit to the Supreme Court a suggested agenda for the annual meeting.
(d) Other Committees. The Executive Committee, on behalf of the conference, shall recommend to the Supreme Court the appointment of such other committees as are necessary to further the work of the conference and shall annually receive from each committee a recommendation as to whether that committee should be maintained or abolished and make appropriate recommendations to the Supreme Court. Each recommendation shall be accompanied by a justification for the recommendation.
(e) Meetings of Conference. The conference shall meet at least once annually at a place and on a date to be designated by the Supreme Court.
(f) Secretary. The Administrative Office of the Illinois Courts shall be secretary of the conference.
Amended effective July 1, 1971; amended March 1, 1993, effective immediately; amended September 23, 2008, effective immediately; amended Oct. 11, 2012, effective immediately.
Committee Comments
(Revised July 1, 1971)
This is former Rule 56--1, as amended January 25, 1966, with minor language changes.
Subparagraph (b) was amended in 1971 to delete the reference to "associate judges" of the circuit courts. Prior to the adoption of the 1970 Constitution, associate judges of the circuit court, as elected judges, were members of the Judicial Conference, but magistrates were not. Under the 1970 Constitution all elected judicial officers are called judges, and appointive judicial officers formerly called "magistrates" are called "associate judges." The 1971 amendment reflects this change in terminology.
Rule 42. Conference of Chief Circuit Judges
(a) Responsibilities. A conference of the chief circuit judges shall meet regularly to consider problems relating to the administration of the circuit courts and such other matters as may from time to time be referred to the conference by this court.
(b) Membership, Officers. The duly elected chief judge of each judicial circuit shall be a member of the conference of chief circuit judges. The chief judges shall select one of their number to serve as chairman of the conference and another to serve as vice-chairman. The chairman and vice-chairman shall serve two-year terms, beginning on January 1 of each even-numbered year and ending on December 31 of each odd-numbered year.
(c) Meetings. The conference shall meet at such times and places as may be designated by the members.
(d) Secretary. The Administrative Office of the Illinois Courts shall be secretary of the conference.
Adopted September 29, 1978, effective November 1, 1978; amended
June 15, 1982, effective July 1, 1982.
Rule 43. Seminars on Capital Cases Reserved.
(a) In order to insure the highest degree of judicial competency during a capital trial and sentencing hearing Capital Litigation Seminars approved by the Supreme Court shall be established for judges that may as part of their designated duties preside over capital litigation. The Capital Litigation Seminars should include, but not be limited to, the judge’s role in capital cases, motion practice, current procedures in jury selection, substantive and procedural death penalty case law, confessions, and the admissibility of evidence in the areas of scientific trace materials, genetics, and DNA analysis. Seminars on capital cases shall be held twice a year.
(b) Any circuit court judge or associate judge who in his current assignment may be called upon to preside over a capital case shall attend a Capital Litigation Seminar at least once every two years.
Adopted March 1, 2001, paragraph (a) effective immediately, paragraph (b) effective one year after adoption of the rule.
Committee Comments
Special Supreme Court Committee on Capital Cases
March 1, 2001
The committee’s proposal to require judicial training follows from the finding that reliability and fairness in a capital trial depend upon the skill and knowledge of the trial judge, the prosecutor, and counsel for the defense. The training requirement for judges complements rules establishing minimum qualifications for defense counsel and prosecutors in capital cases. See Rules 416(d), 701 and 714. Rule 43 establishes a regular series of Capital Litigation Seminars, and provides that judges who may preside over capital cases in the course of their regular assignment must attend a seminar at least once every two years. Aside from the direct benefits of the training seminars, Rule 43 will also insure that continuously updated training and reference materials are available to judges who hear capital cases.
Rule 43 is intended to increase judicial training and access to information and should not be viewed as a limitation on the kind or amount of training judges receive. For example, in requiring attendance at seminars, Rule 43 is not intended to foreclose the use of video conferencing, Internet access, or other technological means to participate in training from remote locations. Trial judges are encouraged to participate in additional training whenever possible.
It is contemplated that any judge who presides over a capital case on or after the effective date of paragraph (b) of the rule will have prior thereto attended a Capital Litigation Seminar.
Rule 46. Official Record of Court Proceedings
(1) court reporters as defined by the Court Reporters Act (705 ILCS 70/1);
(d) Electronic Recording of Court Proceedings.
Adopted December 13, 2005, effective immediately.
Rule 56. Temporary Assignment to Other Duties
(a) Policy. In order to promote public confidence in the integrity and impartiality of the judiciary, and taking into consideration the nature and severity of any charges against or implications of improper conduct by a judge, a chief judge of the circuit court, or the presiding judge in the appellate court, whichever the case may be, may temporarily assign a judge to restricted duties or duties other than judicial duties. A chief circuit judge, or the presiding appellate judge, whichever the case may be, shall enter a written administrative order setting out the reasons for such assignments. The reasons for such assignments may include, but need not be limited to, the following:
(1) the judge has been formally charged with the commission of a crime which involves moral turpitude or reflects adversely upon the judge’s fitness to serve; or
(2) a complaint has been filed with the Courts Commission by the Judicial Inquiry Board or a judge has allegedly committed a violation of the Code of Judicial Conduct which involves fraud, or moral turpitude, persistent nonperformance of judicial duties or threatens irreparable injury to the public, to the judicial branch of government, or to the orderly administration of justice;
(3) a judge has been publicly implicated in conduct which, if true, would constitute impropriety or an appearance of impropriety which involves moral turpitude or threatens irreparable injury to the public, to the judicial branch of government, or to the orderly administration of justice; or
(4) There is reasonable cause to believe that a medical examination would reveal that a judge is mentally incompetent or physically unable to perform his or her duties, whether the impairment is caused by injury, infirmity, a chemical dependency, other disease, or by any other cause whatever, and it appears that the incompetence is or may be permanent or will likely be of such duration that the judge’s continued assignment to judicial duties could result in irreparable injury to the public, impede the orderly administration of justice, or bring dishonor on the judicial system. Determinations as to a judge’s mental or physical ability to perform his or her duties shall be in compliance with all applicable federal and state disability laws.
(b) Form and Service of Order. The chief judge’s order shall be served personally upon the judge. If the judge is unavailable or the judge’s whereabouts are unknown, the order shall be served by mailing a copy of the order by ordinary mail to the judge’s last known address.
(c) Petition for Return to Full Assignment. Any judge temporarily assigned pursuant to this rule may request that the chief judge vacate the order. In the alternative the judge may, at any time, petition the Supreme Court for a return to full-duty assignment. A petition filed with the Supreme Court shall be in accordance with procedures outlined in Rule 383.
Adopted November 29, 1990, effective December 1, 1990; amended December 1, 2008, effective immediately.
(6) That the action of Chief Judge Boyle in relieving the respondent of his duties during the pendency of this hearing was proper."
