2012 -- S 2705 | |
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LC01762 | |
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STATE OF RHODE ISLAND | |
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IN GENERAL ASSEMBLY | |
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JANUARY SESSION, A.D. 2012 | |
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____________ | |
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A N A C T | |
RELATING TO BUSINESSES AND PROFESSIONS | |
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     Introduced By: Senators Perry, Miller, DeVall, and Nesselbush | |
     Date Introduced: March 06, 2012 | |
     Referred To: Senate Corporations | |
It is enacted by the General Assembly as follows: | |
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     SECTION 1. Section 5-3.1-12 of the General Laws in Chapter 5-3.1 entitled "Public |
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Accountancy" is hereby amended to read as follows: |
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     5-3.1-12. Revocation or suspension of certificate, authority or permit. -- (a) After |
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notice and a hearing as provided in section 5-3.1-14, the board may: (1) suspend, for a period not |
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to exceed two (2) years, or revoke any certificate issued under section 5-3.1-5, or any predecessor |
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provision, and any authority as a public accountant issued under the prior laws of this state; (2) |
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revoke or suspend any permit issued under sections 5-3.1-7, 5-3.1-8, 5-3.1-9, or their predecessor |
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provisions; and (3) reprimand or censure in writing, limit the scope of practice, impose an |
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administrative fine upon, not to exceed one thousand dollars ($1,000), or place on probation, all |
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with or without terms, conditions, or limitations, a licensee, for any of the causes specified in |
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subsection (b) of this section. |
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      (b) The board may take action specified in subsection (a) of this section for any one or |
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more of the following causes: |
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      (1) Fraud or deceit in obtaining a certificate or permit under this chapter; |
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      (2) Dishonesty, fraud, or gross negligence in the practice of public accounting or in the |
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filing or failing to file the licensee's own income tax returns; |
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      (3) Violation of any of the provisions of this chapter; |
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      (4) Violation of any rules and regulations, including, but not limited to, any rules of |
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professional conduct, promulgated by the board under the authority granted by this chapter; |
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      (5) Conviction of, or pleading guilty or nolo contendere to, a crime or an act constituting |
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a crime of forgery, embezzlement, obtaining money under false pretenses, bribery, larceny, |
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extortion, conspiracy to defraud, misappropriation of funds, tax evasion, or any other similar |
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offense or offenses |
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other state or in federal court; |
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      (6) Cancellation, revocation, or suspension of, or refusal to renew, the licensee's |
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certificate or permit from another state by the other state for any cause other than failure to pay a |
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fee or to meet the requirements of continuing education in that other state; |
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      (7) Suspension or revocation of the right to practice public accounting before any state or |
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federal agency; |
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      (8) As to accountants licensed by foreign countries, cancellation, revocation, suspension, |
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or refusal to renew the person's certificate, license, or degree evidencing his or her qualification to |
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practice public accounting by the foreign country issuing the certificate, license, or degree, the |
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certificate, license, or degree having qualified the accountant for issuance of an annual limited |
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permit to practice under section 5-3.1-8; |
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      (9) Failure to furnish the board or any persons acting on behalf of the board any |
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information that is legally requested by the board; |
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      (10) Any conduct reflecting adversely upon the licensee's fitness to engage in the |
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practice of public accountancy; and |
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      (11) Any other conduct discreditable to the public accounting profession. |
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     SECTION 2. Section 5-5.1-18 of the General Laws in Chapter 5-5.1 entitled "Private |
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Security Guard Businesses" is hereby amended to read as follows: |
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     5-5.1-18. Registration. -- (a) Except as provided in this chapter, no person shall perform |
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the functions and duties of an employee of a business required to be licensed under this chapter in |
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this state, without first having been registered or licensed. The attorney general shall keep and |
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make available for public inspection a list of all persons who have been registered or licensed and |
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the name of the company employing the person at the time of registration or licensure. |
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      (b) No holder of any unexpired license issued pursuant to this chapter shall knowingly |
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employ any person who has been convicted of a felony in connection with his or her or its |
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business in any capacity. Should the holder of an unexpired license falsely state or represent that |
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a person is or has been in his or her employ, that false statement or misrepresentation is sufficient |
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cause for the revocation of the license. |
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      (c) No person shall be employed by any holder of a license until he or she has executed |
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and furnished to the license holder a verified statement, to be known as "employee's registration |
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statement," stating: |
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      (1) His or her full name, age, residence address, and place and date of birth; |
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      (2) The country of which he or she is a citizen; |
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      (3) The business or occupation engaged in for the five (5) years immediately preceding |
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the date of the filing of the statement, stating the place or places where the business or occupation |
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was engaged in, and the name or names of any employers; |
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      (4) That he or she has not been convicted of a felony |
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      (5) Any further information that the attorney general may by rule require to show the |
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good character, competency, and integrity of the person executing the statement. |
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      (d) All holders of a license shall be allowed to obtain a criminal background check on |
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any employee or prospective employee from the division of criminal identification for a fee |
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determined by the department of the attorney general. |
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      (e) If any holder of a license files with the attorney general the "employee's statement" of |
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a person other than the person employed, he or she is guilty of a felony. |
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     SECTION 3. Section 5-8-18 of the General Laws in Chapter 5-8 entitled "Engineers" is |
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hereby amended to read as follows: |
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     5-8-18. Suspension, refusal to renew, and revocation of certificates -- Complaints -- |
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Hearings. -- (a) After notice and a hearing as provided in this section, the board may in its |
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discretion: (1) suspend, revoke, or refuse to renew any certificate of registration; (2) revoke or |
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suspend or refuse to renew any certificate of authorization; (3) publicly censure, or reprimand or |
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censure in writing; (4) limit the scope of practice of; (5) impose an administrative fine upon, not |
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to exceed one thousand dollars ($1,000) for each violation; (6) place on probation; and/or (7) for |
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good cause shown order a reimbursement of the board for all fees, expenses, costs, and attorneys |
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fees in connection with the proceedings, which amounts shall be deposited as general revenues; |
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all with or without terms, conditions or limitations, holders of a certificate of registration or a |
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certificate of authorization, referred to as licensee(s), for any one or more of the causes set out in |
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subsection (b) of this section. |
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      (b) The board may take actions specified in subsection (a) of this section for any of the |
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following causes: |
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      (1) Bribery, fraud, deceit, or misrepresentation in obtaining a certificate of registration or |
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certificate of authorization; |
