Larsen v. Provena Hospitals , 2015 IL App (4th) 140255 ( 2015 )


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  •                                                                                      FILED
    
    2015 IL App (4th) 140255
                       February 26, 2015
    Carla Bender
    NOS. 4-14-0255, 4-14-0261 cons.                th
    4 District Appellate
    Court, IL
    IN THE APPELLATE COURT
    OF ILLINOIS
    FOURTH DISTRICT
    L. ROYCE LARSEN, M.D.,                                     )     Appeal from
    Plaintiff-Appellant,                           )     Circuit Court of
    v.         (No. 4-14-0255)                     )     Vermilion County
    PROVENA HOSPITALS, d/b/a PROVENA UNITED                    )     No. 11L88
    SAMARITANS MEDICAL CENTER,                                 )
    Defendant-Appellee.                            )
    ____________________________________________               )
    L. ROYCE LARSEN, M.D.,                                     )
    Plaintiff-Appellee,                            )
    v.         (No. 4-14-0261)                     )
    PROVENA HOSPITALS, d/b/a PROVENA UNITED                    )     Honorable
    SAMARITANS MEDICAL CENTER,                                 )     Steven L. Garst,
    Defendant-Appellant.                           )     Judge Presiding.
    JUSTICE STEIGMANN delivered the judgment of the court, with opinion.
    Justices Knecht and Turner concurred in the judgment and opinion.
    OPINION
    ¶1             In May 2011, defendant, Provena Hospitals, d/b/a Provena United Samaritans
    Medical Center (Provena), declined to renew the medical staff membership and clinical privileg-
    es of plaintiff, L. Royce Larsen, M.D. In July 2013, Larsen filed a four-count first amended
    complaint, alleging, in part, that Provena retaliated against him in violation of the Whistleblower
    Act (740 ILCS 174/1 to 40 (West 2010)). In addition to injunctive relief, Larsen sought damages
    as a result of Provena's "willful and wanton misconduct" in harming his medical practice and
    professional reputation.
    ¶2             In August 2013, Provena filed a motion to dismiss Larsen's complaint under sec-
    tion 2-615 of the Code of Civil Procedure (735 ILCS 5/2-615 (West 2012)). Provena alleged
    that because Larsen failed to sufficiently plead willful and wanton misconduct as defined by sec-
    tion 10.2 of the Hospital Licensing Act (Hospital Act) (210 ILCS 85/10.2 (West 2010))—a pro-
    vision that provides Provena immunity against civil damages absent such misconduct—he failed
    to state a cause of action upon which the trial court could grant relief. Provena also urged the
    court to dismiss Larsen's retaliation claim, alleging that the protections afforded by the Whistle-
    blower Act did not apply because Larsen failed to allege that Provena received state funding,
    which was required to invoke such protection.
    ¶3             Following a December 2013 hearing, the trial court partially granted Provena's
    motion to dismiss Larsen's complaint. Relying on Lo v. Provena Covenant Medical Center, 
    356 Ill. App. 3d 538
    , 
    826 N.E.2d 592
     (2005), the court found that harm to a physician's medical prac-
    tice and professional reputation was "not the type of harm required to state a claim for willful
    and wanton misconduct" under the Hospital Act. The court, however, denied Provena's motion
    to dismiss Larsen's retaliation claim, finding, in pertinent part, that (1) the immunity provided by
    section 10.2 of the Hospital Act did not preclude that claim and (2) the Whistleblower Act ap-
    plied because Provena received state funding in the form of Medicaid payments.
    ¶4             In May 2014, the trial court certified the following four questions for interlocuto-
    ry review pursuant to Illinois Supreme Court Rule 308(a) (eff. Feb. 26, 2010):
    "[1]. Is a doctor required to plead actual or deliberate in-
    tention to harm his person [to] state a claim for willful and wanton
    misconduct under the *** [Hospital Act] *** and Lo?
    [2]. Alternatively, does a doctor state a claim for willful
    and wanton misconduct under the *** [Hospital Act] *** and Lo
    -2-
    *** by pleading actual or deliberate intention to harm his profes-
    sional reputation?
    ***
    [3]. Does plaintiff's claim for violation of the *** Whistle-
    blower [Act] constitute a claim for civil damages subject to peer
    review immunity afforded by the *** [Hospital Act]?
    [4]. Is payment to a hospital under assignment from a
    Medicaid recipient, pursuant to the Social Security Act,
    § 1902(a)(32), 'funding' by the State as defined by the *** [Whis-
    tleblower Act]?"