This rule suggests circumstances which might warrant assignment of judges to restricted duties or to duties other than judicial duties and provides a procedure by which a chief circuit judge may temporarily assign judges to restricted duties or to duties other than judicial duties. This rule is modeled, in part, on Rule 774, Interim Suspension, under which the Supreme Court, on its own motion or on motion of the ARDC Administrator, may temporarily suspend an attorney from the practice of law, pending the outcome of prosecutions or investigations.
A judge assigned under this rule may seek relief either by asking the chief judge to vacate the order or by petitioning the Supreme Court for a return to a full-duty assignment. If the judge believes that a request directed to the chief judge would be unavailing, the judge is not bound to exhaust that possible remedy before filing his petition with the Supreme Court.
Assignments under this rule do not affect a judge's right to salary or to any of the emoluments of office, and are not disciplinary in nature. (Cf. In re Kaye (1974), 1 Ill. Cts. Com. 36.) If a judge is to be removed from office, suspended without pay, censured or reprimanded for any misconduct, or if a judge is to be suspended, with or without pay, or retired for being either physically or mentally unable to perform his or her duties, the Judicial Inquiry Board and the Courts Commission are responsible for conducting hearings and proceedings and imposing whatever remedy may be appropriate.
Rule 58. Judicial Performance Evaluation
(a) Definitions.
(1) Whenever the word "judge" is used in this rule, it includes only circuit and associate judges.
(2) Whenever the pronoun "he" is used in this rule, it includes the feminine as well as the masculine form.
(b) Preamble. The courts, the public and the bar have a vital interest in a responsive and respected judiciary. In its supervisory role and pursuant to its power over the court system and judges, the court has determined that the periodic evaluation of a judge's performance is a reliable method to promote judicial excellence and competence. Accordingly, the court has authorized a program for of mandatory judicial performance evaluation. The program shall be supervised by the court and shall be implemented and administered monitored by a committee appointed by the court designated as the Planning and Oversight Committee for a Judicial Performance Evaluation Program Committee (Oversight Committee), which shall establish procedures to implement this program.
(c) Purpose. There shall be a mandatory program of judicial performance evaluation for the purpose of achieving excellence in the performance of individual judges and the improvement of the judiciary as a whole.
(d) Confidentiality. The program must be conducted candidly and in strict confidence so that evaluations may be based on objective criteria and the areas for improvement determined fairly. The disclosure of evaluation information would be counterproductive to the goals of the evaluation program, reduce the free flow of comment, and result in the termination of the program. The following rules of confidentiality are essential to the successful implementation of the judicial evaluation program.
(1) Information Obtained. All information, questionnaires, notes, memoranda, electronic and computer data, and any other data obtained and used in the course of any judicial performance evaluation shall be privileged and strictly confidential. For the purpose of self-improvement, only the individual judge evaluated and the agents assigned to present the data to the judge will be permitted to know to which judge particular information applies. The information, in summary form only and without disclosing the names of individual judges, may also be used by the Supreme Court and its designated agents for the purposes of improvement of the judiciary, and for use in administering the courts and for the development of judicial education programs. The identity of any person who provides information shall be privileged and held confidential and shall not be made available to any person. Notwithstanding the foregoing, information disclosing a criminal act may be provided to law enforcement authorities at the direction of the Supreme Court. Requests for such information shall be made by written petition setting forth in particularity the need for such information. All information and data provided to law enforcement authorities pursuant to this paragraph shall no longer be deemed privileged and confidential. As to all information and data obtained in the operation of the program for judicial performance evaluation, the members of the Oversight Committee are hereby exempted from the requirements of the following rules of this court: Article I, Rule 63B(3) (Code of Judicial Conduct), and Article VIII, Rule 8.3 (Illinois Rules of Professional Conduct), except as herein provided.
(2) Admissibility as Evidence. Except as disclosed pursuant to paragraph (d)(1) hereof, all information, questionnaires, notes, memoranda or other data declared to be privileged and confidential hereby shall not be admissible as evidence, nor discoverable in any action of any kind in any court or before any tribunal, board, agency or person.
Adopted September 30, 1988, effective October 1, 1988; amended April 1, 1992, effective August 1, 1992; amended March 1, 2011, effective immediately.
Preface
Prior to 1964, Illinois left the matter of judicial ethics to the individual conscience of the judge, subject to the impeachment power of the General Assembly and the requirement that each judge run for reelection at the expiration of his term of office. On January 1, 1964, the effective date of the amendment to the judicial article of the 1870 Constitution, the Courts Commission was established to investigate, prosecute and adjudicate complaints of judicial misconduct against judicial officers. Concomitantly, the Illinois Judicial Conference adopted advisory Canons of Judicial Ethics.
In January 1970, the Illinois Supreme Court adopted the first rules of judicial conduct, effective March 15 of that year. With the adoption of the 1970 Constitution of Illinois, the present system for the enforcement of judicial ethics through the Judicial Inquiry Board and the Courts Commission was established. This first judicial code was based on the efforts of the Supreme Court Committee on Judicial Ethics. The report recommended that the matter be kept under constant surveillance, particularly "in view of the current work of the American Bar Association in this area and the approaching Constitutional Convention in the state."
With the adoption of a new code of judicial ethics by the American Bar Association in 1972, a joint Illinois State Bar Association and Chicago Bar Association committee submitted a report recommending that the new ABA Code be made the basis of a new Illinois code of judicial ethics. This report was studied by a committee of the Illinois Judicial Conference, whose report in 1975 led to several amendments to the Illinois code in 1976.
The initial determination of the present committee was to propose the adoption of a new code based on the ABA canons. There was general agreement that revisions of the existing code would be sufficient to keep Illinois in the forefront of the modern movement toward full but fair regulation of judicial ethics. Indeed, the comprehensiveness and wisdom of that code is reflected in the fact that it was the committee's conclusion that the adoption of the ABA canons would work no significant substantive changes in the existing law. The unanimous decision of the committee to recommend that the ABA canons be adopted as the foundation of the Illinois rules was primarily predicated on two interrelated factors: the desire for uniformity with rules governing judicial officers in other States and the need for a body of interpretative decisions to guide judicial officers when the application of a rule in a particular factual situation is not clear. With regard to the latter problem, an additional benefit lies in the fact that the ABA has established a Standing Committee on Ethics and Professional Responsibility which renders opinions on matters of proper professional or judicial conduct.
It was, of course, not feasible to recommend that the ABA canons be adopted verbatim. Specific provisions of the Illinois Constitution and statutes as well as circumstances unique to Illinois required that the canons be modified in accord with any superseding legal requirements and extraordinary circumstances. The committee commentary is primarily concerned with these modifications; however, wherever appropriate, the ABA commentary has been incorporated into the committee commentary. For an excellent background commentary on the ABA canons themselves see Thode, Reporter's Notes to Code of Judicial Conduct (ABA 1973).
CANON 1
A Judge Should Uphold the Integrity and
Independence of the Judiciary
This canon is substantially identical to the 1972 version of the ABA canon.