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      (2) Practicing engineering in another state or country or jurisdiction in violation of the |
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laws of that state or country or jurisdiction; |
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      (3) Practicing engineering in this state in violation of the standards of professional |
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conduct established by the board; |
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      (4) Fraud, deceit, recklessness, gross negligence, misconduct, or incompetence in the |
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practice of engineering; |
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      (5) Use of an engineer's stamp in violation of section 5-8-14; |
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      (6) Violation of any of the provisions of this chapter; |
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      (7) Suspension or revocation of the right to practice engineering before any state or |
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before any other country or jurisdiction; |
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      (8) Conviction of or pleading guilty or nolo contendere to any felony or to any crime of, |
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or an act constituting a crime of, forgery, embezzlement, obtaining money under false pretenses, |
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bribery, larceny, extortion, conspiracy to defraud, or any other similar offense or offenses |
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the federal government; |
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      (9) Failure to furnish to the board or any person acting on behalf of the board in a |
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reasonable time any information that may be legally requested by the board; |
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      (10) In conjunction with any violation of subdivisions (1) -- (9) of this subsection, any |
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conduct reflecting adversely upon the licensee's fitness to engage in the practice of engineering; |
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and |
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      (11) In conjunction with any violation of subdivisions (1) -- (9) of this subsection, any |
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other conduct discreditable to the engineering profession. |
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      (c) Any person may file complaints of fraud, deceit, gross negligence, incompetence, or |
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misconduct against any registrant. Those charges shall be in writing, sworn to by the person or |
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persons making them and filed with the board. |
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      (d) All charges, unless dismissed by the board as unfounded or trivial, shall be heard by |
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the board within six (6) months after the date on which they have been properly filed or within six |
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(6) months following resolution of similar charges that have been brought against a registrant |
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who is before another regulatory body. |
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      (e) The time and place for the hearing pursuant to subsection (d) of this section shall be |
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fixed by the board, and a copy of charges, together with a notice of the time and place of hearing, |
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shall be personally served on or mailed to the last known address of the registrant, at least thirty |
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(30) days before the date fixed for the hearing. At any hearing, the accused registrant shall have |
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the right to appear personally and/or by counsel, to cross-examine witnesses appearing against |
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him or her, and to produce evidence and witnesses in his or her own defense. |
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      (f) If, after the hearing pursuant to subsection (d) of this section, the evidence is in favor |
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of sustaining the charges, the board may in its discretion suspend, refuse to renew, or revoke the |
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certificate of registration or certificate of authorization, or publicly censure the licensee, or take |
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any other action and/or order any other penalty permitted by this section. The board, for reasons it |
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deems sufficient, may reissue a certificate of registration or certificate of authorization or renewal |
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to any person or firm whose certificate has been revoked. |
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      (g) In addition, the board may on its own motion investigate the conduct of an applicant, |
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engineer, sole proprietorship, partnership, limited liability partnership, corporation, limited |
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liability company or individual. |
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     SECTION 4. Section 5-8.1-15 of the General Laws in Chapter 5-8.1 entitled "Land |
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Surveyors" is hereby amended to read as follows: |
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     5-8.1-15. Board of registration for professional land surveyors -- Disciplinary |
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actions. -- (a) Revocation, suspension, and censure. - After notice and a hearing as provided in |
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this section, the board of land surveyors may in its discretion: (1) suspend, revoke, or refuse to |
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renew any certificate of registration; (2) revoke or suspend or refuse to renew any certificate of |
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authorization; (3) publicly censure, or reprimand or censure in writing; (4) limit the scope of |
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practice of; (5) impose an administrative fine, not to exceed one thousand dollars ($1,000) for |
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each violation; (6) place on probation; and/or (7) for good cause shown order a reimbursement of |
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the board for all fees, expenses, costs, and attorneys' fees in connection with the proceedings, |
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which amounts shall deposited as general revenues; all with or without terms, conditions or |
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limitations, holders of a certificate of registration or a certificate of authorization, hereafter |
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referred to as registrant(s), for any one or more of the causes set out in subsection (b) of this |
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section. |
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      (b) Grounds. - The board may take actions specified in subsection (a) of this section for |
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any of the following causes: |
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      (1) Bribery, fraud, deceit, or misrepresentation in obtaining a certificate of registration or |
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certificate of authorization; |
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      (2) Practicing land surveying in another state or country or jurisdiction in violation of the |
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laws of that state, country, or jurisdiction; |
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      (3) Practicing land surveying in this state in violation of the standards of professional |
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conduct established by the board; |
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      (4) Fraud, deceit, recklessness, gross negligence, misconduct, or incompetence in the |
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practice of land surveying; |
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      (5) Use of a land surveyor's stamp in violation of section 5-8.1-12; |
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      (6) Violation of any of the provisions of this chapter; |
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      (7) Suspension or revocation of the right to practice land surveying before any state or |
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before any other country or jurisdiction; |
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      (8) Conviction of or pleading guilty or nolo contendere to any felony or to any crime of, |
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or an act constituting a crime of, forgery, embezzlement, obtaining money under the false |
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pretenses, bribery, larceny, extortion, conspiracy to defraud, or any other similar offense or |
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offenses |
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state or of the federal government; |
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      (9) Failure to furnish to the board or any person acting on behalf thereof in a reasonable |
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time such information as may be legally requested by the board; |
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      (10) In conjunction with any violation of subdivisions (1) -- (9) of this subsection, any |
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conduct reflecting adversely upon the registrant's fitness to engage in the practice of land |
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surveying; and |
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      (11) In conjunction with any violation of subdivisions (1) -- (9) of this subsection, any |
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other conduct discreditable to the land surveying profession. |
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      (c) Procedures. - (1) Any person may prefer charges of fraud, deceit, gross negligence, |
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incompetence, or misconduct against any applicant or registrant. In addition, the board may, on |
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its own motion, investigate the conduct of an applicant or registrant of the board, and may in |
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appropriate cases file a written statement of charges with the secretary of the board. The charges |
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shall be in writing and shall be sworn to by the person or persons making them and shall be filed |
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with the board of land surveyors. All charges, unless dismissed by the board of land surveyors as |
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unfounded or trivial, shall be heard by the board within three (3) months after the date on which |
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they were referred. |