    ¶5             We answer the first certified question in the affirmative, the remaining three certi-
    fied questions in the negative, and remand for further proceedings.
    ¶6                                     I. BACKGROUND
    ¶7             The following facts were gleaned from the supporting record provided pursuant to
    Illinois Supreme Court Rule 328 (eff. Feb. 1, 1994).
    ¶8             In May 2011, Provena—specifically, the Provena Central Illinois Region Board—
    denied Larsen's application to renew his medical staff membership and clinical privileges, which
    Provena and its predecessors had renewed essentially biennially for the past 31 years.
    ¶9             In July 2013, Larsen filed a first amended complaint, alleging that Provena (1)
    violated the Whistleblower Act (count I); (2) tortiously interfered with his prospective business
    advantages (count II); (3) breached contractual medical-staff bylaws by neither providing a
    statement of charges nor conducting a hearing prior to the denial of Larsen's application (count
    III); and (4) violated his fundamental rights (count IV). With the exception of count I, Larsen
    -3-
    claimed that Provena's denial was "willful and wanton" because it violated contractual bylaws
    and tarnished his unblemished reputation as a general surgeon and physician. In count I, Larsen
    claimed that Provena denied his application to renew his clinical privileges in retaliation for re-
    ports he made to government agencies that revealed Provena's violations of various state and
    federal laws. In his prayer for relief, Larsen sought (1) declaratory and injunctive relief; (2) eco-
    nomic, consequential, and punitive damages; and (3) attorney fees.
    ¶ 10           In August 2013, Provena filed a motion to dismiss Larsen's complaint under sec-
    tion 2-615 of the Code. Provena claimed that because Larsen did not sufficiently plead willful
    and wanton misconduct under section 10.2 of the Hospital Act, Larsen failed to state a cause of
    action upon which the trial court could grant relief. Provena also urged the court to dismiss
    Larsen's retaliation claim, asserting that because Larsen failed to allege that Provena received
    state funding, he was not a protected employee as defined by the Whistleblower Act.
    ¶ 11           In response, Larsen argued that because he alleged harm to his medical practice
    and professional reputation as a result of Provena's denial, which (he asserts) occurred without a
    hearing, in violation of the contractual medical-staff bylaws, he sufficiently pleaded willful and
    wanton misconduct as defined by section 10.2 of the Hospital Act. Larsen also averred that he
    sufficiently pleaded violations of the Whistleblower Act.
    ¶ 12           Following a December 2013 hearing, the trial court entered a March 19, 2014,
    order, dismissing counts II and IV of Larsen's first amended complaint. (At the December 2013
    hearing, Provena informed the court that it was not seeking to dismiss Larsen's prayer for injunc-
    tive relief as to count III.) Relying on this court's decision in Lo, the trial court found that harm
    to a physician's medical practice and professional reputation "was not the type of harm required
    to state a claim for willful and wanton misconduct" under section 10.2 of the Hospital Act. The
    -4-
    court, however, denied Provena's motion to dismiss Larsen's retaliation claim, finding, in perti-
    nent part, that (1) the immunity provided by section 10.2 of the Hospital Act did not preclude
    that claim and (2) the Whistleblower Act applied because Provena received state funding in the
    form of Medicaid payments.
    ¶ 13           That same day, the trial court entered an order pursuant to Rule 308(a), finding
    the existence of substantial grounds for differences of opinion on questions of law and that an
    immediate appeal of its order may materially advance the termination of the litigation. The court
    sua sponte granted (1) Larsen leave to appeal the first two certified questions (case No. 4-14-
    0255) and (2) Provena leave to appeal the final two certified questions (case No. 4-14-0261). In
    April 2014, the parties timely filed their respective applications for leave to appeal pursuant to
    Illinois Supreme Court Rule 308(b) (eff. Feb. 26, 2010). Later that month, this court allowed
    both applications, and, on our own motion, we have consolidated these cases.
    ¶ 14                                      II. ANALYSIS
    ¶ 15                                A. The Standard of Review
    ¶ 16           "The scope of review in an interlocutory appeal brought under Rule 308 is limited
    to the certified question." Spears v. Association of Illinois Electric Cooperatives, 
    2013 IL App (4th) 120289
    , ¶ 15, 
    986 N.E.2d 216
    . A reviewing court should restrict its review to certified
    questions of law and decline to answer when the ultimate disposition depends upon resolution of
    factual predicates. 
    Id.
     "With rare exceptions, we do not expand the question under review to
    answer other, unasked questions." Giangiulio v. Ingalls Memorial Hospital, 
    365 Ill. App. 3d 823
    , 829, 
    850 N.E.2d 249
    , 255 (2006). "A certified question pursuant to Rule 308 is reviewed de
    novo." Spears, 
    2013 IL App (4th) 120289
    , ¶ 15, 
    986 N.E.2d 216
    .