A Judge Should Avoid Impropriety and the
Appearance
of Impropriety in All of the Judge's Activities
A Judge Should Perform the Duties of Judicial
Office Impartially and Diligently
Adopted December 2, 1986, effective January 1, 1987; amended June 12, 1987, effective August 1, 1987; amended November 25, 1987, effective November 25, 1987; amended August 6, 1993, effective immediately; amended October 15, 1993, effective immediately; amended March 26, 2001, effective immediately; amended April 1, 2003, effective immediately; amended December 5, 2003, effective immediately; amended April 16, 2007, effective immediately; amended June 18, 2013, eff. July 1, 2013.
Committee Commentary
(April 1, 2003)
To the extent reasonably possible, all parties or their lawyers shall be included in communications with a judge.
Whenever presence of a party or notice to a party is required by paragraph A(4), it is the party's lawyer, or if the party is unrepresented the party, who is to be present or to whom notice is to be given.
Certain ex parte communication is approved by paragraph A(4) to facilitate scheduling and other administrative purposes and to accommodate emergencies. In general, however, a judge must discourage ex parte communication and allow it only if all the criteria stated in paragraph A(4) are clearly met. A judge must disclose to all parties all ex parte communications described in subparagraph A(4)(a) regarding a proceeding pending or impending before the judge.
A judge must not independently investigate facts in a case and must consider only the evidence presented.
A judge may request a party to submit proposed findings of fact and conclusions of law, so long as the other parties are apprised of the request and are given an opportunity to respond to the proposed findings and conclusions.
A judge must make reasonable efforts, including the provision of appropriate supervision, to ensure that paragraph A(4) is not violated through law clerks or other personnel on the judge's staff.
Paragraph A(5). The ABA 1972 canon provides that "[a] judge should dispose promptly of the business of the court." The committee agreed with the ISBA/CBA joint committee recommendation that the language of the Illinois Constitution (art. VI, §13(b)) which requires that a judge should devote full time to his or her judicial duties should be incorporated into this paragraph. Prompt disposition of the court's business requires a judge to devote adequate time to judicial duties, to be punctual in attending court and expeditious in determining matters under submission, and to insist that court officials, litigants and their lawyers cooperate with the judge to that end.
Paragraph A(6). ABA Canon 3A(6) is adopted without substantive change. It was the view of the committee that, with regard to matters pending before the judge, a judicial officer should discuss only matters of public record, such as the filing of documents, and should not comment on a controversy not pending before the judge but which could come before the judge. "Court personnel" does not include the lawyers in a proceeding before a judge. The conduct of lawyers is governed by Rule 3.6 of the Illinois Rules of Professional Conduct.
Paragraph A(7). The Illinois Supreme Court allows extended media coverage of proceedings in the supreme and appellate courts subject to certain specified conditions. Except to the extent so authorized, however, the existing prohibition of the taking of photographs in the courtroom during sessions of the court or recesses between proceedings, and the broadcasting or televising of court proceedings, other than those of a ceremonial nature, is retained. While this prohibition does not extend to areas immediately adjacent to the courtroom, it does not preclude orders regulating or restricting the use of those areas by the media where the circumstances so warrant.
Paragraph A(8). A judge must refrain from speech, gestures or other conduct that could reasonably be perceived as sexual harassment and must require the same standard of conduct of others subject to the judge's direction and control.
A judge must perform judicial duties impartially and fairly. A judge who manifests bias on any basis in a proceeding impairs the fairness of the proceeding and brings the judiciary into disrepute. A judge must be alert to avoid behavior that may be perceived as prejudicial.
Paragraph B(3). A modified version of the ABA canon was recommended even though Illinois Supreme Court Rule 61(c)(10) only referred to an obligation to refer an attorney's unprofessional conduct in matters before the judge to the proper authorities. Thus the rule here is broader, in that it is not limited to matters before the judge, and in that it extends the obligation to unprofessional conduct of other judges. In the case of misconduct by lawyers, the Rules of Professional Conduct, Rule 8.4, contains the circumstances of misconduct that are covered by paragraph B(3). This canon requires a judge to take or initiate appropriate disciplinary measures where he or she has knowledge of a violation of Rule 8.4. Where misconduct by an attorney is involved, a finding of contempt may, in appropriate circumstances, constitute the initiation of appropriate disciplinary measures. Furthermore, in both cases, the rule does not preclude a judge from taking or initiating more than a single appropriate disciplinary measure. Additionally, a judge may have a statutory obligation to report unprofessional conduct which is also criminal to an appropriate law enforcement official.
Paragraph B(4). It is the position of the committee that this ABA canon implicitly includes the provision of Illinois Supreme Court Rule 61(c)(11) that a judge "should not offend against the spirit of this standard by interchanging appointments with other judges, or by any other device." Appointees of the judge include officials such as receivers and guardians, and personnel such as clerks, secretaries, and bailiffs. Consent by the parties to an appointment or an award of compensation does not relieve the judge of the obligation prescribed by this paragraph.
Paragraphs C(1)(a) through C(l)(c). When originally adopted on December 2, 1986, the existing ABA canon was modified in two ways. The words "or his lawyer" were added to paragraph C(l)(a) to expressly mandate disqualification in the case of personal bias or prejudice toward an attorney rather than a party. This modification was later incorporated by the ABA into its 1990 revision. More significantly a new subparagraph, C(1)(c), was added in 1986 regulating disqualifications when one of the parties is represented by an attorney with whom the judge was formerly associated and when one of the parties was a client of the judge. These modifications were in substantial accord with the joint committee recommendations. Hence ABA subparagraphs (c) and (d) were renumbered and are now subparagraphs (d) and (e) respectively.
Paragraphs C(1)(d) and (1)(e). The fact that a lawyer in a proceeding is affiliated with a law firm with which a relative of the judge is affiliated does not of itself disqualify the judge. Under appropriate circumstances, the fact that "the judge's impartiality might reasonably be questioned" under Canon 3C(1), or that the relative is known by the judge to have an interest, or its equivalent, in the law firm that could be "substantially affected by the outcome of the proceeding" under Canon 3C(l)(e)(iii) may require the judge's disqualification.
Paragraph D. A remittal procedure provides the parties an opportunity to proceed without delay if they wish to waive the disqualification. To assure that consideration of the question of remittal is made independently of the judge, a judge must not solicit, seek or hear comment on possible remittal or waiver of the disqualification unless the lawyers jointly propose remittal after consultation as provided in the rule. A party may act through counsel if counsel represents on the record that the party has been consulted and consents. As a practical matter, a judge may wish to have all parties and their lawyers sign the remittal agreement.