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      (2) The time and place for the hearing shall be fixed by the board of land surveyors, and |
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a copy of the charges, together with a notice of the time and place of the hearing, shall be |
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personally served on or mailed to the last known address of the registrant at least thirty (30) days |
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before the date fixed for the hearing. At any hearing, the accused registrant or applicant has the |
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right to appear personally and/or by counsel, to cross examine witnesses appearing against him or |
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her, and to produce evidence and witnesses in his or her defense. |
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      (3) If, after the hearing, the charges are sustained, the board of land surveyors may in its |
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discretion suspend, refuse to renew, or revoke the certificate of registration, or certificate of |
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authorization or publicly censure the registrant, or take any other action and/or order any other |
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penalty permitted by this section. |
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      (4) The board of land surveyors may, at its discretion, reissue a certificate of registration |
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or certificate of authorization or renewal to any person or firm denied registration under this |
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section or upon presentation of satisfactory evidence of reform and/or redress. |
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      (d) Legal counsel. - The board of land surveyors may employ counsel and necessary |
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assistance to aid in the enforcement of this chapter, and their compensation and expenses shall be |
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paid from the funds budgeted for and under the control of the board. |
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      (e) Nothing in this chapter shall prevent the board of land surveyors from charging one |
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or both parties a fee for the direct costs associated with hearings and transcripts. |
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     SECTION 5. Section 5-25-14 of the General Laws in Chapter 5-25 entitled "Veterinary |
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Practice" is hereby amended to read as follows: |
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     5-25-14. Grounds for refusal to issue, refusal to renew, revoke, or suspend a license. |
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-- The division has the power to deny, revoke or suspend any license issued under this chapter or |
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otherwise discipline a licensee upon proof of the following: |
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      (1) Conviction of a |
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conviction of a crime arising out of the practice of veterinary medicine; |
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      (2) Addiction to narcotics, habitual drunkenness, or rendering professional services to a |
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patient while the veterinarian is intoxicated or incapacitated by the use of drugs; |
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      (3) Knowingly placing the health of a client at serious risk without maintaining proper |
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precautions; |
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      (4) Fraud or misrepresentation in any phase of procuring or renewing a license; |
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      (5) Unprofessional conduct, which includes the matters set forth in the section or other |
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matters as further defined in regulations of the division; |
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      (6) Advertising designed to mislead the public; |
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      (7) Representing certain procedures are performed with greater authority or expertise; |
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      (8) Fraud or misrepresentation of treatment procedures or statements regarding the |
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ability to treat; |
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      (9) Fee splitting or kickbacks of any kind, except where services are provided jointly; |
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      (10) Failure to maintain acceptable sanitation standards; |
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      (11) Malpractice, gross negligence, or wanton disregard of accepted professional |
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standards; |
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      (12) Adjudication of mental incompetence; |
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      (13) Lack of fitness to practice by reason of mental or physical impairment or otherwise; |
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or |
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      (14) Any other grounds to deny, revoke or suspend a license as provided for in the rules |
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and regulations. |
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     SECTION 6. Sections 5-29-12 and 5-29-16 of the General Laws in Chapter 5-29 entitled |
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"Podiatrists" are hereby amended to read as follows: |
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     5-29-12. Refusal of licensure. -- (a) The director upon recommendation from the board |
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shall, after due notice and a hearing in accordance with procedures set forth in this chapter, refuse |
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to grant the original license provided for in this chapter to any podiatrist and/or applicant who is |
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not of good moral character, who does not meet the requirements for licensure set forth in this |
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chapter and regulations established by the board or director, who has violated any law |
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|
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who has been found guilty in another state of conduct which if committed in Rhode Island would |
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constitute unprofessional conduct as defined by the general laws and regulations adopted pursuant |
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to the general laws. |
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      (b) The director shall serve a copy of the decision or ruling upon any person whose |
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original certificate has been refused. |
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     5-29-16. Unprofessional conduct. -- The term "unprofessional conduct" as used in this |
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chapter includes, but is not limited to, the following items or any combination of them and may |
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be further defined by regulations established by the board with the approval of the director: |
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      (1) Fraudulent or deceptive procuring or use of a license of limited registration; |
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      (2) All advertising of podiatry business, which is intended or has a tendency to deceive |
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the public; |
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      (3) Conviction of a |
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of a crime arising out of the practice of podiatry; |
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      (4) Abandonment of patient; |
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      (5) Dependence upon a controlled substance, habitual drunkenness or rendering |
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professional services to a patient while the podiatrist or limited registrant is intoxicated or |
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incapacitated by the use of drugs; |
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      (6) Promotion by a podiatrist, or limited registrant of the sale of drugs, devices, |
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appliances, or goods or services provided for a patient in a manner that exploits the patient for the |
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financial gain of the podiatrist or limited registrant; |
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      (7) Immoral conduct of a podiatrist, or limited registrant in the practice of podiatry; |
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      (8) Willfully making and filing false reports or records in the practice of podiatry; |
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      (9) Willful omission to file or record, or willfully impeding or obstructing a filing or |
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recording, or inducing another person to omit to file or record podiatry/medical or other reports as |
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required by law; |
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      (10) Failure to furnish details of a patient's medical record to a succeeding podiatrist or |
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medical facility upon proper request pursuant to this chapter; |
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      (11) Solicitation of professional patronage by agents or persons or profiting from acts of |
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those representing themselves to be agents of the licensed podiatrist or limited registrant; |
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      (12) Division of fees or agreeing to split or divide the fees received for professional |
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services for any person for bringing to or referring a patient; |
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      (13) Agreeing with clinical or bio-analytical laboratories to accept payments from those |
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laboratories for individual tests or test series for patients, or agreeing with podiatry laboratories to |
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accept payment from those laboratories for work referred; |
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      (14) Willful misrepresentation in treatment; |
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      (15) Practice podiatry with an unlicensed podiatrist except in accordance with the rules |
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and regulations of the board of aiding or abetting those unlicensed persons in the practice of |
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podiatry; |
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      (16) Gross and willful overcharging for professional services; including filing of false |
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statements for collection of fees for which services are not rendered or willfully making or |