    ¶ 17                            B. Section 10.2 of the Hospital Act
    -5-
    ¶ 18           Because a majority of the certified questions posed concern section 10.2 of the
    Hospital Act, we provide the language of that statutory provision, as follows:
    "Because the candid and conscientious evaluation of clinical prac-
    tices is essential to the provision of adequate hospital care, it is the
    policy of this State to encourage peer review by health care pro-
    viders. Therefore, no hospital and no individual who is a member,
    agent, or employee of a hospital, hospital medical staff, hospital
    administrative staff, or hospital governing board shall be liable for
    civil damages as a result of the acts, omissions, decisions, or any
    other conduct, except those involving [willful] or wanton miscon-
    duct, of a *** credential committee, peer review committee, or any
    other committee or individual whose purpose, directly or indirect-
    ly, is *** for improving patient care within a hospital, or the im-
    proving or benefiting of patient care and treatment, whether within
    a hospital or not, or for the purpose of professional discipline in-
    cluding institution of a summary suspension in accordance with
    Section 10.4 of this Act and the medical staff bylaws. *** For the
    purposes of this Section, '[willful] and wanton misconduct' means
    a course of action that shows actual or deliberate intention to
    harm or that, if not intentional, shows an utter indifference to or
    conscious disregard for a person's own safety and the safety of
    others." (Emphasis added.) 210 ILCS 85/10.2 (West 2010).
    ¶ 19                    C. The Certified Questions in Case No. 4-14-0255
    -6-
    ¶ 20           The trial court certified the following two questions for interlocutory review:
    "[1]. Is a doctor required to plead actual or deliberate in-
    tention to harm his person [to] state a claim for willful and wanton
    misconduct under the *** [Hospital Act] *** and Lo?
    [2]. Alternatively, does a doctor state a claim for willful
    and wanton misconduct under the *** [Hospital Act] *** and Lo
    *** by pleading actual or deliberate intention to harm his profes-
    sional reputation?"
    ¶ 21                               1. This Court's Decision in Lo
    ¶ 22           In Lo, 
    356 Ill. App. 3d at 538
    , 
    826 N.E.2d at 595
    , the plaintiff sued the defendant
    for breach of contract, alleging that the defendant involuntarily restricted his clinical privileges
    without a hearing, thereby violating the contractual agreement between the parties as provided by
    the medical-staff bylaws. The defendant later filed a motion to dismiss the plaintiff's suit under
    section 2-619(a)(9) of the Code (735 ILCS 5/2-619(a)(9) (West 2002)), claiming, in pertinent
    part, immunity from civil damages under section 10.2 of the Hospital Act. Lo, 
    356 Ill. App. 3d at 538-39
    , 
    826 N.E.2d at 595
    . The trial court later granted the defendant's motion to dismiss. Id.
    at 539, 
    826 N.E.2d at 595
    .
    ¶ 23           This court affirmed the trial court's judgment, noting that section 10.2 of the Hos-
    pital Act provided a statutory definition of the phrase "willful and wanton misconduct" that dif-
    fered from the "ordinary definition" of "great carelessness or gross negligence." Id. at 544-45,
    
    826 N.E.2d at 599-600
    . We continued our analysis, as follows:
    "In this case *** we are dealing not with the ordinary
    meaning of '[willful] and wanton misconduct' but with a statutory
    -7-
    definition. 'In construing statutes the ordinary, usual[,] and com-
    monly accepted definitions of the words employed therein are to be
    taken as the correct definitions of such words, unless the statute
    gives special definitions to the contrary ***.' (Emphasis added.)
    Wahlman v. C. Becker Milling Co., 
    279 Ill. 612
    , 622, 
    117 N.E. 140
    , 144 (1917). Plaintiff has alleged no facts, and has offered no
    evidence, from which we could reasonably infer that defendant
    'actual[ly] or deliberate[ly] inten[ded] to harm' him. See 210 ILCS
    85/10.2 (West 2002). His 'own safety' was never at issue in this
    case. See 210 ILCS 85/10.2 (West 2002). Because plaintiff's
    cause of action does not fit within the specialized definition of
    '[willful] and wanton misconduct' in section 10.2, the statute bars
    him from recovering damages for defendant's breach of contract."
    Id. at 545, 
    826 N.E.2d at 600
    .
