86 Ill. Adm. Code 30000.3000.106
Code of Conduct
TITLE 86: REVENUE
CHAPTER IV: ILLINOIS GAMING BOARD
PART 3000 RIVERBOAT AND CASINO GAMBLING
SECTION 3000.106 CODE OF CONDUCT
Section 3000.106 Code of Conduct
The purpose of this Code of Conduct is to assure, to the
maximum extent possible, that persons subject to this Code avoid situations,
relationships or associations that may lead to or represent an actual or potential
conflict of interest.
a) Policy and Application
1) Definitions
For purposes of this Section, the
following terms shall have the following meanings:
"Applicant": Any person
that has submitted an application or has publicly expressed an intent to submit
an application for licensure under the Illinois Gambling Act, Video Gaming Act,
or Sports Wagering Act [230 ILCS 45].
"Covered
Person": Any of the following:
Applicants;
Licensees;
Affiliates of an applicant or licensee;
Persons with significant influence
or control of an applicant or licensee as defined in 11 Ill. Adm. Code
1800.110;
Key Persons of an applicant or licensee;
or
Representatives
of persons or entities included in this definition.
"Employee": Any person
employed full-time, part-time, or pursuant to a contract of any kind and whose
employment duties are subject to the direction and control of the Board with
regard to the material details of how the work is to be performed, including
any State employees detailed or assigned to the Board from other State
entities, contract employees, and independent contractors in the service of the
Board.
"Licensee": Any person
who holds a license issued pursuant to the Illinois Gambling Act, Video Gaming
Act, or Sports Wagering Act.
2) Members
and employees of the Board are to discharge their duties and responsibilities
with undivided loyalty to the Board and in such a manner as to promote and
preserve public trust and confidence in the integrity of the conduct of gaming
and in the integrity and impartiality of the Board.
3) No
Board member or employee shall use or attempt to use his or her official
position to secure, or attempt to secure, any privilege, advantage, favor or
influence for himself, herself or others.
4) Members
and employees of the Board shall bear responsibility for adherence to the
provisions of this Code of Conduct.
5) Provisions
of this Code of Conduct applying to relatives or household members of an employee
or Board member apply regardless of the nature of the relationship, including,
but not limited to, relationships by blood, marriage, adoption or other
relationship.
6) When
evaluating the circumstances of a violation or potential violation of this Code
of Conduct by a relative or household member of a Board member or employee, the
level of influence held by the Board member or employee over that relative or
household member shall be considered.
b) Conflict of Interest
1) Board
members and employees and their respective spouses, domestic partners,
boyfriends, girlfriends, parents, children and household members shall have an
affirmative duty to avoid relationships that may cause or have the appearance
of causing an actual or potential conflict of interest.
2) A "conflict
of interest" means a situation in which a Board member's or a Board employee's
private interest, whether personal, financial or otherwise, influences, or
creates the appearance that it may influence, the Board member's or employee's
judgment in the performance of his or her regulatory duties and
responsibilities to act in a fair and impartial manner.
c) Gambling
1) Except
as may be required in the conduct of official duties, Board members and employees
shall not engage in gambling conducted under the Illinois Gambling Act, Video
Gaming Act, Sports Wagering Act, or Illinois Horse Racing Act of 1975 [230 ILCS
5].
2) Board
members and employees shall not engage in any other legalized gambling
identified by Board action that, in the judgement of the Board, could represent
a potential for, or the appearance of, a conflict of interest.
d) Outside Employment
1) Board
members and employees shall not hold or pursue employment, office, position,
business or occupation that may conflict with the official duties of that Board
member or employee.
2) Employees
may engage in other gainful employment that does not interfere or conflict with
their duties, provided that the employment is disclosed to the Administrator
and the Board and approved by the Board or, as delegated, by the Administrator.
3) Disclosure
of outside employment must be made at the time of appointment to the Board or
at the time the employee is hired to work for the Board or prior to accepting
the outside employment.
4) Any
Board member who discloses outside employment to the Board shall recuse himself
or herself from any discussion and decision made by the Board relative to his
or her outside employment.
5) Outside
employment that, despite recusal from Board action and discussion, presents
recurring or continuing possibilities for potential or actual conflicts of
interest shall be grounds for removal from the Board under Section 5(a)(6) of
the Act.
6) No
Board member shall hold any other public office.
e) Restrictions on
Receiving Gifts
1) Board
members and employees and their spouses, domestic partners, boyfriends or
girlfriends, children, parents, and household members may not, directly or
indirectly, accept any gift, gratuity, service, compensation, travel, lodging,
or thing of value from a covered person, with the exception of unsolicited
items of an incidental nature.