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assisting in making a false claim or deceptive claim or misrepresenting a material fact for use in |
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determining rights to podiatric care or other benefits; |
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      (17) Offering, undertaking or agreeing to cure or treat disease by a secret method, |
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procedure, treatment, or medicine; |
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      (18) Professional or mental incompetence; |
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      (19) Incompetent, negligent, or willful misconduct in the practice of podiatry which |
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includes the rendering of unnecessary podiatry services and any departure from or the failure to |
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conform to the minimal standards of acceptable and prevailing podiatry practice in his or her area |
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of expertise as is determined by the board. The board does not need to establish actual injury to |
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the patient in order to adjudge a podiatrist or limited registrant to be guilty of unprofessional |
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conduct; |
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      (20) Revocation, suspension, surrender, or limitation of privilege based on quality of |
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care provided or any other disciplinary action against a license to practice podiatry in another |
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state or jurisdiction, or revocation, suspension, surrender or other disciplinary action as to |
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membership on any podiatry staff or in any podiatry or professional association or society for |
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conduct similar to acts or conduct which would constitute grounds for action as set forth in this |
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chapter; |
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      (21) Any adverse judgment, settlement or award arising from a medical liability claim |
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related to acts or conduct similar to acts or conduct which would constitute grounds for action as |
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defined in this chapter or regulations adopted pursuant to this chapter; |
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      (22) Failure to furnish the board, its director, investigator, or representative, information |
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legally requested by the board; |
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      (23) Violation of any provisions of this chapter or the rules and regulations of the board |
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or any rules and regulations promulgated by the director or of an action, stipulation, or agreement |
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of the board; |
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      (24) Cheating on or attempting to subvert the licensing examination; |
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      (25) Violating any state or federal law or regulation relating to controlled substances; |
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      (26) Failure to maintain standards established by peer review boards, including but not |
10-7 |
limited to standards related to proper utilization of services, and use of non-accepted procedure |
10-8 |
and/or quality of care; or |
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      (27) A podiatrist providing services to a person who is making a claim as a result of a |
10-10 |
personal injury, who charges or collects from the person any amount in excess of the |
10-11 |
reimbursement to the podiatrist by the insurer as a condition of providing or continuing to provide |
10-12 |
services or treatment. |
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     SECTION 7. Section 5-30-13 of the General Laws in Chapter 5-30 entitled "Chiropractic |
10-14 |
Physicians" is hereby amended to read as follows: |
10-15 |
     5-30-13. Continuing education requirements -- Grounds for refusal, revocation, or |
10-16 |
suspension of certificates. -- (a) The division of professional regulation of the department of |
10-17 |
health may, after notice and a hearing, in its discretion refuse to grant the certificate provided for |
10-18 |
in this chapter to any chiropractic physician if the applicant has not furnished satisfactory |
10-19 |
evidence that he or she has completed, in the twelve (12) months preceding each renewal date, at |
10-20 |
least twelve (12) hours of instruction in chiropractic related subjects as conducted by the |
10-21 |
Chiropractic Society of Rhode Island or the equivalent as approved by the division. Satisfactory |
10-22 |
evidence of completion of postgraduate study of a type and character, or at an educational session |
10-23 |
or institution approved by the division, is considered equivalent. Every chiropractic physician |
10-24 |
licensed to practice within this state, on or before the thirty-first day of October of every third |
10-25 |
year after the 1980 registration, shall apply to the Rhode Island state board of chiropractic |
10-26 |
examiners for certification of triennial registration with the board. The division may, after notice |
10-27 |
and a hearing, in its discretion refuse to grant the certificate provided for in this chapter to any |
10-28 |
chiropractic physician, if the applicant has not furnished satisfactory evidence to the board of |
10-29 |
examiners that in the preceding three (3) years the practitioner has completed sixty (60) hours of |
10-30 |
instruction in chiropractic related subjects prescribed by the rules and regulations by the board of |
10-31 |
chiropractic examiners as conducted by the Chiropractic Society of Rhode Island or the |
10-32 |
equivalent as approved by the division. Satisfactory evidence of completion of postgraduate study |
10-33 |
of a type and character, or at an educational session or institution approved by the division, is |
10-34 |
considered equivalent. The division may waive the educational requirements if the division is |
11-1 |
satisfied that an applicant has suffered a hardship or for any other sufficient reason was prevented |
11-2 |
from meeting the educational requirements. |
11-3 |
      (b) The division of professional regulation of the department of health may, after notice |
11-4 |
and hearings, in its discretion refuse to grant the certificate provided for in this chapter to any |
11-5 |
chiropractic physician who is not of good moral character, or who has violated any of the laws of |
11-6 |
the state |
11-7 |
practice chiropractic medicine, or who has been guilty of gross unprofessional conduct or conduct |
11-8 |
of a character likely to deceive or defraud the public, and may, after notice and hearing, revoke or |
11-9 |
suspend any certificate issued or granted by it for like cause or for any fraud or deception |
11-10 |
committed in obtaining the certificate. "Gross unprofessional conduct" is defined as including, |
11-11 |
but not being limited to: |
11-12 |
      (1) The use of any false or fraudulent statement in any document connected with the |
11-13 |
practice of chiropractic medicine. |
11-14 |
      (2) The obtaining of any fee by willful fraud or misrepresentation either to a patient or |
11-15 |
insurance plan. |
11-16 |
      (3) The willful violation of a privileged communication. |
11-17 |
      (4) Knowingly performing any act which in any way aids or assists an unlicensed person |
11-18 |
to practice chiropractic medicine in violation of this chapter. |
11-19 |
      (5) The practice of chiropractic medicine under a false or assumed name. |
11-20 |
      (6) The advertising for the practice of chiropractic medicine in a deceptive or unethical |
11-21 |
manner. |
11-22 |
      (7) The obtaining of a fee as personal compensation or gain for an employer or for a |
11-23 |
person on a fraudulent representation that a manifestly incurable condition can be permanently |
11-24 |
cured. |
11-25 |
      (8) Habitual intoxication or addiction to the use of drugs. |
11-26 |
      (9) Willful or repeated violations of any of the rules or regulations of the state |
11-27 |
department of health. |
11-28 |
      (10) Gross incompetence in the practice of his or her profession. |
11-29 |
      (11) Repeated acts of immorality or repeated acts of gross misconduct in the practice of |
11-30 |
his or her profession. |
11-31 |
      (12) The procuring or aiding or abetting in procuring a criminal abortion. |
11-32 |
      (13) A chiropractic physician providing services to a person who is making a claim as a |
11-33 |
result of a personal injury who charges or collects from the person any amount in excess of the |
11-34 |
reimbursement to the chiropractic physician by the insurer as a condition of providing or |
12-1 |
continuing to provide services or treatment. |
12-2 |
      (c) The division of professional regulation of the department of health shall serve a copy |
12-3 |
of its decision or ruling upon any person whose certificate has been revoked or refused. |
12-4 |
     SECTION 8. Sections 5-31.1-8 and 5-31.1-10 of the General Laws in Chapter 5-31.1 |
12-5 |
entitled "Dentists and Dental Hygienists" are hereby amended to read as follows: |
12-6 |
     5-31.1-8. Refusal of licensure. -- (a) The director upon recommendation from the board, |
12-7 |
after notice and hearing in accordance with the procedures prescribed in this chapter, shall refuse |
12-8 |
to grant the original license provided for in this chapter to any dentist, dental hygienist and/or |
12-9 |
applicant who is not of good moral character, who does not meet the requirements for licensure |
12-10 |
prescribed in this chapter and regulations established by the board or director, who has violated |
12-11 |
any law |
12-12 |
applicant to practice dentistry or dental hygiene, or who has been found guilty in another state of |
12-13 |
conduct which if committed in Rhode Island would constitute unprofessional conduct as defined |
12-14 |
in section 5-31.1-10 and regulations adopted under these chapters. |
12-15 |
      (b) The director shall serve a copy of his or her decision or ruling upon any person |
12-16 |
whose original certificate has been refused. |
12-17 |
     5-31.1-10. Unprofessional conduct. -- The term "unprofessional conduct" as used in this |
12-18 |
chapter includes, but is not limited to, the following items or any combination of them and may |
12-19 |
be defined by regulations established by the board with the approval of the director: |
12-20 |
      (1) Fraudulent or deceptive procuring or use of a license or limited registration; |
12-21 |
      (2) All advertising of dental or dental hygiene business which is intended or has a |
12-22 |
tendency to deceive the public or a dentist advertising as a specialty in an area of dentistry unless |
12-23 |
the dentist: |
12-24 |
      (i) Is a diplomat of or a fellow in a specialty board accredited or recognized by the |
12-25 |
American Dental Association; or |
12-26 |
      (ii) Has completed a post-graduate program approved by the Commission on Dental |
12-27 |
Accreditation of the American Dental Association; |
12-28 |
      (3) Conviction of a |
12-29 |
of a crime arising out of the practice of dentistry or of dental hygiene; |
12-30 |
      (4) Abandonment of patient; |
12-31 |
      (5) Dependence upon controlled substances, habitual drunkenness or rendering |
12-32 |
professional services to a patient while the dentist or dental hygienist, or limited registrant is |