    ¶ 24                    2. This Court's Response to the Certified Questions
    ¶ 25           Larsen argues that the trial court's interpretation of the phrase "willful and wanton
    misconduct" disregards the two-part definition contained within section 10.2 of the Hospital Act.
    Specifically, Larsen contends that the court incorrectly conflated "the issue of utter indifference
    or conscious disregard for 'a person's own safety or the safety of others' with the issue of actual
    or deliberate intention 'to harm,' making allegations of physical harm required *** to show will-
    ful and wanton misconduct under section 10.2" of the Hospital Act. Larsen then asserts that the
    first definition does not require a showing of a specific type of harm because "the 'actual' or
    'deliberate' intent of the actor is the primary focus." We disagree.
    -8-
    ¶ 26           "Our primary objective in construing a statute is to ascertain and give effect to the
    legislative intent, and the surest most reliable indicator of that intent is the plain and ordinary
    meaning of the statutory language itself." People v. Chapman, 
    2012 IL 111896
    , ¶ 23, 
    965 N.E.2d 1119
    . When the statutory language is clear and unambiguous, this court will apply the
    statute without aid of statutory construction. 
    Id.
     "In determining the plain meaning of the statu-
    tory terms, we consider the statute in its entirety, keeping in mind the subject it addresses and the
    apparent intent of the legislature in passing it." 
    Id.
    ¶ 27           The legislative objective of section 10.2 of the Hospital Act is to "foster effective
    self-policing by members of the medical profession in matters unique to that profession and to
    thereby promote the legitimate State interest in improving the quality of health care in Illinois."
    (Internal quotation marks omitted.) Szczerbaniuk v. Memorial Hospital for McHenry County,
    
    180 Ill. App. 3d 706
    , 711, 
    536 N.E.2d 138
    , 142 (1989). In pursuit of that goal, section 10.2 plac-
    es "limitation[s] on the remedies available to physicians aggrieved by a hospital's peer-review
    process." Frigo v. Silver Cross Hospital & Medical Center, 
    377 Ill. App. 3d 43
    , 68, 
    876 N.E.2d 697
    , 720 (2007). Specifically, section 10.2 grants immunity from "civil damages as a result of
    the acts, omissions, decisions, or any other conduct" of specific peer-review committees tasked
    with the goal of improving patient care. 210 ILCS 85/10.2 (West 2010). An exception to the
    immunity afforded occurs if the aggrieved physician can show that the peer-review committee at
    issue engaged in " '[willful] and wanton misconduct,' " defined as (1) "a course of action that
    shows actual or deliberate intention to harm" or (2) "if not intentional, shows an utter indiffer-
    ence to or conscious disregard for a person's own safety and the safety of others." 
    Id.
    ¶ 28           Larsen essentially urges this court to construe the statutory definition of willful
    and wanton misconduct into two separate parts. Specifically, that the unintentional harm to a
    -9-
    "person's own safety" is distinct from the intentional "harm," which Larsen claims encompasses
    a loss or diminution of professional reputation. We reject this construction. Instead, we construe
    section 10.2 of the Hospital Act in harmony with its clearly stated overarching purpose and con-
    clude that the unintentional harm—that is, the "utter indifference to or conscious disregard for a
    person's own safety and the safety of others" clarifies the type of intentional "harm" the legisla-
    ture contemplated. The parsing that Larsen advocates would render meaningless the immunity
    intended by section 10.2 of the Hospital Act given the following unavoidable consequences that
    flow from a credentialing committee's denial of a physician's application requesting renewal of
    clinical privileges.
    ¶ 29            A hospital credentialing committee is primarily tasked with determining whether
    approving a physician's hospital privileges for an additional term is in the best interest of the
    hospital and its patients. To perform this core function, a credentialing committee will inevitably
    deny some renewals for valid reasons. Such action cannot be viewed reasonably as an uninten-
    tional act. The committee members, many of whom may well be physicians themselves, are pre-
    sumed to know and accept the consequences of such a denial for the physician whose privileges
    are not renewed. As Larsen stated in his July 2013 first amended complaint, the decision not to
    renew a physician's clinical privileges requires mandatory self-reporting to current and potential
    employers, providers, and insurers. Such reporting would—at a minimum—negatively impact
    the physician's professional reputation and future income. In other words, a credentialing com-
    mittee's decision not to renew a physician's privileges necessarily involves reputational harm to
    that physician. Indeed, we cannot envision an instance where such a denial would not result in at
    least a modicum of such harm in the short term.