APPENDIX
Any security cameras installed in the courtrooms in the various circuits shall be in accordance with the following standards; (1) security cameras are to be placed in areas of the courtroom such that there is no video recording of the jury or witnesses; (2) audio recordings of the proceedings are prohibited in connection with security cameras; (3) use of such cameras is limited to security purposes and any video tape produced therefrom shall remain the property of the court and may not be used for evidentiary purposes by the parties or included in the record on appeal; (4) security cameras shall be monitored by designated court personnel only; and (5) signs shall be posted in and outside of the courtroom notifying those present of the existence of the court surveillance.
A Judge May Engage in Activities to Improve the Law,
the Legal System, and the Administration of Justice
A judge, subject to the proper performance of his or her judicial duties, may
engage in the following law-related activities, if in doing so the judge does not cast
doubt on his or her capacity to decide impartially any issue that may come before him
or her.
A. A judge may speak, write, lecture, teach (with the approval of the judge's supervising, presiding, or chief judge), and participate in other activities concerning the law, the legal system, and the administration of justice.
B. A judge may appear at a public hearing before an executive or legislative body or official on matters concerning the law, the legal system, and the administration of justice, and he or she may otherwise consult with an executive or legislative body or official, but only on matters concerning the administration of justice.
C. A judge may serve as a member, officer, or director of an organization or a bar
association, governmental agency, or other organization devoted to the improvement
of the law, the legal system, or the administration of justice. He or she may assist such
an organization in raising funds and may participate in their management and
investment, but should not personally participate in public fund-raising activities. He
or she planning fund-raising activities; may participate in the management and
investment of the organization's funds; and may appear at, participate in, and allow
his or her title to be used in connection with a fund-raising event for the organization.
Under no circumstances, however, shall a judge engage in direct, personal solicitation
of funds on the organization's behalf. Inclusion of a judge's name on written materials
used by the organization for fund-raising purposes is permissible under this rule so
long as the materials do not purport to be from the judge and list only the judge's
name, office or other position in the organization and, if comparable designations are
listed for other persons holding a similar position, the judge's judicial title.
D. A judge may make recommendations to public and private fund-granting agencies on projects and programs concerning the law, the legal system, and the administration of justice.
Adopted December 2, 1986, effective January 1, 1987; amended June 4, 1991, effective August 1, 1991; Committee Commentary amended October 15, 1993, effective immediately; amended September 30, 2002, effective immediately; amended May 24, 2006, effective immediately.
Committee Commentary
This canon regulates the permissible scope of a judicial officer's law-related activities. As a judicial officer and person specially learned in the law, a judge is in a unique position to contribute to the improvement of the law, the legal system, and the administration of justice, including revision of substantive and procedural law and improvement of criminal and juvenile justice. To the extent that the judge's time permits, he or she is encouraged to do so through appropriate channels.
Extrajudicial activities are governed by Canon 5.
For the distinction between those organizations devoted to the improvement of the law, the legal system, and the administration of justice referred to in paragraph C and other civic or charitable organizations, see Thode at page 76.
CANON 5
A Judge Should Regulate His or Her Extrajudicial Activities
to Minimize the Risk of Conflict With the Judge’s
Judicial Duties
A. Avocational Activities. A judge may write, lecture, teach, and speak on nonlegal subjects, and engage in the arts, sports, and other social and recreational activities, if such avocational activities do not detract from the dignity of the judge’s office or interfere with the performance of the judge’s judicial duties.
B. Civic and Charitable Activities. A judge may participate in civic and charitable activities that do not reflect adversely upon the judge’s impartiality or interfere with the performance of the judge’s judicial duties. A judge may serve as an officer, director, trustee, or nonlegal advisor of an educational, religious, charitable, fraternal, or civic organization not conducted for the economic or political advantage of its members, subject to the following limitations:
(1) A judge should not serve if it is likely that the organization will be engaged in proceedings that would ordinarily come before the judge or will be regularly engaged in adversary proceedings in any court.
(2) A judge should not solicit or permit his or her name to be used in any manner to solicit funds or other assistance for any such organization. A judge should not allow his or her name to appear on the letterhead of any such organization where the stationery is used to solicit funds and should not permit the judge’s staff, court officials or others subject to the judge’s direction or control to solicit on the judge’s behalf for any purpose, charitable or otherwise. A However, a judge may be a speaker or the guest of honor at an organization’s fund-raising events and may allow event-related promotional materials, invitations, and other communications to mention such participation by the judge.
C. Financial Activities.
(1) A judge should refrain from financial and business dealings that tend to reflect adversely on the judge’s impartiality, interfere with the proper performance of the judge’s judicial duties, exploit the judge’s judicial position, or involve the judge in frequent transactions with lawyers or persons likely to come before the court on which the judge serves.
(2) Subject to the requirements of subsection (1), a judge may hold and manage investments, including real estate, and engage in the activities usually incident to the ownership of such investments, but a judge should not assume an active role in the management or serve as an officer, director, or employee of any business.
(3) A judge should manage his or her investments and other financial interests to minimize the number of cases in which the judge is disqualified. As soon as the judge can do so without serious financial detriment, the judge should divest himself or herself of investments and other financial interests that might require frequent disqualification.
(4) Neither a judge nor a member of the judge’s family residing in the judge’s household should accept a gift, bequest, favor, or loan from anyone except as follows:
(a) a judge may accept a gift incident to a public testimonial to the judge; books supplied by publishers on a complimentary basis for official use; or an invitation to the judge and the judge’s spouse to attend a bar-related function or activity devoted to the improvement of the law, the legal system, or the administration of justice;
(b) a judge or a member of the judge’s family residing in the judge’s household may accept ordinary social hospitality; a gift, bequest, favor, or loan from a relative; a wedding or engagement gift; a loan from a lending institution in its regular course of business on the same terms generally available to persons who are not judges; or a scholarship or fellowship awarded on the same terms applied to other applicants;
(c) a judge or a member of the judge’s family residing in the judge’s household may accept any other gift, bequest, favor, or loan only if the donor is not a party or other person whose interests have come or are likely to come before the judge, including lawyers who practice or have practiced before the judge.
(5) Information acquired by a judge in the judge’s judicial capacity should not be used or disclosed by the judge in financial dealings or for any other purpose not related to the judge’s judicial duties.
D. Fiduciary Activities. A judge should not serve as the executor, administrator, trustee, guardian, or other fiduciary, except for the estate, trust, or person of a member of the judge’s family, and then only if such service will not interfere with the proper performance of the judge’s judicial duties. As a family fiduciary a judge is subject to the following restrictions:
(1) The judge should not serve if it is likely that as a fiduciary the judge will be engaged in proceedings that would ordinarily come before the judge, or if the estate, trust, or ward becomes involved in adversary proceedings in the court on which the judge serves or one under its appellate jurisdiction.
(2) While acting as a fiduciary a judge is subject to the same restrictions on financial activities that apply to the judge in his or her personal capacity.
E. Arbitration. A judge should not act as an arbitrator or mediator.
F. Practice of Law. A judge should not practice law.
G. Extrajudicial Appointments. A judge should not accept appointment to a governmental committee, commission, or other position that is concerned with issues of fact or policy on matters other than the improvement of the law, the legal system, or the administration of justice. A judge, however, may represent his or her country, State, or locality on ceremonial occasions or in connection with historical, educational, and cultural activities.
