38 Ill. Adm. Code 145.105
Trust Funds
Section 145.105 Trust Funds
a) All
funds received by a debt settlement provider or its agent from a debtor, for
the purpose of paying bills, invoices or accounts of that debtor, shall
constitute trust funds owned by and belonging to the debtor from whom they were
received. All such funds received by the provider shall be separated from the
funds of the provider not later than the end of the business day following
receipt by the provider. All trust funds shall be kept separate and apart at
all times from funds belonging to the provider or any of its officers,
employees or agents and may be used for no purpose other than paying bills,
invoices or accounts of the debtor and for provider fees. All debtor payments
received at the main or branch offices of a provider shall be deposited, on or
before the close of the business day following receipt, in a federally insured
bank in trust for the benefit of the payor.
b) Funds
segregated for the debtor are not subject to attachment, lien, levy of
execution or sequestration by order of court as assets of the debt settlement
provider.
c) A
debt settlement provider shall maintain records of the amounts of all deposits
into and payments out of the trust account for each consumer it services. The
records shall be maintained for 5 years after the date of transaction.
d) At
least once every month, the debt settlement provider shall render an accounting
to the debtor that itemizes the total amount received from the debtor, the
total amount paid each creditor, the amount of provider fees deducted, and any
amount held in reserve, if applicable, and the status of each of the debtor's
enrolled accounts. A debt settlement provider shall, in addition, provide an
accounting to a debtor within 7 days after written demand, but not more than 3
times per 6 month period.
e) Nothing
in the Act requires the establishment of a trust account if no consumer funds
are held or controlled by the provider that are to be distributed to creditors,
i.e., if the only funds received are in payment of provider fees.