    ¶ 30            Notwithstanding the aforementioned negative consequences, a credentialing
    - 10 -
    committee's decision not to renew a physician's hospital privileges is precisely the determination
    that section 10.2 of the Hospital Act protects. If we were to agree with Larsen that the phrase
    "actual or deliberate intention to harm" does not require a showing of a specific type of harm, the
    immunity afforded Provena and members of the Provena Central Illinois Region Board would
    cease immediately upon the denial of clinical privileges, given that such a determination, as we
    have described, would (1) be intentional and (2) undoubtedly result in some reputational harm to
    the aggrieved physician. Larsen's stance also conflicts with the clearly stated legislative intent of
    section 10.2 of the Hospital Act to facilitate the "candid and conscientious evaluation of clinical
    practices" to improve patient care by encouraging "peer review by health care providers." 
    Id.
    Plainly put, if merely denying a physician hospital privileges could result in civil liability for the
    medical facility or members of a credentialing committee, candid reviews would likely cease.
    ¶ 31           Larsen asserts that under the trial court's interpretation of Lo, an aggrieved physi-
    cian would be precluded from seeking civil damages under any set of facts unless the harm al-
    leged was physical harm. Larsen's assertion is correct, but we reject his claim that the court in-
    correctly interpreted Lo. As previously noted, in Lo—a case substantially similar to the instant
    case—this court held that absent allegations of intentional physical harm or a showing that the
    committee at issue consciously disregarded the aggrieved physician's safety, the immunity af-
    forded by that section remains intact. Lo, 
    356 Ill. App. 3d at 545
    , 
    826 N.E.2d at 600
    .
    ¶ 32           Essentially, Larsen's argument is premised on his belief that the legislature—in
    crafting the willful-and-wanton-misconduct exception—could not have intended that physical
    harm only would overcome the immunity otherwise provided, which would never occur as a re-
    sult of a credentialing committee's decision to deny clinical privileges. This court, however,
    "will not depart from the plain language of a statute by reading into it exceptions, limitations[,]
    - 11 -
    or conditions that conflict with the express legislative intent." Carver v. Sheriff of La Salle
    County, 
    203 Ill. 2d 497
    , 507, 
    787 N.E.2d 127
    , 133-34 (2003). We find support for our conclu-
    sion in Lo in the legislature's silence since Lo's publication.
    ¶ 33           In Szczerbaniuk, 
    180 Ill. App. 3d at 710-11
    , 
    536 N.E.2d at 141
    , the Second Dis-
    trict concluded that a prior version of section 10.2 of the Hospital Act did not provide immunity
    for individuals "acting only pursuant to an informal delegation of authority by an uninformed
    committee." As we noted in Lo, 
    356 Ill. App. 3d at 544
    , 
    826 N.E.2d at 599
    , shortly after the Se-
    cond District decided Szczerbaniuk, the legislature amended section 10.2 of the Hospital Act by
    adding the words "or individual," which extended immunity to the acts or omissions of any indi-
    vidual tasked with internal quality control. See Pub. Act 91-448, § 5 (eff. Aug. 6, 1999). We
    also note that at the time the legislature amended section 10.2 of the Hospital Act to include the
    phrase "or individual," it further amended the statute by adding the definition of willful and wan-
    ton misconduct that is at issue in this case. Id.
    ¶ 34           In the almost 10 years since this court's decision in Lo, the legislature has not seen
    fit to further amend section 10.2 of the Hospital Act. The legislature's silence implies that—at a
    minimum—it is not displeased with our conclusion in Lo that an allegation of reputational harm
    does not "fit within the specialized definition of '[willful] and wanton misconduct' in section 10.2
    [of the Hospital Act]." Lo, 
    356 Ill. App. 3d at 545
    , 
    826 N.E.2d at 600
    . Given that the medical
    profession is well-represented and influential within the legislative halls of the General Assem-
    bly, we would expect that if our interpretation in Lo of section 10.2 of the Hospital Act were er-
    roneous, as Larsen contends, legislative action to correct that misinterpretation would have been
    forthcoming, just as the legislature acted after Szczerbaniuk. See Provena Health v. Illinois
    Health Facilities Planning Board, 
    382 Ill. App. 3d 34
    , 45, 
    886 N.E.2d 1054
    , 1065 (2008) ("The
    - 12 -
    legislature is presumed to know how courts have interpreted a statute and may amend the statute
    if it intended a different construction.").
    ¶ 35            Accordingly, we adhere to our decision in Lo and answer the second certified
    question in the negative. That answer requires our answer to the first certified question to be in
    the affirmative.
    ¶ 36                     D. The Certified Questions in Case No. 4-14-0261
    ¶ 37                               1. This Court's Scope of Review
    ¶ 38            Prior to considering the third and fourth certified questions presented in case No.