12-33 |
intoxicated or incapacitated by the use of drugs; |
13-34 |
      (6) Promotion by a dentist, dental hygienist, or limited registrant of the sale of drugs, |
13-35 |
devices, appliances, or goods or services provided for a patient in a manner as to exploit the |
13-36 |
patient for the financial gain of the dentist, dental hygienist, or limited registrant; |
13-37 |
      (7) Immoral conduct of a dentist, dental hygienist, or limited registrant in the practice of |
13-38 |
dentistry or dental hygiene; |
13-39 |
      (8) Willfully making and filing false reports or records in the practice of dentistry or |
13-40 |
dental hygiene; |
13-41 |
      (9) Willful omission to file or record, or willfully impeding or obstructing a filing or |
13-42 |
recording, or inducing another person to omit to file or record dental or other reports as required |
13-43 |
by law; |
13-44 |
      (10) Failure to furnish details of a patient's dental record to succeeding dentists, or dental |
13-45 |
care facility upon proper request pursuant to this chapter; |
13-46 |
      (11) Solicitation of professional patronage by agents or persons or profiting from acts of |
13-47 |
those representing themselves to be agents of the licensed dentist, dental hygienist, or limited |
13-48 |
registrant; |
13-49 |
      (12) Division of fees or agreeing to split or divide the fees received for professional |
13-50 |
services for any person for bringing to or referring a patient; |
13-51 |
      (13) Agreeing with clinical or bio-analytical laboratories to accept payments from those |
13-52 |
laboratories for individual tests or test series for patients, or agreeing with dental laboratories to |
13-53 |
accept payment from those laboratories for work referred; |
13-54 |
      (14) Willful misrepresentation in treatments; |
13-55 |
      (15) Practicing dentistry with an unlicensed dentist or practicing dental hygiene with an |
13-56 |
unlicensed dental hygienist except in an accredited training program, or with a dental assistant in |
13-57 |
accordance with the rules and regulations of the board or aiding or abetting those unlicensed |
13-58 |
persons in the practice of dentistry or dental hygiene; |
13-59 |
      (16) Gross and willful overcharging for professional services, including filing of false |
13-60 |
statements for collection of fees for which services are not rendered or willfully making or |
13-61 |
assisting in making a false claim or deceptive claim or misrepresenting a material fact for use in |
13-62 |
determining rights to dental care or other benefits; |
13-63 |
      (17) Offering, undertaking, or agreeing to cure or treat disease by a secret method, |
13-64 |
procedure, treatment, or medicine; |
13-65 |
      (18) Professional or mental incompetence; |
13-66 |
      (19) Incompetent, negligent, or willful misconduct in the practice of dentistry or dental |
13-67 |
hygiene, which includes the rendering of unnecessary dental services and any departure from or |
13-68 |
the failure to conform to the minimal standards of acceptable and prevailing dental or dental |
14-1 |
hygiene practice in his or her area of expertise as is determined by the board. The board does not |
14-2 |
need to establish actual injury to the patient in order to adjudge a dentist, dental hygienist or |
14-3 |
limited registrant guilty of the previously named misconduct; |
14-4 |
      (20) Failure to comply with the provisions of chapter 4.7 of title 23; |
14-5 |
      (21) Revocation, suspension, surrender, or limitation of privilege based on quality of |
14-6 |
care provided or any other disciplinary action against a license to practice dentistry or dental |
14-7 |
hygiene in another state or jurisdiction, or revocation, suspension, surrender, or other disciplinary |
14-8 |
action as to membership on any dental staff or in any dental or professional association or society |
14-9 |
for conduct similar to acts or conduct which would constitute grounds for action as prescribed in |
14-10 |
this chapter; |
14-11 |
      (22) Any adverse judgment, settlement, or award arising from a dental liability claim |
14-12 |
related to acts or conduct similar to acts or conduct which would constitute grounds for action as |
14-13 |
defined in this chapter or regulations adopted under this chapter; |
14-14 |
      (23) Failure to furnish the board, its dental administrator, investigator, or representatives, |
14-15 |
information legally requested by the board; |
14-16 |
      (24) Violation of any provision or provisions of this chapter or the rules and regulations |
14-17 |
of the board or any rules and regulations promulgated by the director or of an action, stipulation |
14-18 |
or agreement of the board; |
14-19 |
      (25) Cheating on or attempting to subvert the licensing examination; |
14-20 |
      (26) Violating any state or federal law or regulation relating to controlled substances; |
14-21 |
      (27) Failure to maintain standards established by peer review boards, including, but not |
14-22 |
limited to, standards related to proper utilization of services, and use of non-accepted procedure |
14-23 |
and/or quality of care; |
14-24 |
      (28) Malpractice as defined in section 5-37-1(8). |
14-25 |
      (29) No person licensed to practice dentistry in the state of Rhode Island may permit a |
14-26 |
non-dentist who operates a dental facility in the form of a licensed out patient health care center |
14-27 |
or management service organization to interfere with the professional judgment of the dentist in |
14-28 |
the practice. |
14-29 |
     SECTION 9. Sections 5-37-4 and 5-37-5.1 of the General Laws in Chapter 5-37 entitled |
14-30 |
"Board of Medical Licensure and Discipline" are hereby amended to read as follows: |
14-31 |
     5-37-4. Refusal of licensure. -- (a) The director at the direction of the board shall, after |
14-32 |
notice and hearing, in accordance with the procedures established in sections 5-37-5.2 -- 5-37-6.2, |
14-33 |
refuse to grant the original license provided for in this chapter to any physician and/or applicant: |
15-34 |
      (1) Who is not of good moral character; |
15-35 |
      (2) Who does not meet the requirements for licensure prescribed in this chapter, |
15-36 |
regulations established by the board, and/or regulations promulgated by the director; |
15-37 |
      (3) Who has violated any laws |
15-38 |
physician and/or applicant to practice medicine; or |
15-39 |
      (4) Who has been found guilty in another state of conduct which, if committed in Rhode |
15-40 |
Island, would constitute unprofessional conduct as defined in section 5-37-5.1 and regulations |
15-41 |
adopted under that section. |
15-42 |
      (b) The director shall serve a copy of his or her decision or ruling upon any person |
15-43 |
whose original certificate has been refused. |
15-44 |
     5-37-5.1. Unprofessional conduct. -- The term "unprofessional conduct" as used in this |
15-45 |
chapter includes, but is not limited to, the following items or any combination of these items and |
15-46 |
may be further defined by regulations established by the board with the prior approval of the |
15-47 |
director: |
15-48 |
      (1) Fraudulent or deceptive procuring or use of a license or limited registration; |
15-49 |
      (2) All advertising of medical business, which is intended or has a tendency to deceive |
15-50 |
the public; |
15-51 |
      (3) Conviction of a |
15-52 |
of a crime arising out of the practice of medicine; |
15-53 |
      (4) Abandoning a patient; |
15-54 |
      (5) Dependence upon controlled substances, habitual drunkenness, or rendering |
15-55 |
professional services to a patient while the physician or limited registrant is intoxicated or |
15-56 |
incapacitated by the use of drugs; |
15-57 |
      (6) Promotion by a physician or limited registrant of the sale of drugs, devices, |
15-58 |
appliances, or goods or services provided for a patient in a manner as to exploit the patient for the |
15-59 |
financial gain of the physician or limited registrant; |
15-60 |
      (7) Immoral conduct of a physician or limited registrant in the practice of medicine; |
15-61 |
      (8) Willfully making and filing false reports or records in the practice of medicine; |
15-62 |
      (9) Willfully omitting to file or record, or willfully impeding or obstructing a filing or |
15-63 |
recording, or inducing another person to omit to file or record, medical or other reports as |
15-64 |
required by law; |
15-65 |
      (10) Failing to furnish details of a patient's medical record to succeeding physicians, |
15-66 |
health care facility, or other health care providers upon proper request pursuant to section 5-37.3- |
15-67 |
4; |
16-68 |
      (11) Soliciting professional patronage by agents or persons or profiting from acts of |
16-69 |
those representing themselves to be agents of the licensed physician or limited registrants; |
16-70 |
      (12) Dividing fees or agreeing to split or divide the fees received for professional |
16-71 |
services for any person for bringing to or referring a patient; |
16-72 |
      (13) Agreeing with clinical or bioanalytical laboratories to accept payments from these |
16-73 |
laboratories for individual tests or test series for patients; |
16-74 |
      (14) Making willful misrepresentations in treatments; |
16-75 |
      (15) Practicing medicine with an unlicensed physician except in an accredited |
16-76 |
preceptorship or residency training program, or aiding or abetting unlicensed persons in the |
16-77 |
practice of medicine; |
16-78 |
      (16) Gross and willful overcharging for professional services; including filing of false |
16-79 |
statements for collection of fees for which services are not rendered, or willfully making or |
16-80 |
assisting in making a false claim or deceptive claim or misrepresenting a material fact for use in |
16-81 |
determining rights to health care or other benefits; |
16-82 |
      (17) Offering, undertaking, or agreeing to cure or treat disease by a secret method, |
16-83 |
procedure, treatment or medicine; |
16-84 |
      (18) Professional or mental incompetency; |
16-85 |
      (19) Incompetent, negligent, or willful misconduct in the practice of medicine which |
16-86 |
includes the rendering of medically unnecessary services, and any departure from, or the failure |
16-87 |
to conform to, the minimal standards of acceptable and prevailing medical practice in his or her |
16-88 |
area of expertise as is determined by the board. The board does not need to establish actual injury |
16-89 |
to the patient in order to adjudge a physician or limited registrant guilty of the unacceptable |
16-90 |
medical practice in this subdivision; |
16-91 |
      (20) Failing to comply with the provisions of chapter 4.7 of title 23; |
16-92 |
      (21) Surrender, revocation, suspension, limitation of privilege based on quality of care |
16-93 |
provided, or any other disciplinary action against a license or authorization to practice medicine |
16-94 |
in another state or jurisdiction; or surrender, revocation, suspension, or any other disciplinary |
16-95 |
action relating to a membership on any medical staff or in any medical or professional association |
16-96 |
or society while under disciplinary investigation by any of those authorities or bodies for acts or |
16-97 |
conduct similar to acts or conduct which would constitute grounds for action as described in this |
16-98 |
chapter; |
16-99 |
      (22) Multiple adverse judgments, settlements or awards arising from medical liability |
16-100 |
claims related to acts or conduct which would constitute grounds for action as described in this |
16-101 |
chapter; |
17-102 |
      (23) Failing to furnish the board, its chief administrative officer, investigator or |
17-103 |
representatives, information legally requested by the board; |
17-104 |
      (24) Violating any provision or provisions of this chapter or the rules and regulations of |
17-105 |