Adopted December 2, 1986, effective January 1, 1987; amended October 15, 1993, effective immediately; amended May 24, 2006, effective immediately; amended December 7, 2011, effective immediately.
CANON 6
Nonjudicial Compensation and Annual
Statement of Economic Interests
A judge may not receive compensation for the law-related and extrajudicial activities permitted by this Code; however, he or she may receive an honorarium and reimbursement of expenses if the source of such payments does not give the appearance of influencing the judge in his or her judicial duties or otherwise give the appearance of impropriety. subject to the following restrictions: For purposes of this canon, “compensation” is a sum of money or other thing of value paid by a person or entity to a judge for services provided or performed. Compensation shall not be construed to include investment or interest income or other income that is unrelated to the work or services provided or performed by the judge; nor shall compensation be construed to include a sum of money or other thing of value paid for writings.
A. Honorarium. An honorarium should not exceed a reasonable amount nor should it exceed what a person who is not a judge would receive for the same activity. The total honoraria received by a judge within a six-month period shall not exceed $5,000.
A. Compensation. Compensation should not exceed a reasonable amount nor should it exceed what a person who is not a judge would receive for the same activity.
Adopted December 2, 1986, effective January 1, 1987; amended June 4, 1991, effective August 1, 1991; amended April 1, 1992, effective August 1, 1992; amended October 15, 1993, effective immediately; amended December 13, 1996, effective immediately; amended September 30, 2002, effective immediately.
CANON 7
A Judge or Judicial Candidate Shall Refrain
From Inappropriate Political Activity
A. All Judges and Candidates.
(1) Except as authorized in subsections B(1)(b) and B(3), a judge or a candidate for election to judicial office shall not:
(a) act as a leader or hold an office in a political organization;
(b) publicly endorse or publicly oppose another candidate for public office;
(c) make speeches on behalf of a political organization;
(d) solicit funds for, or pay an assessment to a political organization or candidate.
(2) A judge shall resign from judicial office upon becoming a candidate for a non-judicial office either in a primary or in a general election.
(3) A candidate for a judicial office:
(a) shall maintain the dignity appropriate to judicial office and act in a manner consistent with the integrity and independence of the judiciary, and shall encourage members of the candidate's family to adhere to the same standards of political conduct in support of the candidate as apply to the candidate;
(b) shall prohibit employees and officials who serve at the pleasure of the candidate, and shall discourage other employees and officials subject to the candidate's direction and control from doing on the candidate's behalf what the candidate is prohibited from doing under the provisions of this Canon;
(c) except to the extent permitted by subsection B(2), shall not authorize or knowingly permit any other person to do for the candidate what the candidate is prohibited from doing under the provisions of this Canon;
(d) shall not:
(i) make statements that commit or appear to commit the candidate with respect to cases, controversies or issues within cases that are likely to come before the court; or
(ii) knowingly misrepresent the identity, qualifications, present position or other fact concerning the candidate or an opponent; and
(e) may respond to personal attacks or attacks on the candidate's record as long as the response does not violate subsection A(3)(d).
B. Authorized Activities for Judges and Candidates.
(1) A judge or candidate may, except as prohibited by law:
(i) purchase tickets for and attend political gatherings;
(ii) identify himself or herself as a member of a political party; and
(iii) contribute to a political organization;
(b) when a candidate for public election
(i) speak to gatherings on his or her own behalf;
(ii) appear in newspaper, television and other media advertisements supporting his or her candidacy;
I dissent from the adoption of certain portions of new Rule 67 of the Code.
A judge shall file annually with the Clerk of the Illinois Supreme Court (the Clerk) a verified written statement of economic interests and relationships of the judge and members of the judge's immediate family (the statement).
As statements are filed in the Clerk's office, the Clerk shall cause the fact of that filing to be indicated on an alphabetical listing of judges who are required to file such statements. Blank statement forms shall be furnished to the Clerk by the Director of the Administrative Office of the Illinois Courts (the Director).
Any person who files or has filed a statement under this rule shall receive from the Clerk a receipt indicating that the person has filed such a statement and the date of such filing.
All statements filed under this rule shall be available for examination by the public during business hours in the Clerk's office in Springfield or in the satellite office of the Clerk in Chicago. Original copies will be maintained only in Springfield, but requests for examination submitted in Chicago will be satisfied promptly. Each person requesting examination of a statement or portion thereof must first fill out a form prepared by the Director specifying the statement requested, identifying the examiner by name, occupation, address and telephone number, and listing the date of the request and the reason for such request. The Director shall supply such forms to the Clerk and replenish such forms upon request. Copies of statements or portions of statements will be supplied to persons ordering them upon payment of such reasonable fee per page as is required by the Clerk. Payment may be by check or money order in the exact amount due.
The Clerk shall promptly notify each judge required to file a statement under this rule of each instance of an examination of the statement by sending the judge a copy of the identification form filled out by the person examining the statement.
The contents of the statement required by this rule shall be as specified by administrative order of this court.
Effective March 15, 1970; amended April 1, 1986, effective August 1, 1986.
(b) greater than $5,000 but not more than $15,000;
(c) greater than $15,000 but not more than $50,000;
(d) greater than $50,000 but not more than $100,000;
(e) greater than $100,000 but not more than $250,000; and
(f) greater than $250,000.
Excluded from this requirement are obligations consisting of revolving charge accounts, with an outstanding liability equal to or less than $5,000.
[Letterhead of Administrative Office of the Illinois Courts]
TO: MEMBERS OF THE JUDICIARY OF THE STATE OF ILLINOIS
RE: Compliance with Supreme Court Rule 68
(C) One 9 x 12 mailing envelope preaddressed to the Clerk of the Supreme Court.
INSTRUCTIONS CONCERNING REQUIRED
STATEMENT FOR MEMBERS OF THE JUDICIARY
OF THE STATE OF ILLINOIS
(b) greater than $5,000 but not more than $15,000;
(c) greater than $15,000 but not more than $50,000;
(d) greater than $50,000 but not more than $100,000;
(e) greater than $100,000 but not more than $250,000; and
STATEMENT REQUIRED OF MEMBERS OF
THE
JUDICIARY OF THE STATE OF ILLINOIS
(Here list former economic interests specified in numbered paragraph 2 of the instructions.)
(Here list in accordance with numbered paragraph 3 of the instructions.)
(Here list in accordance with numbered paragraph 4 of the instructions.)
(Here list in accordance with numbered paragraph 5 of the instructions.)
(Here list fiduciary positions in accordance with numbered paragraph 7 of the instructions.)
(Here list gifts in accordance with numbered paragraph 8 of the instructions.)
________________________
Judge’s Signature
Rules 69-70. Reserved.
Rule 71. Violation of Rules
A judge who violates Rules 61 through 68 may be subject to discipline by the Illinois Courts Commission.