    4-14-0261, we first explain our scope of review.
    ¶ 39            Citing Bright v. Dicke, 
    166 Ill. 2d 204
    , 208, 
    652 N.E.2d 275
    , 277 (1995), Provena
    contends that "this [c]ourt is not strictly limited by the scope of the questions certified for re-
    view" and "may consider the propriety of an underlying decision in the 'interests of judicial
    economy and the need to reach an equitable result.' " Relying on its interpretation of Bright,
    Provena then disregards the actual question for review certified by the trial court and purports to
    then present the following two issues for our review, as follows:
    "I. Whether the trial court erred by denying [Provena's sec-
    tion] 2-615 motion to dismiss *** Larsen's allegations of reputa-
    tional harm because [the court] found that the *** [Hospital Act's]
    immunity provision did not apply to claims brought under the ***
    Whistleblower Act.
    II. Whether the trial court erred by denying [Provena's sec-
    tion] 2-615 motion to dismiss because it found that [Provena's] ac-
    ceptance of payments from Medicare patients makes it a state-
    - 13 -
    funded hospital, subject to the *** Whistleblower Act."
    Contrary to Provena's claim, Bright does not permit Provena to disregard the questions certified
    by the court and instead rewrite those questions as it sees fit. At most, Bright stands for the
    proposition that after answering those questions, this court may go beyond the certified questions
    presented and consider the propriety of the trial court's underlying order. Bright does not author-
    ize either ignoring or altering the certified questions.
    ¶ 40           Accordingly, we will consider the certified questions as presented. If—after con-
    sidering each certified question—the "interest of judicial economy and the need to reach an equi-
    table result" so warrant, we will consider the propriety of the trial court's underlying order.
    ¶ 41                     2. The Pertinent Portions of the Whistleblower Act
    ¶ 42           Section 15(b) of the Whistleblower Act outlines the following prohibited activity:
    "(b) An employer may not retaliate against an employee for
    disclosing information to a government or law enforcement agen-
    cy, where the employee has reasonable cause to believe that the in-
    formation discloses a violation of a State or federal law, rule, or
    regulation." 740 ILCS 174/15(b) (West 2010).
    ¶ 43           Section 5 of the Whistleblower Act defines employee, as follows:
    " 'Employee' means any individual who is employed on a
    full-time, part-time, or contractual basis by an employer.
    'Employee' also includes, but is not limited to, a licensed physician
    who practices his or her profession, in whole or in part, at a hospi-
    tal, nursing home, clinic, or any medical facility that is a health
    care facility funded, in whole or in part, by the State." 740 ILCS
    - 14 -
    174/5 (West 2010).
    ¶ 44           Section 30 of the Whistleblower Act, entitled, "Damages," outlines the following
    remedies available to an aggrieved employee:
    "If an employer takes any action against an employee in violation
    of Section 15 ***, the employee may bring a civil action against
    the employer for all relief necessary to make the employee whole
    ***." 740 ILCS 174/30 (West 2010).
    Section 30 continues by outlining specific remedies available to an aggrieved employee, which
    include, but are not limited to, (1) "reinstatement with the same seniority status"; (2) "back pay,
    with interest"; and (3) "compensation for any damages sustained as a result of the violation, in-
    cluding litigation costs, expert witness fees, and reasonable attorney's fees." 
    Id.
    ¶ 45                               3. The Third Certified Question
    ¶ 46           The trial court certified the following question for interlocutory review:
    "[3]. Does plaintiff's claim for violation of the *** Whis-
    tleblower [Act] constitute a claim for civil damages subject to peer
    review immunity afforded by the *** [Hospital Act]?"
    ¶ 47           As phrased, the third certified question requires this court to consider the interac-
    tion, if any, between the Hospital Act and the Whistleblower Act. As already discussed, the in-
    tent of section 10.2 of the Hospital Act is to provide immunity from civil liability to hospitals
    and certain identified committee members for decisions made in furtherance of the legitimate
    state interest in improving the quality of health care in Illinois. In contrast, the purpose of the
    Whistleblower Act is to protect statutorily defined employees who report violations of state or
    federal laws, rules, or regulations "because the reported wrongful conduct or unsafe condition
    - 15 -
    affected the heath, safety[,] or welfare of Illinois residents as a whole." Sutherland v. Norfolk
    Southern Ry. Co., 
    356 Ill. App. 3d 620
    , 627, 
    826 N.E.2d 1021
    , 1027 (2005).