2) This
prohibition may be extended by Board action to any person who, in the judgment
of the Board, could represent a potential for, or the appearance of, a conflict
of interest.
f) Prohibition on Holding
or Acquiring Ownership
1) Board
members and employees of the Board, their spouses, domestic partners,
boyfriends or girlfriends, children, parents, and household members may not,
directly or indirectly, hold or acquire, or cause or encourage any other person
to acquire, any actual or contingent form of ownership interest or other
financial interest in a covered person.
2) The
prohibition in subsection (f)(1) may extend to the holding or acquisition of an
interest in any entity identified by Board action that, in the judgment of the
Board, could represent the potential for, or the appearance of, a conflict of
interest.
3) The
holding or acquisition of an interest in these entities through an indirect
means (e.g., through a mutual fund) shall not be prohibited, except that the
Board may identify specific investments or funds that, in its judgment, are so
influenced by gaming holdings as to represent the potential for, or the
appearance of, a conflict of interest.
4) Every
Board member, Board employee, and spouse or immediate family member living with
that person shall be subject to applicable provisions of Section 5-45 of the
State Officials and Employees Ethics Act [5 ILCS 430] (the "revolving door
prohibition") for a period of two years immediately after termination of
Board appointment or employment.
g) Prohibition of Economic
Association
1) Notwithstanding
subsections (d)(4) and (5), Board members and employees of the Board and their
spouses, domestic partners, boyfriends, girlfriends, children, parents, and
household members shall not have an economic association with a covered person
or any race track, racing association, or any person engaged in the conducting
of horse racing in the State of Illinois.
2) An "economic
association" shall mean any current economic relationship, direct or
indirect, representing the potential for, or the appearance of, an actual or
potential conflict of interest that may exist between a Board member or Board employee
and a covered person.
3) The
prohibition of economic association provided by this subsection (g) may be
extended to any person identified by Board action that, in the judgment of the
Board, could represent the potential for, or the appearance of, a conflict of
interest.
4) This
prohibition on economic association may by waived by Board action for a spouse,
domestic partner, boyfriend, girlfriend, child, parent, or household member of
an employee of the Board.
h) Disclosure of Economic
Association
1) Each
Board member who owns or is employed by a firm or business entity shall, to the
best of his or her ability, identify any economic association with any covered person.
2) Subject
to the prohibition contained in subsection (g)(1), the Board member shall
declare his or her intention to refrain from deliberations and voting on
questions related to the gaming entity or individual in that economic
association. This requirement may be extended by Board action to any person who,
in the judgment of the Board, could represent the potential for, or the
appearance of, a conflict of interest.
3) Board
members shall refrain from working on any gaming-related matters on behalf of
any person with whom the Board member has an economic association.
i) Recusal Process
1) Board member
duties of disclosure and recusal are ongoing.
2) In
advance of each Board meeting, and before engaging in any deliberations or
voting, Board members must review lists provided by Board staff of all persons and
locations that will come before the Board, at the upcoming Board meeting, for
consideration for licensure, discipline or any other action. This review will
assist the members in determining whether recusal from a particular Board
deliberation or vote is required.
3) To
the extent practicable, each Board member who owns or is employed by a firm or
entity shall employ a conflict check process, subject to approval by the
Administrator, to determine whether any existing or new firm or entity client
is, or has become, a covered person. This process will assist the Board member
in discharging his or her disclosure and recusal duties.
j) Restrictions on
Professional Service Agents
1) Professional
service agents of the Board may be subject to terms and conditions relating to
restrictions or prohibitions in representation, employment and contracting with
licensees, applicants, their affiliates, persons with significant influence and
control, Key Persons, and their representatives. These restrictions and
prohibitions shall be contained in the professional service contracts of the
Board.
2) For
purposes of this subsection (j), professional service agents of the Board
include any person, corporation or organization providing legal, accounting,
financial, public relations, auditing, architectural, data processing, or
management consulting services.
k) Disclosure
Statements. Board members and employees shall complete and timely file the
Statement of Economic Interest required by Article 4A of the Illinois
Governmental Ethics Act [5 ILCS 420], a copy of which shall be provided to the
Administrator.
l) Post-Board
Affiliation or Employment. Every Board member, Board employee, and their spouse
or immediate family members shall be subject to all applicable provisions of
Section 5-45 of the State Officials and Employees Ethics Act [5 ILCS 430] (the "revolving
door prohibition") for a period of one year after termination of Board
appointment or employment.
m) Violations
1) Violation
of this Code of Conduct by a member of the Board may result in sanctions up to
and including removal from the Board.
2) Violation
of this Code of Conduct by an employee or agent of the Board may result in
discipline up to and including termination.