Effective March 15, 1970; amended effective October 1, 1971; amended June 24, 1976, effective July 15, 1976; amended December 2, 1986, effective January 1, 1987.
Rule 76. Military Service of Judges
(a) Military Service During War. A judge or associate judge may serve for a period of no more than 12 months in the state militia or the armed forces of the United States when called into active military service during war between the United States and a foreign government. The judge or associate judge’s military pay may be supplemented for the first 30 days with full pay and, thereafter, in an amount necessary to bring his or her total salary, inclusive of base military pay, to the level earned at the time he or she was called to service. After the 12-month period, a judge or associate judge who remains on active duty may request from the Supreme Court of Illinois an extension of the 12-month period.
(b) Reserve or Guard Training. A judge or associate judge who is a commissioned reserve officer or a reserve enlisted in the United States military or naval service or a member of the National Guard may serve on all days during which they are engaged in training ordered under the provisions of the United States military or naval training regulations for such personnel when assigned to active or inactive duty. Training shall be with full pay, not to exceed 30 days in each year.
(c) Benefits During Military Service. During periods of active military service, a judge or associate judge may be entitled to continued health insurance and other existing benefits, including retirement privileges. For purposes of computing whether a judge or associate judge may be entitled to retirement, a period of active military service shall be deemed continuous service in the office of said judge or associate judge.
(d) Resumption of Judicial Duties. A judge or associate judge terminating active military service shall immediately enter upon his or her judicial duties for the unexpired portion of the term for which he or she was elected or appointed.
(e) Term of Office. In the event that the term of office of a judge or associate judge shall expire during such period of active military service, the office shall be filled by election or appointment as may be required by law; provided, however, that a supreme, appellate or circuit judge in active military service shall have the right to file a declaration of candidacy and run for retention of his or her judicial seat, and an associate judge in active military service shall have the right to file a request for reappointment to his or her judicial seat.
(f) Definitions.
(1) The term "active military service" as used in this rule shall signify active duty in the Illinois defense force or federal service in training or on active duty with any branch of the Army of the United States, the United States Navy, the United States Air Force, the Marine Corps of the United States, the Coast Guard of the United States, and service of all officers of the United States Public Health Service detailed by proper authority for duty either with the army or the navy, and shall include the period during which a judge or associate judge in military service is absent from duty on account of sickness, wounds, leave, or other lawful causes.
(2) The term "period of active military service" as used in this rule shall begin with the date of entering upon active military service and shall terminate with death or the date immediately next succeeding the date of release or discharge from active military service or upon return from active military service, whichever shall occur first.
Effective July 1, 1971; amended May 28, 2003, effective immediately, amended June 6, 2003, effective immediately.
Committee Comments
(July 1,1971)
This rule was adopted pursuant to the authority granted in section 13(b) of article VI of the new Illinois Constitution to prescribe the periods of time that a judge or associate judge may serve in the State militia or armed forces of the United States without becoming disqualified from serving as a judge or associate judge.
MANDATORY ARBITRATION
Introductory Comments
Objectives
The Committee, from its inception, was duly aware of the formidability of its undertaking in the light of the novelty to the Illinois bar of the concept as well as the procedure for the conduct of nonbinding court-annexed arbitration as a method for dispute resolution. It finds, even at this date, approximately one year after the effective date of the enabling legislation, after the publication of numerous articles, the consideration of proposed rules by three major bar associations and public hearings, that the vast majority of the Illinois bar is unaware of the existence of this act and the imminence of this procedure as an integral part of the State judicial system.
The clarity, the reasonableness and the fairness of the rules to be recommended were a foremost consideration by the Committee to address both the fact of the foregoing novelty as well as the apprehension usually attendant to the introduction of a new procedure to be learned and put into practice. Equally if not more so, was the Committee dedicated to achieving a product worthy of acceptance and promulgation by this court.
At the time of our appointment, there were in effect in approximately 16 jurisdictions rules for the conduct of mandatory arbitration programs, any set of which conceivably could have served as a viable model for adoption and use in Illinois. However, the focus of our effort in relation to a set of specific rules was to recommend that which would induce support from all affected sectors of the bar and the public, and which would manifest itself as a feasible vehicle for an early economical and fair resolution of monetary disputes.
Toward these ends, it was our intention in the conduct and course of deliberations to obtain a product refined from the use and experience of the full panoply of models in existence and that of Pennsylvania in particular.
Background and Sources
When the Committee began its deliberations, there were among its members four judges who had previously served on a Judicial Conference Study Committee, whose recommendations served as the basis for the present mandatory Arbitration Act. These four judges, as a result of the prior study had available to them for use in the work of this Committee a considerable bank of knowledge of existing arbitration systems. A national conference on mandatory arbitration sponsored by the National Institute for Dispute Resolution held in Washington, D.C., May 29-31, 1985, provided the chair of this Committee with a further opportunity to discuss the development of these programs with representatives of other jurisdictions.
To enable those members of this Committee who had not served on the Study Committee to become equally informed, a visit was arranged for them to attend and observe the operation of the mandatory arbitration program at Philadelphia, Pennsylvania, and to meet with judicial and administrative personnel so engaged. For two days--December 9 and 10, 1985--several members of the Committee, State Senator Arthur Berman and four members of the Chicago bar, knowledgeable in the field of voluntary arbitration, attended actual hearings being conducted at the Arbitration Center and meetings with supervisory judges and administrators. On December 10 a round-table discussion was arranged for our contingent with 14 practitioners of Philadelphia, representing plaintiff and defense bars, insurance carriers and the metropolitan transit system. Without exception those members of the Committee who had not previously been knowledgeable of this process, as well as the other attendees from Illinois, were imbued with enthusiasm for the prospect of a similar program available to Illinois and immensely impressed with the apparent effectiveness as well as the wide-scale acceptance of this procedure in Philadelphia.
In addition to the Philadelphia on-site study by members of this Committee, its chair and member Judge Harris Agnew, accompanied by staff attorney James Woodward, on a later occasion visited four other less populous counties of Pennsylvania to study the use and operation of their mandatory arbitration programs. These visits provided models of local rules and the opportunity to interview judges and practitioners involved as well as to learn their evaluations of the effectiveness of rules in place.
The Committee's chair met with the supervising judge, the administrator and attorney practitioners in the arbitration program at Passaic County, New Jersey, and then repeated this scenario at Pittsburgh. On a later occasion the chair visited with the administrator of the King County (Seattle), Washington, arbitration program and one of its leading practitioners to discuss the effectiveness of their local and statewide rules.
It was uniformly reported to this Committee, from those thoroughly experienced with this procedure, that a full hearing necessary to arrive at award could be achieved in less than three hours. Reports from several jurisdictions were that a full hearing usually required even less than two hours to completion. It was feasible to expect completion of a three-day, 12-person jury trial within that time via the arbitration procedure under similar rules.