    ¶ 48           Provena argues that Larsen's retaliation claim is barred by section 10.2 of the
    Hospital Act. Specifically, Provena contends that because Larsen based his retaliation claim on
    Provena's peer-review determination, which denied Larsen's application for clinical privileges,
    Larsen was required to allege willful and wanton misconduct to maintain his cause of action un-
    der the Whistleblower Act. Provena asserts that to conclude otherwise would essentially create
    an additional exception to the immunity afforded by section 10.2 of the Hospital Act. We disa-
    gree.
    ¶ 49           In January 2004—approximately 4 1/2 years after amending section 10.2 of the
    Hospital Act to include a definition of willful and wanton misconduct—the legislature enacted
    the Whistleblower Act. See Pub. Act 93-544 (eff. Jan. 1, 2004) (adding 740 ILCS 174/1 to 35).
    Section 5 of the Whistleblower Act specifically notes that a physician who practices his or her
    profession in a health care facility funded by the state is an "employee" who "may bring a civil
    action against the employer for all relief necessary to make the employee whole." (Emphasis
    added.) 740 ILCS 174/5, 30 (West 2010). Thus, by its plain language, the legislature clearly
    intended that the Whistleblower Act would apply to physicians who satisfied the statutory defini-
    tion of employee. We presume that when enacting new legislation, the legislature "envisions a
    consistent body of law" and "is aware of all previous enactments." Illinois Native American Bar
    Ass'n v. University of Illinois, 
    368 Ill. App. 3d 321
    , 327-28, 
    856 N.E.2d 460
    , 467 (2006). Given
    their differing purposes and the legislature's clear expression that the Whistleblower Act would
    apply to physician employees as defined therein, we conclude the Whistleblower Act and Hospi-
    tal Act are separate and distinct laws.
    - 16 -
    ¶ 50            The Whistleblower Act contains no immunity provision, as does the Hospital Act,
    and this court, under the guise of statutory interpretation, cannot simply rewrite the Whistle-
    blower Act to include such a provision. Our doing so would be particularly improper where the
    very immunity provision at issue was subject to legislative scrutiny just 4 1/2 years earlier, when
    the legislature amended the immunity provision of the Hospital Act. This sequence of events
    compels the conclusion that the absence of this immunity provision in the Whistleblower Act is
    no legislative oversight.
    ¶ 51            We acknowledge that the relief available to an employee under section 30 of the
    Whistleblower Act includes damages that would not be recoverable under the Hospital Act ab-
    sent willful and wanton misconduct. However, in any supposed conflict between the two respec-
    tive acts as a result of a retaliatory claim based on a denial of clinical privileges, the older act
    must yield to the more recent legislation. See Village of Chatham v. County of Sangamon, 
    216 Ill. 2d 402
    , 431, 
    837 N.E.2d 29
    , 46 (2005) ("[W]hen two statutes appear to be in conflict, the one
    which was enacted later should prevail, as a later expression of legislative intent.").
    ¶ 52            Accordingly, we answer the third certified question in the negative.
    ¶ 53                               4. The Fourth Certified Question
    ¶ 54            Having concluded that Larsen's retaliation claim was not precluded by the Hospi-
    tal Act, we consider the next and last certified question, which concerns Larsen's status as an
    employee under the Whistleblower Act:
    "[4]. Is payment to a hospital under assignment from a
    Medicaid recipient, pursuant to the Social Security Act,
    § 1902(a)(32), 'funding' by the State as defined by the *** [Whis-
    tleblower Act]?"
    - 17 -
    ¶ 55           As previously noted, section 5 of the Whistleblower Act defines employee, as fol-
    lows:
    " 'Employee' means any individual who is employed on a
    full-time, part-time, or contractual basis by an employer.
    'Employee' also includes, but is not limited to, a licensed physician
    who practices his or her profession, in whole or in part, at a hospi-
    tal, nursing home, clinic, or any medical facility that is a health
    care facility funded, in whole or in part, by the State." (Emphasis
    added.) 740 ILCS 174/5 (West 2010).
    Thus, the fourth certified question requires this court to interpret the phrase, "a health care facili-
    ty funded, in whole or in part, by the State."
    ¶ 56           Section 1396a(a)(32)(A) of the Social Security Act provides, as follows:
    "(a) Contents.