the board or any rules or regulations promulgated by the director or of an action, stipulation, or |
17-106 |
agreement of the board; |
17-107 |
      (25) Cheating on or attempting to subvert the licensing examination; |
17-108 |
      (26) Violating any state or federal law or regulation relating to controlled substances; |
17-109 |
      (27) Failing to maintain standards established by peer review boards, including, but not |
17-110 |
limited to, standards related to proper utilization of services, use of nonaccepted procedure, |
17-111 |
and/or quality of care; |
17-112 |
      (28) A pattern of medical malpractice, or willful or gross malpractice on a particular |
17-113 |
occasion; |
17-114 |
      (29) Agreeing to treat a beneficiary of health insurance under title XVIII of the Social |
17-115 |
Security Act, 42 U.S.C. section 1395 et seq., "Medicare Act", and then charging or collecting |
17-116 |
from this beneficiary any amount in excess of the amount or amounts permitted pursuant to the |
17-117 |
Medicare Act; or |
17-118 |
      (30) Sexual contact between a physician and patient during the existence of the |
17-119 |
physician/patient relationship. |
17-120 |
     SECTION 10. Section 5-37.2-15 of the General Laws in Chapter 5-37.2 entitled "The |
17-121 |
Healing Art of Acupuncture" is hereby amended to read as follows: |
17-122 |
     5-37.2-15. Suspension, revocation, or refusal of license -- Grounds. -- The department |
17-123 |
may either refuse to issue or may suspend or revoke any license for any one or any combination |
17-124 |
of the following causes: |
17-125 |
      (1) Conviction of a felony, |
17-126 |
conviction of a violation of any state or federal law regulating the possession, distribution or use |
17-127 |
of any controlled substance as defined in section 21-28-1.02, as shown by a certified copy of |
17-128 |
record of the court; |
17-129 |
      (2) The obtaining of, or any attempt to obtain, a license, or practice in the profession for |
17-130 |
money or any other thing of value, by fraudulent misrepresentations; |
17-131 |
      (3) Gross malpractice; |
17-132 |
      (4) Advertising by means of knowingly false or deceptive statement; |
17-133 |
      (5) Advertising, practicing, or attempting to practice under a name other than one's own; |
17-134 |
      (6) Habitual drunkenness or habitual addiction to the use of a controlled substance as |
17-135 |
defined in section 21-28-1.02; |
18-136 |
      (7) Using any false, fraudulent, or forged statement or document, or engaging in any |
18-137 |
fraudulent, deceitful, dishonest, immoral practice in connection with the licensing requirement of |
18-138 |
this chapter; |
18-139 |
      (8) Sustaining a physical or mental disability which renders further practice dangerous; |
18-140 |
      (9) Engaging in any dishonorable, unethical, or unprofessional conduct which may |
18-141 |
deceive, defraud, or harm the public, or which is unbecoming a person licensed to practice under |
18-142 |
this chapter; |
18-143 |
      (10) Using any false or fraudulent statement in connection with the practice of |
18-144 |
acupuncture or any branch of acupuncture; |
18-145 |
      (11) Violating or attempting to violate, or assisting or abetting the violation of, or |
18-146 |
conspiring to violate, any provision of this chapter; |
18-147 |
      (12) Being adjudicated incompetent or insane; |
18-148 |
      (13) Advertising in an unethical or unprofessional manner; |
18-149 |
      (14) Obtaining a fee or financial benefit for any person by the use of fraudulent |
18-150 |
diagnosis, therapy, or treatment; |
18-151 |
      (15) Willfully disclosing a privileged communication; |
18-152 |
      (16) Failure of a licensee to designate his or her school of practice in the professional use |
18-153 |
of his or her name by the term "doctor of acupuncture" or "acupuncture assistant", as the case |
18-154 |
may be; |
18-155 |
      (17) Willful violation of the law relating to the health, safety, or welfare of the public, or |
18-156 |
of the rules and regulations promulgated by the state board of health; |
18-157 |
      (18) Administering, dispensing, or prescribing any controlled substance as defined in |
18-158 |
section 21-28-1.02, except for the prevention, alleviation, or cure of disease or for relief from |
18-159 |
suffering; and |
18-160 |
      (19) Performing, assisting, or advising in the injection of any liquid silicone substance |
18-161 |
into the human body. |
18-162 |
     SECTION 11. Section 5-40.1-14 of the General Laws in Chapter 5-40.1 entitled |
18-163 |
"Occupational Therapy" is hereby amended to read as follows: |
18-164 |
     5-40.1-14. Grounds for refusal to renew, suspension, or revocation of license. -- (a) |
18-165 |
The board may deny a license or refuse to renew a license or may suspend or revoke a license or |
18-166 |
may impose probationary conditions if the licensee has been found guilty of unprofessional |
18-167 |
conduct which has endangered or is likely to endanger the health, welfare, or safety of the public. |
18-168 |
Unprofessional conduct includes: |
18-169 |
      (1) Obtaining a license by means of fraud, misrepresentation, or concealment of material |
18-170 |
facts; |
19-1 |
      (2) Being found guilty of fraud or deceit in connection with his or her services rendered |
19-2 |
as an occupational therapist or occupational therapy assistant; |
19-3 |
      (3) Committing a felony |
19-4 |
|
19-5 |
|
19-6 |
      (4) Violating any lawful order, rule or regulation rendered or adopted by the board; |
19-7 |
      (5) Failing to report, in writing, to the board any disciplinary decision issued against the |
19-8 |
licensee or the applicant in another jurisdiction within thirty (30) days of the disciplinary |
19-9 |
decisions; |
19-10 |
      (6) Violating any provision of this chapter; and |
19-11 |
      (7) Providing services to a person who is making a claim as a result of a personal injury, |
19-12 |
who charges or collects from the person any amount in excess of the reimbursement to the |
19-13 |
occupational therapist by the insurer as a condition of providing or continuing to provide services |
19-14 |
or treatment. |
19-15 |
      (b) A denial, refusal to renew, suspension, revocation, or imposition of probationary |
19-16 |
conditions upon the license may be ordered by the board or the director of the department of |
19-17 |
health after a hearing in the manner provided by the Administrative Procedures Act, chapter 35 of |
19-18 |
title 42. |
19-19 |
      (c) The American Occupational Therapy Association's "Occupational Therapy Code of |
19-20 |
Ethics" is adopted as a public statement of the values and principles used in promoting and |
19-21 |
maintaining high standards of behavior in occupational therapy. These state: |
19-22 |
      (1) Occupational therapy personnel shall demonstrate a concern for the well-being of the |
19-23 |
recipients of their services; |
19-24 |
      (2) Occupational therapy personnel shall respect the rights of the recipients of their |
19-25 |
services; |
19-26 |
      (3) Occupational therapy personnel shall achieve and continually maintain high |
19-27 |
standards of competence; |
19-28 |
      (4) Occupational therapy personnel shall comply with laws and association policies |
19-29 |
guiding the profession of occupational therapy; |
19-30 |
      (5) Occupational therapy personnel shall provide accurate information about |
19-31 |
occupational therapy services; and |
19-32 |
      (6) Occupational therapy personnel shall treat colleagues and other professionals with |
19-33 |
fairness, discretion, and integrity. |
20-34 |
     SECTION 12. Section 5-48-11 of the General Laws in Chapter 5-48 entitled "Speech |
20-35 |
Pathology and Audiology" is hereby amended to read as follows: |
20-36 |
     5-48-11. Grounds for suspension or revocation of licenses. -- The license of any |
20-37 |
speech language pathologist and/or audiologist may be suspended or revoked by the board upon |
20-38 |
proof that he or she: |
20-39 |
      (1) Fraudulently or deceptively obtained or attempted to obtain a license for the |
20-40 |
applicant, licensee, holder, or for another; |
20-41 |
      (2) Fraudulently or deceptively used a license; |
20-42 |
      (3) Altered a license; |
20-43 |
      (4) Aided or abetted unlicensed practice; |
20-44 |
      (5) Committed fraud and deceit in the practice of speech language pathology or of |
20-45 |
audiology, including, but not limited to: |
20-46 |
      (i) Using or promoting, or causing the use of, any misleading, deceiving, or untruthful |
20-47 |
advertising matter, promotional literature, testimonial, guarantee, warranty, label, brand, insignia, |
20-48 |
or any other representation; |
20-49 |
      (ii) Falsely representing the use or availability of services or advice of a physician; |
20-50 |
      (iii) Misrepresenting the applicant, licensee, or holder by using the word "doctor" or any |
20-51 |
similar word, abbreviation, or symbol, if the use is not accurate or if the degree was not obtained |
20-52 |
from an accredited institution; |
20-53 |
      (iv) Making or filing a false report or record in the practice of speech language pathology |
20-54 |
or audiology; |
20-55 |
      (v) Submitting a false statement to collect a fee; and |
20-56 |
      (vi) Obtaining a fee through fraud or misrepresentation; |
20-57 |
      (6) Providing services while mentally incompetent; |
20-58 |
      (7) Engaging in illegal, incompetent, or habitually negligent practice; |
20-59 |
      (8) Providing professional services while: |
20-60 |
      (i) Under the influence of alcohol; or |
20-61 |
      (ii) Using any narcotic or controlled dangerous substance or other drug that is in excess |
20-62 |
of therapeutic amounts or without valid medical indication; |
20-63 |
      (9) Promoting the sale of devices, appliances, or products to a patient who cannot benefit |
20-64 |
from these devices, appliances or products; or |
20-65 |
      (10) Violating any provision of this chapter, any lawful order given, or rule or regulation |
20-66 |
adopted by the board or departure from or failure to conform to the current standards of |
20-67 |
acceptable prevailing practice and code of ethics of speech language pathology or audiology; |
21-68 |
      (11) Being convicted of, or pleading guilty or nolo contendere to, a |
21-69 |
|
21-70 |
conviction or plea set aside; |
21-71 |
      (12) Incompetent or negligent misconduct in the practice of speech language pathology |
21-72 |
or audiology; |
21-73 |
      (13) Is habitually intemperate or is addicted to the use of habit forming drugs; |
21-74 |
      (14) Being disciplined by a licensing or disciplinary authority of any other state or |
21-75 |
country, or convicted or disciplined by a court of any state or country, for an act that would be |
21-76 |
grounds for disciplinary action under this section; or |
21-77 |
      (15) Failing to maintain continuing education requirements. |
21-78 |
     SECTION 13. Section 5-49-12 of the General Laws in Chapter 5-49 entitled "Hearing |
21-79 |
Aid Dealers and Fitters" is hereby amended to read as follows: |
21-80 |
     5-49-12. Complaints -- Grounds and proceedings for revocation or suspension of |
21-81 |
licenses. -- (a) (1) Any person wishing to make a complaint against a licensee under this chapter |
21-82 |
shall file this complaint, in writing, with the department, within one year from the date of the |
21-83 |
action upon which the complaint is based. |
21-84 |
      (2) If the department determines the charges made in the complaint are sufficient to |
21-85 |
warrant a hearing to determine whether the license issued under this chapter should be suspended |
21-86 |
or revoked, it shall make an order fixing a time and place for a hearing and shall require the |
21-87 |
licensee complained against to appear and defend against the complaint. The order shall have |
21-88 |
annexed to it a copy of the complaint. |
21-89 |