The fairness of the rules governing these hearings is evidenced by the high rate of acceptance by litigants, the steady increase in the number of jurisdictions initiating these programs, and their proliferation among judicial districts within a jurisdiction once it has been initiated. The reliability and durability of existing programs are further evidenced by the relatively few amendments to the rules that have been adopted since their inception. When there has been amendment, it usually consisted of an increase in the monetary limit for arbitrability, which in itself attests to the acknowledgment of the effectiveness of their rules and this mechanism for dispute resolution.
By late summer of 1986, the Committee had reached a consensus for proposed rules for consideration by the general bar and interested members of the private and public sectors. A draft of these proposed rules was widely distributed and responses invited. The Illinois State Bar Association, the Chicago Bar Association and the Chicago Council of Lawyers were specially requested to invite appropriate committees of those associations to consider these rules and formulate responses. The Committee arranged and conducted two hearings, one in Chicago and the other in Springfield. At those hearings, representatives of these bar groups, of the judiciary, and of major insurance carrier trade associations representing the membership of several hundred companies appeared to present their views relative to the draft.
Rule 86. Actions Subject to Mandatory Arbitration
Adopted May 20, 1987, effective June 1, 1987; amended December
30, 1993, effective January 1, 1994.
Rule 87. Appointment, Qualification and Compensation of Arbitrators
(a) List of Arbitrators. A list of arbitrators shall be prepared in the manner
prescribed by a circuit rule. The list shall consist of a sufficient number of members
of the bar engaged in the practice of law and retired judges within the circuit in which
the court is situated.
(b) Panel. The panel of arbitrators shall consist of three members of the bar, or such lesser number as may be agreed upon by the parties, appointed from the list of available arbitrators, as prescribed by circuit rule, and shall be chaired by a member of the bar who has engaged in trial practice for at least three years or by a retired judge. Not more than one member or associate of a firm or office association of attorneys shall be appointed to the same panel.
(c) Disqualification. Upon appointment to a case, an arbitrator shall notify the court and withdraw from the case if any grounds appear to exist for disqualification pursuant to the Code of Judicial Conduct.
(d) Oath of Office. Each arbitrator shall take an oath of office in each county or circuit in which the arbitrator intends to serve on an arbitration panel. The oath shall be in conformity with the form provided in Rule 94 herein and shall be executed by the arbitrator when such arbitrator’s name is placed on the list of arbitrators. Arbitrators previously listed as arbitrators shall be relisted on taking the oath provided in Rule 94.
(e) Compensation. Each arbitrator shall be compensated in the amount of $75
$100 per hearing.
Adopted May 20, 1987, effective June 1, 1987; amended December 3, 1997, effective
January 1, 1998; amended March 1, 2001, effective immediately; amended January 25,
2007, corrected January 26, 2007,
effective immediately February 1, 2007.
Rule 88. Scheduling of Hearings
Adopted May 20, 1987, effective June 1, 1987.
Adopted May 20, 1987, effective June 1, 1987; amended March 26,
1996, effective immediately.
Rule 90. Conduct of the Hearings
(2) bills for drugs, medical appliances and prostheses (specified as paid or unpaid);
The pages of any Rule 90(c) package submitted to the arbitrators should be numbered consecutively from the first page to the last page of the package in addition to any separate numbering of the pages of individual documents comprising such package.
IN THE CIRCUIT COURT OF ___________________ COUNTY, ILLINOIS
| Plaintiff | ) ) ) ) ) ) ) |
No. |
PURSUANT TO SUPREME COURT RULE 90(C)
| I. | Healthcare Provider Bills | Amount Paid | Amount Unpaid |
| 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. |
|||
| II. | Other Items of Compensable Damages | ||
| 1. 2. 3. 4. 5. |
Committee Comments
(January 1, 2006)
Order entered November 27, 2002, effective immediately.
Committee Comment
(March 28, 2002)
This rule is amended to conform to the changes in terminology made in Supreme Court Rule 213.
Rule 91. Absence of Party at Hearing
Adopted May 20, 1987, effective June 1, 1987; amended April 7,
1993, effective June 1, 1993.
Rule 92. Award and Judgment on Award
(a) Definition of Award. An award is a determination in favor of a plaintiff or defendant.
Adopted May 20, 1987, effective June 1, 1987; amended December
30, 1993, effective January 1, 1994.
The 1981 official Explanatory Note to Pennsylvania Rule 1308 states:
Rule 94. Form of Oath, Award and Notice of Award
The oath, award of arbitrators, and notice of award shall be in substantially the following form:
(Or, in the Circuit Court of Cook County, Illinois)
_____________________________________
Name of Arbitrator
Date
In the Circuit Court of the _________________Judicial Circuit, ___________ County, Illinois.
(Or, in the Circuit Court of Cook County, Illinois)
| A.B.,
C.D., etc. (naming all plaintiffs), Plaintiffs, v. H.J., K.L., etc. (naming all defendants), Defendants. |
) ) ) ) ) |
No.__________________ Amount Claimed________ |
All parties participated in good faith.
______________did NOT participate in good faith based upon the following findings.
________________________ Dissents as to the Award
Date of Award: ________________
In the Circuit Court of the ________________ Judicial Circuit, _________________ County, Illinois.
(Or, in the Circuit Court of Cook County, Illinois)
| A.B., C.D., etc.(naming all plaintiffs), Plaintiffs v. H.J., K.L., etc.(naming all defendants), Defendants |
) ) ) ) ) ) |
No.________________ Amount Claimed ______ |
Dated this ______ day of
________________, 1920__.
_______________________________
Clerk of the Circuit Court
Rule 95. Form of Notice of Rejection of Award
The notice of rejection of the award shall be in substantially the following form:
In the Circuit Court of the _______________ Judicial Circuit, _______________
County, Illinois.
(Or, in the Circuit Court of Cook County, Illinois.)
A.B., C.D. etc. (naming all plaintiffs),
H.J., K.L. etc. (naming all defendants), Amount Claimed _______
To the Clerk of the Circuit Court:
______________________________
By: ___________________________
(Certificate of Notice of Attorney)
Adopted May 20, 1987, effective June 1, 1987.
(2) At a minimum, the local circuit court rules shall address:
(i) Actions eligible for referral to mediation;
(ii) Appointment, qualifications and compensation of the mediators;
(iii) Scheduling of the mediation conferences;
(iv) Conduct of the conferences;
(vi) Absence of party at the conference and sanctions;
(vii) Termination and report of mediation conference;
(viii) Finalization of agreement;
(ix) Immunity and cConfidentiality;
(x) Mechanism for reporting to the Supreme Court on the mediation program.
Rule 99.1. Mortgage Foreclosure Mediation Programs.
(a) Mortgage foreclosure specific mediation programs implemented by any judicial circuit must adhere to the requirements set forth in Rule 99 and this rule.