    A State plan for medical assistance must—
    ***
    (32) provide that no payment under the plan for any
    care or service provided to an individual shall be made to
    anyone other than such individual or the person or institu-
    tion providing such care or service, under an assignment or
    power of attorney or otherwise; except that—
    (A) in the case of any care or service pro-
    vided by a physician, dentist, or other individual
    practitioner, such payment may be made (i) to the
    - 18 -
    employer of such physician, dentist, or other practi-
    tioner if such physician, dentist, or practitioner is
    required as a condition of his employment to turn
    over his fee for such care or service to his employer,
    or (ii) (where the care or service was provided in a
    hospital, clinic, or other facility) to the facility in
    which the care or service was provided if there is a
    contractual arrangement between such physician,
    dentist, or practitioner and such facility under which
    such facility submits the bill for such care or ser-
    vice[.]" 42 U.S.C. § 1396a (a)(32)(A) (2006).
    ¶ 57           "In 1965, Congress enacted title XIX of the Social Security Act (
    42 U.S.C. §§ 1396
     to 1396v (2006)), commonly known as the Medicaid Act." Tjaden v. State of Illinois,
    
    2013 IL App (4th) 120768
    , ¶ 34, 
    11 N.E.3d 812
    . "The statute created a cooperative program in
    which the federal government reimburses state governments for a portion of the costs to provide
    medical assistance to two low-income groups known as 'the categorically needy' and 'the medi-
    cally needy.' " 
    Id.
     "State participation in the Medicaid program is voluntary, but if a state elects
    to participate, it must comply with the requirements of the Medicaid Act and the regulations
    promulgated thereunder." Biekert v. Maram, 
    388 Ill. App. 3d 1114
    , 1119, 
    905 N.E.2d 357
    , 362-
    63 (2009). "At its heart, Medicaid is a taxpayer-funded program intended to provide medical
    care to the truly poor and needy ***." Tjaden, 
    2013 IL App (4th) 120768
    , ¶ 35, 
    11 N.E.3d 812
    .
    ¶ 58           Provena essentially argues that Medicaid benefits are not state funds as contem-
    plated by section 30 of the Whistleblower Act. In their respective briefs to this court, the parties
    - 19 -
    argue that resolution of the fourth certified question depends on the manner in which Provena
    received Medicaid payments—that is, directly from the state or by assignment from the Medicaid
    beneficiary. We do not find this distinction dispositive. Instead, we compare the terms "fund,"
    as used in section 5 of the Whistleblower Act, and "payment," as used in the Social Security Act.
    We find this distinction dispositive.
    ¶ 59           The definition of "fund" is "[t]o furnish money to (an individual, entity, or ven-
    ture), [especially] to finance a particular project." Black's Law Dictionary 697 (8th ed. 2004).
    "Payment" is defined as the "money or other valuable thing so delivered in satisfaction of an ob-
    ligation." Id. at 1165.
    ¶ 60           As noted, the purpose of the Medicaid program is to defray the cost of providing
    medical care to the poor and needy by providing payment in satisfaction or partial satisfaction for
    the medical services provided. Payments such as these cannot reasonably be considered funding
    as contemplated by the Whistleblower Act. For example, if a person underwent a medical pro-
    cedure that was covered by her private medical insurance policy, no reasonable person would
    conclude that the insurance company was privately "funding" the hospital by directly or indirect-
    ly tendering payment for the medical service provided. Similarly, a person who pays for his pre-
    scription at the hospital's pharmacy is not "funding" that entity. In each example, the payee is
    making a payment in satisfaction for a service performed. In other words, payment contemplates
    an exchange. In this case, a Medicaid payment is for medical services rendered. We see no
    meaningful distinction between the aforementioned examples and a payment made by the state
    on behalf of a Medicaid beneficiary for medical services rendered.
    ¶ 61           In contrast, we view the phrase, "funding, in whole or in part, by the State" as
    used in section 5 of the Whistleblower Act as a term of art, which contemplates public funding
    - 20 -
    that is allocated—for example—to financially support a particular program, experimental medi-
    cal trial, or project offered by a health care facility. See 105 ILCS 5/14A-30 (West 2010) (ex-
    plaining the funding available through the Illinois Board of Education for qualified programs fo-
    cused on the education of gifted and talented children). In the examples provided, the funds al-
    located do not represent a direct exchange but, rather, finances provided to advance a project,
    program, or other laudable endeavor that the state has determined is in the public's best interest.
    ¶ 62           Accordingly, we answer the fourth certified question in the negative, noting that a
    Medicaid payment—made either directly by the state or by assignment by a Medicaid benefi-
    ciary—is not funding as contemplated by section 5 of the Whistleblower Act.
    ¶ 63                                  III. CONCLUSION
    ¶ 64           For the reasons stated, we answer the first certified question in the affirmative, the
    remaining three questions in the negative, and we remand for further proceedings.
    ¶ 65           Certified questions answered; cause remanded.
    - 21 -