      (3) The order and copy of the complaint shall be served upon the licensee, either |
21-90 |
personally or by registered mail sent to the licensee's last known address, at least twenty (20) days |
21-91 |
before the date set for the hearing. |
21-92 |
      (4) Continuances or an adjournment of the hearing shall be made if for good cause. |
21-93 |
      (5) At the hearing, the licensee complained against may be represented by counsel. |
21-94 |
      (6) The licensee complained against and the department shall have the right to take |
21-95 |
depositions in advance of the hearing and after service of the complaint, and either may compel |
21-96 |
the attendance of witness by subpoenas issued by the department under its seal. |
21-97 |
      (7) Either party taking depositions shall give at least five (5) days' written notice to the |
21-98 |
other party of the time and place of those depositions, and the other party has the right to attend |
21-99 |
(with counsel if desired) and cross-examine. |
21-100 |
      (8) Appeals from suspension or revocation may be made through the appropriate |
21-101 |
administrative procedures act. |
22-102 |
      (b) Any person registered under this chapter may have his or her license revoked or |
22-103 |
suspended for a fixed period by the department for any of the following causes: |
22-104 |
      (1) The conviction of a felony |
22-105 |
of conviction, or a certified copy, certified by the clerk of the court or by the judge in whose court |
22-106 |
the conviction was had, shall be conclusive evidence of this conviction. |
22-107 |
      (2) Procuring a license by fraud or deceit practiced upon the department. |
22-108 |
      (3) Unethical conduct, including: |
22-109 |
      (i) Obtaining any fee or making any sale by fraud or misrepresentation. |
22-110 |
      (ii) Knowingly employing, directly or indirectly, any suspended or unregistered person |
22-111 |
to perform any work covered by this chapter. |
22-112 |
      (iii) Using, or causing, or promoting the use of, any advertising matter, promotional |
22-113 |
literature, testimonial, guarantee, warranty, label, brand, insignia or any other representation, |
22-114 |
however disseminated or published, which is misleading, deceptive, or untruthful. |
22-115 |
      (iv) Advertising a particular model or type of hearing aid for sale when purchasers or |
22-116 |
prospective purchasers responding to the advertisement cannot purchase the advertised model or |
22-117 |
type, where it is established that the purpose of the advertisement is to obtain prospects for the |
22-118 |
sale of a different model or type than that advertised. |
22-119 |
      (v) Representing that the service or advice of a person licensed to practice medicine will |
22-120 |
be used or made available in the selection, fitting, adjustment, maintenance, or repair of hearing |
22-121 |
aids when that is not true. |
22-122 |
      (vi) Habitual intemperance. |
22-123 |
      (vii) Gross immorality. |
22-124 |
      (viii) Permitting another's use of a license. |
22-125 |
      (ix) Advertising a manufacturer's product or using a manufacturer's name or trademark |
22-126 |
which implies a relationship with the manufacturer that does not exist. |
22-127 |
      (x) Directly or indirectly giving or offering to give, or permitting or causing to be given, |
22-128 |
money or anything of value to any person who advises another in a professional capacity, as an |
22-129 |
inducement to influence him or her, or have him or her influence others, to purchase or contract |
22-130 |
to purchase products sold or offered for sale by a hearing aid dealer or fitter, or influencing |
22-131 |
persons to refrain from dealing in the products of competitors. |
22-132 |
      (xi) Representing, when this is not the case, that the hearing aid is or will be "custom- |
22-133 |
made", "made to order", or "prescription-made", or in any other sense specially fabricated for an |
22-134 |
individual person. |
22-135 |
      (4) Knowingly placing the health of a client at serious risk without maintaining proper |
22-136 |
precautions; |
23-1 |
      (5) Engaging in the fitting and sale of hearing aids under a false name or alias with |
23-2 |
fraudulent intent. |
23-3 |
      (6) Selling a hearing aid to a person who has not been given tests utilizing appropriate |
23-4 |
established procedures and instrumentation in fitting of hearing aids, except in cases of selling |
23-5 |
replacement hearing aids. Selling a hearing aid to a person who has discharge from the ear, loss |
23-6 |
of balance and dizzy spells, or a loss of hearing for less than ninety (90) days, unless that person |
23-7 |
has received a prescription from a physician. |
23-8 |
      (7) Gross incompetence or negligence in fitting and selling hearing aids. |
23-9 |
      (8) Violating any provisions of this chapter. |
23-10 |
     SECTION 14. Section 5-51-17 of the General Laws in Chapter 5-51 entitled "Rhode |
23-11 |
Island State Board of Examiners of Landscape Architects" is hereby amended to read as follows: |
23-12 |
     5-51-17. Revocation or suspension of licenses or certificates of authorization. -- After |
23-13 |
notice and a hearing as provided in section 5-51-17.1, the board may in its discretion: suspend, |
23-14 |
revoke, or refuse to renew any license; and/or revoke or suspend or refuse to renew any certificate |
23-15 |
of authorization; and/or publicly censure, or reprimand or censure in writing; and/or limit the |
23-16 |
scope of practice of; and/or impose an administrative fine upon (not to exceed one thousand |
23-17 |
dollars ($1,000) for each violation); and/or place on probation; and/or for good cause shown, |
23-18 |
order a reimbursement of the board for all fees, expenses, costs, and attorneys fees in connection |
23-19 |
with the proceedings (which amounts shall be deposited as general revenues), all with or without |
23-20 |
terms, conditions or limitations, holders of a license or certificate of authorization, (hereafter |
23-21 |
referred to as licensee(s)), for any one or more of the following causes: |
23-22 |
      (1) Bribery, fraud, deceit, or misrepresentation in obtaining a license or certificate of |
23-23 |
authorization; |
23-24 |
      (2) Practicing landscape architecture in another state or country or jurisdiction in |
23-25 |
violation of the laws of that state or country or jurisdiction; |
23-26 |
      (3) Practicing landscape architecture in this state in violation of the standards of |
23-27 |
professional conduct established by the board; |
23-28 |
      (4) Fraud, deceit, recklessness, gross negligence, misconduct, or incompetence in the |
23-29 |
practice of landscape architecture; |
23-30 |
      (5) Use of a landscape architect's stamp in violation of section 5-51-11; |
23-31 |
      (6) Violation of any of the provisions of this chapter; |
23-32 |
      (7) Suspension or revocation of the right to practice landscape architecture before any |
23-33 |
state or before any other country or jurisdiction; |
24-34 |
      (8) Conviction of or pleading guilty or nolo contendere to any felony or to any crime of, |
24-35 |
or an act constituting a crime of, forgery, embezzlement, obtaining money under false pretenses, |
24-36 |
bribery, larceny, extortion, conspiracy to defraud, or any other similar offense or offenses |
24-37 |
|
24-38 |
the federal government; |
24-39 |
      (9) Failure to furnish to the board or any person acting on behalf of the board in a |
24-40 |
reasonable time the information that may be legally requested by the board; |
24-41 |
      (10) In conjunction with any violation of subdivisions (1) through (9) of this section, any |
24-42 |
conduct reflecting adversely upon the licensee's fitness to engage in the practice of landscape |
24-43 |
architecture; and |
24-44 |
      (11) In conjunction with any violation of subdivisions (1) through (9) of this section, any |
24-45 |
other conduct discreditable to the landscape architectural profession. |
24-46 |
     SECTION 15. Section 5-54-2 of the General Laws in Chapter 5-54 entitled "Physician |
24-47 |
Assistants" is hereby amended to read as follows: |
24-48 |
     5-54-2. Definitions. -- As used in this chapter, the following words have the following |
24-49 |
meanings: |
24-50 |
      (1) "Administrator" means the administrator, division of professional regulation. |
24-51 |
      (2) "Approved program" means a program for the education and training of physician |
24-52 |
assistants formally approved by the American Medical Association's (A.M.A.'s) Committee on |
24-53 |
Allied Health, Education and Accreditation, its successor, the Commission on Accreditation of |
24-54 |
Allied Health Education Programs (CAAHEP) or its successor. |
24-55 |
      (3) "Approved program for continuing medical education" means a program for |
24-56 |
continuing education approved by the American Academy of Physician Assistants (AAPA) or the |
24-57 |
Accreditation Council for Continuing Medical Education of the American Medical Association |
24-58 |
(AMA), or the American Academy of Family Physicians (AAPFP) or the American Osteopathic |
24-59 |
Association Committee on Continuing Medical Education (AOACCME) or any other board |
24-60 |
approved program. |
24-61 |
      (4) "Board" means the board of licensure of physician assistants. |
24-62 |
      (5) "Director" means the director of the department of health. |
24-63 |
      (6) "Division" means the division of professional regulation, department of health. |
24-64 |
      (7) "Formulary committee" means a committee empowered to develop a list of |
24-65 |
medications that physician assistants may prescribe. |
24-66 |
      (8) "Physician" means a person licensed under the provisions of chapter 29 or 37 of this |
24-67 |
title. |
25-68 |
      (9) "Physician assistant" means a person who is qualified by academic and practical |
25-69 |
training to provide those certain patient services under the supervision, control, responsibility and |
25-70 |
direction of a licensed physician. |
25-71 |
      (10) "Supervision" means overseeing the activities of, and accepting the responsibility |
25-72 |
for the medical services rendered by the physician assistants. Supervision is continuous, and |
25-73 |
under the direct control of a licensed physician expert in the field of medicine in which the |
25-74 |
physician assistants practice. The constant physical presence of the supervising physician or |
25-75 |
physician designee is not required. It is the responsibility of the supervising physician and |
25-76 |
physician assistant to assure an appropriate level of supervision depending on the services being |
25-77 |
rendered. Each physician or group of physicians, or other health care delivery organization |
25-78 |
excluding licensed hospital or licensed health care facilities controlled or operated by a licensed |
25-79 |
hospital employing physician assistants must have on file at the primary practice site a copy of a |
25-80 |
policy in the form of an agreement between the supervising physicians and physician assistants |
25-81 |
delineating: |
25-82 |
      (i) The level of supervision provided by the supervising physician or designee with |
25-83 |
particular reference to differing levels of supervision depending on the type of patient services |
25-84 |
provided and requirements for communication between the supervising physician or designee and |
25-85 |
the physician assistant. |
25-86 |
      (ii) A job description for the physician assistant listing patient care responsibilities and |
25-87 |
procedures to be performed by the physician assistant. |
25-88 |
      (iii) A program for quality assurance for physician assistant services including |
25-89 |
requirements for periodic review of the physician assistant services. |
25-90 |
      (iv) Requirements for supervision of physician assistants employed or extended medical |
25-91 |
staff privileges by licensed hospitals or other licensed health care facilities or employed by other |
25-92 |