(b) Each judicial circuit that currently has approved local rules for a mediation program in place in accordance with Rule 99 may apply that program to mortgage foreclosure cases if applicable. Local rules amended or created to accommodate mortgage foreclosure cases consistent with this rule must be submitted to the Administrative Office of the Illinois Courts for review and approval prior to implementation.
(c) Each judicial circuit electing to establish a new mortgage foreclosure mediation program shall adopt rules for the conduct of the mortgage foreclosure mediation proceedings. If a judicial circuit elects to establish a new mortgage foreclosure mediation program, the judicial circuit shall establish a plan for starting a mortgage foreclosure mediation program that demonstrates the mediation program can be implemented for that particular county or counties at the time of submission of the local rules for approval by the Administrative Office.
(d) Based on the plan established pursuant to paragraph (c), the local circuit rules shall address:
(i) the requirements set forth in Rule 99;
(ii) resources to provide meaningful access to HUD-certified housing counseling services for eligible homeowners;
(iii) resources to provide meaningful access to pro bono legal representation for eligible homeowners;
(iv) resources to provide meaningful language access for program participants;
(v) any costs charged to any participant in the mortgage foreclosure case;
(vi) a sustainability plan that includes a long-term funding plan; and
(vii) training of judges, key court personnel and volunteers on mortgage foreclosure mediation.
Adopted Feb. 22, 2013, eff. Mar. 1, 2013.
COMMITTEE COMMENTS
(March 1, 2013)
The creation of Rule 99.1 resulted from the drastic increase in mortgage foreclosure cases and the resultant burden on judicial circuits throughout the state. Each judicial circuit faced a foreclosure crisis and began adapting its court procedures to most effectively administer the foreclosure proceedings. As a result, the judicial circuits began applying to the Illinois Supreme Court under Rule 99 for approval of mortgage foreclosure specific mediation programs. These programs varied widely in scope, capacity, and structure. To more fully understand the needs of mortgage foreclosure specific mediation, the Illinois Supreme Court appointed a committee to study and hold public hearings to address the need for uniformity among mediation programs. The Special Supreme Court Committee on Mortgage Foreclosures concluded that there was no one model that would work well for each judicial circuit but certain elements must be present to provide equal accessibility and assistance throughout the state. The intention of this rule is to incorporate more consistent elements in programs throughout the state while also allowing flexibility for changing conditions with mortgage foreclosure filings in the future.
The plan required in paragraph (c) recognizes the Supreme Court’s need to understand the extent of the mortgage foreclosure problem in the county or counties in each judicial circuit applying for approval. The Supreme Court should be provided the history of the mortgage foreclosure filings in the judicial circuit, the available resources, and the staffing scope of the judicial circuit that shows that the mortgage foreclosure program is realistically attainable for the judicial circuit. The judicial circuit applying for approval should provide a plan that is comparable in scope, size and capacity to the mortgage foreclosure problem facing that circuit. Additionally, the plan should include information about available resources for qualified homeowners that will contribute to the successful implementation of such a program.
Paragraph (d) sets forth requirements specific to mortgage foreclosure mediation programs in addition to the requirements articulated in Rule 99. The Committee concluded that for residential mortgage foreclosures where a defendant was actively living in the home and facing foreclosure, access to a HUD-certified housing counselor and pro bono legal representation is beneficial. However, the Committee also recognized that the availability of those resources may differ from circuit to circuit in the state. As a result, any program proposal submitted for approval shall detail the access the program will be able to provide to eligible homeowners to HUD-certified housing counseling services and pro bono legal representation. Lack of availability of particular resources due to financial or geographic constraints shall not preclude approval of a mediation program.
The Committee also recognized that the implementation of a mortgage foreclosure mediation program can drain a court’s resources both financially and in staffing capacity. As a result, paragraphs (d)(v) and (vi) require any new mortgage foreclosure mediation program to set forth any costs charged to the parties in the litigation, as well as the sustainability funding plan. The fees charged may include, but are not limited to, mediator fees for mediation sessions and dedicated filing-fee add-ons. A sustainability plan may include those costs charged to litigants or another identifiable source of funding.
Rule 100.1. Implementation of Expedited Child Support System
(6) indicate the compensation to be paid to each administrative hearing officer;
(7) describe the personnel policies applicable to employees of the System;
(9) describe the procedures for training administrative hearing officers;
(1) matters initially assigned to an administrative hearing officer;
(2) matters transferred to an administrative hearing officer;
(3) matters returned to an administrative hearing officer from a judge;
(5) recommended court orders entered by a judge;
(6) recommended court orders rejected by a judge;
(7) matters submitted by an administrative hearing officer to a judge for hearings;
(8) IV-D and non-IV-D matters pending and disposed of in the System; and
Adopted April 1, 1992, effective immediately; amended March 19,
1997, effective April 15, 1997.
Rule 100.2. Appointment, Qualification and Compensation of Administrative Hearing Officers
(e) Compensation. Each administrative hearing officer shall be compensated as provided in the Plan.
Adopted April 1, 1992, effective immediately.
Rule 100.3. Actions Subject to Expedited Child Support Hearings
(6) any other child support or medical support matter.
Adopted April 1, 1992, effective immediately.
Rule 100.4. Authority of Administrative Hearing Officers
Adopted April 1, 1992, effective immediately.
Adopted April 1, 1992, effective immediately.
Rule 100.6. Scheduling of the Hearings
Adopted April 1, 1992, effective immediately.
Rule 100.7. Conduct of the Hearing
(3) records kept by the clerk of the circuit court as to payment of child support.
(2) computer-generated documents and records, unless objected to by a party; and
Adopted April 1, 1992, effective immediately.
Rule 100.8. Absence of Party at Hearing
Adopted April 1, 1992, effective immediately.
Rule 100.9. Transfers for Judicial Hearings
Adopted April 1, 1992, effective immediately.
Rule 100.10. Submission of Recommendations to the Court
Adopted April 1, 1992, effective immediately.
Rule 100.11. Authority Retained by the Court
(e) Impose Sanctions. Only the judge may impose sanctions pursuant to Supreme Court Rule 137.
Adopted April 1, 1992, effective immediately.
Rule 100.12. Judicial Hearings
Adopted April 1, 1992, effective immediately.
Rule 100.13. Definitions. For purposes of these rules, the following terms shall have the following meanings:
(a) "Act" shall mean the Expedited Child Support Act of 1990.
Adopted April 1, 1992, effective immediately.
Rule 100.1 Implementation of Expedited Child Support System
Rule 100.2. Appointment, Qualification and Compensation of Administrative Hearing Officers
Rule 100.3. Actions Subject to Expedited Child Support Hearings
Rule 100.4. Authority of Administrative Hearing Officers
Rule 100.6. Scheduling of Hearings
Rule 100.7. Conduct of the Hearings
Rule 100.8. Absence of Party at Hearing
Rule 100.9. Transfers for Judicial Hearings
Rule 100.10. Submission of Recommendations to the Court
Rule 100.11. Authority Retained by the Court