health care delivery agencies shall be delineated by the medical staff by laws and/or applicable |
25-93 |
governing authority of the facility. |
25-94 |
      (v) The supervising physician or physician designee must be available for easy |
25-95 |
communication and referral at all times. |
25-96 |
      (11) "Unprofessional conduct" includes, but is not limited to, the following items or any |
25-97 |
combination and may be defined by regulations established by the board with prior approval of |
25-98 |
the director: |
25-99 |
      (i) Fraudulent or deceptive procuring or use of a license; |
25-100 |
      (ii) Representation of himself or herself as a physician; |
25-101 |
      (iii) Conviction of a |
25-102 |
of a crime arising out of the practice of medicine. All advertising of medical business, which is |
26-1 |
intended or has a tendency to deceive the public; |
26-2 |
      (iv) Abandonment of a patient; |
26-3 |
      (v) Dependence upon a controlled substance, habitual drunkenness, or rendering |
26-4 |
professional services to a patient while intoxicated or incapacitated by the use of drugs; |
26-5 |
      (vi) Promotion of the sale of drugs, devices appliances, or goods or services provided for |
26-6 |
a patient in a manner that exploits the patient for the financial gain of the physician assistant; |
26-7 |
      (vii) Immoral conduct of a physician assistant in the practice of medicine; |
26-8 |
      (viii) Willfully making and filing false reports or records; |
26-9 |
      (ix) Willful omission to file or record or willfully impeding or obstructing a filing or |
26-10 |
recording, or inducing another person to omit to file or record medical or other reports as required |
26-11 |
by law; |
26-12 |
      (x) Agreeing with clinical or bioanalytical laboratories to accept payments from these |
26-13 |
laboratories for individual tests or test series for patients; |
26-14 |
      (xi) Practicing with an unlicensed physician or physician assistant or aiding or abetting |
26-15 |
these unlicensed persons in the practice of medicine; |
26-16 |
      (xii) Offering, undertaking or agreeing to cure or treat a disease by a secret method, |
26-17 |
procedure, treatment or medicine; |
26-18 |
      (xiii) Professional or mental incompetence; |
26-19 |
      (xiv) Surrender, revocation, suspension, limitation of privilege based on quality of care |
26-20 |
provided, or any other disciplinary action against a license or authorization to practice in another |
26-21 |
state or jurisdiction; or surrender, revocation, suspension, or any other disciplinary action relating |
26-22 |
to membership on any medical staff or in any medical professional association, or society while |
26-23 |
under disciplinary investigation by any of those authorities or bodies for acts or conduct similar to |
26-24 |
acts or conduct which would constitute grounds for action as stated in this chapter; |
26-25 |
      (xv) Any adverse judgment, settlement, or award arising from a medical liability claim |
26-26 |
related to acts or conduct, which would constitute grounds for action as stated in this chapter; |
26-27 |
      (xvi) Failure to furnish the board, the administrator, investigator or representatives, |
26-28 |
information legally requested by the board; |
26-29 |
      (xvii) Violation of any provisions of this chapter or the rules and regulations |
26-30 |
promulgated by the director or an action, stipulation, or agreement of the board; |
26-31 |
      (xviii) Cheating or attempting to subvert the certifying examination; |
26-32 |
      (xix) Violating any state or federal law or regulation relating to controlled substances; |
26-33 |
      (xx) Medical malpractice; |
27-34 |
      (xxi) Sexual contact between a physician assistant and patient during the existence of the |
27-35 |
physician assistant/patient relationship; |
27-36 |
      (xxii) Providing services to a person who is making a claim as a result of a personal |
27-37 |
injury, who charges or collects from the person any amount in excess of the reimbursement to the |
27-38 |
physician assistant by the insurer as a condition of providing or continuing to provide services or |
27-39 |
treatment. |
27-40 |
     SECTION 16. Section 5-56.1-8 of the General Laws in Chapter 5-56.1 entitled |
27-41 |
"Designers of Individual Sewage Disposal Systems" is hereby amended to read as follows: |
27-42 |
     5-56.1-8. Denial, suspension and revocation of licenses -- Censure. -- (a) The licensing |
27-43 |
authority may deny, suspend or revoke a designer's license if the person or licensed designer fails |
27-44 |
to comply with the requirements prescribed in this chapter or any regulation promulgated under |
27-45 |
this chapter or where the person or licensed designer: |
27-46 |
      (1) Provided incorrect, incomplete or misleading information in obtaining a designer's |
27-47 |
license; or |
27-48 |
      (2) Demonstrated gross or repeated negligence, incompetence or misconduct in the |
27-49 |
representation of site conditions in an application to the department of environmental |
27-50 |
management, design of an ISDS, or inspection or certification of an installation of an ISDS; or |
27-51 |
      (3) Committed a felony |
27-52 |
      (4) Failed or neglected to comply with continuing education requirements established by |
27-53 |
the licensing authority. |
27-54 |
      (b) An action to suspend or revoke a designer's license pursuant to subsection (a) of this |
27-55 |
section may not be taken until after the licensed designer has an opportunity to have a hearing |
27-56 |
before the licensing authority. This hearing shall be held within thirty (30) days of written notice |
27-57 |
of intent to suspend or revoke the license. |
27-58 |
      (c) The licensing authority shall appoint a review panel consisting of five (5) members at |
27-59 |
least three (3) of whom shall be licensed designers not employed by the licensing authority, for |
27-60 |
the purpose of reviewing and hearing disciplinary actions contemplated under subsection (b) of |
27-61 |
this section. The review board shall make recommendations to the licensing authority to suspend |
27-62 |
or revoke licenses. All final decisions shall be made by the licensing authority. |
27-63 |
      (d) Any person aggrieved by the denial of an application for a license pursuant to section |
27-64 |
5-56.1-4 or a denial, suspension or revocation of a license pursuant to this section may request a |
27-65 |
formal hearing pursuant to section 42-17.1-2(21) which shall be granted, if requested, in writing |
27-66 |
by the aggrieved applicant or licensee within ten (10) days of the denial, suspension or |
27-67 |
revocation. |
28-68 |
      (e) The licensing authority may publicly censure any licensed designer whose license |
28-69 |
was suspended or revoked. |
28-70 |
     SECTION 17. Section 5-60-14 of the General Laws in Chapter 5-60 entitled "Athletic |
28-71 |
Trainers" is hereby amended to read as follows: |
28-72 |
     5-60-14. Grounds for refusal or revocation of licenses. -- The board may refuse to |
28-73 |
issue a license to an applicant or may suspend, revoke, or refuse to renew the license of any |
28-74 |
licensee if he or she has: |
28-75 |
      (1) Been convicted of a felony |
28-76 |
conviction being conclusive evidence of conviction if the department determines after |
28-77 |
investigation that the person has not been sufficiently rehabilitated to warrant the public trust; |
28-78 |
      (2) Secured a license under this chapter by fraud or deceit; or |
28-79 |
      (3) Violated or conspired to violate this chapter or rules or regulations issued pursuant to |
28-80 |
this chapter. |
28-81 |
     SECTION 18. Section 5-61-3.2 of the General Laws in Chapter 5-61 entitled "Telephone |
28-82 |
Sales Solicitation Act" is hereby amended to read as follows: |
28-83 |
     5-61-3.2. Other grounds for denial of registration. -- The department may delay, reject |
28-84 |
or revoke a registration if the department finds that a telephonic seller or any person applying for |
28-85 |
registration as a telephonic seller, including, but not limited to, owners, operators, officers, |
28-86 |
directors, partners, or other individuals engaged in the management activities of a business entity: |
28-87 |
      (1) Has been convicted or found guilty of, or has entered a plea of guilty or a plea of |
28-88 |
nolo contendere to, racketeering or any offense involving fraud, theft, embezzlement, fraudulent |
28-89 |
conversion, or misappropriation of property |
28-90 |
      (2) For purposes of this section, a plea of nolo contendere is a conviction; |
28-91 |
      (3) Has had entered against him or her or an affiliated business, an injunction, a |
28-92 |
temporary restraining order, or a final judgment or order, including a stipulated judgment or |
28-93 |
order, an assurance of voluntary compliance, or any similar document, in any civil or |
28-94 |
administrative action involving racketeering, a fraud, theft, embezzlement, fraudulent conversion, |
28-95 |
or misappropriation of property or the use of any untrue or misleading representations in an |
28-96 |
attempt to sell or dispose of real or personal property or the use of any unfair, unlawful, or |
28-97 |
deceptive trade practice; |
28-98 |
      (4) Is subject to or has been affiliated with any company which is, or ever has been, |
28-99 |
subject to any injunction, temporary restraining order, or final judgment or order, including a |
28-100 |
stipulated judgment or order, an assurance of voluntary compliance, or any similar document, or |
28-101 |
any restrictive court order relating to a business activity as the result of any action brought by a |
28-102 |
governmental agency, including any action affecting any license to do business or practice an |
29-1 |
occupation or trade; |
29-2 |
      (5) Has at any time during the previous seven (7) years filed for bankruptcy, been |
29-3 |
adjudged bankrupt, or been reorganized because of insolvency; |
29-4 |
      (6) Has been a principal, director, officer, or trustee of, or a general or limited partner in, |
29-5 |
or had responsibilities as a manager in, any corporation, partnership, joint venture, or other entity |
29-6 |
that filed the bankruptcy, was adjudged bankrupt, or was reorganized because of insolvency |
29-7 |
within one year after the person held that position; |
29-8 |
      (7) Has been previously convicted of or found to have been acting as a salesperson or |
29-9 |
telephonic seller without a registration or whose registration has previously been refused, |
29-10 |
revoked, or suspended in any jurisdiction; |
29-11 |
      (8) Falsifies or willfully omits any material information asked for in any application, |
29-12 |
document, or record required to be submitted or retained under this chapter; |
29-13 |
      (9) Makes a material false statement in response to any request or investigation by the |
29-14 |
department. |
29-15 |
      (10) Refuses or fails, after notice, to produce any document or record or disclose any |
29-16 |
information required to be produced or disclosed under this chapter or the rules of the |
29-17 |
department; or |
29-18 |
      (11) Otherwise violates or is operating in violation of any of the provisions of this |
29-19 |
chapter or of the rules adopted or court orders issued pursuant to the provisions of this chapter. |
29-20 |
     SECTION 19. Section 5-65.1-11 of the General Laws in Chapter 5-65.1 entitled "Home |
29-21 |
Inspectors" is hereby amended to read as follows: |
29-22 |
     5-65.1-11. Grounds for discipline -- Injunctions. -- (a) After a hearing in accordance |
29-23 |
with the administrative regulations promulgated by the board, the board may revoke, suspend, or |
29-24 |
refuse to issue, reinstate, or reissue a license if the board determines that a licensee or applicant |
29-25 |
has: |
29-26 |
      (1) Disclosed any information concerning the results of the home inspection without the |
29-27 |
approval of a client or the client's representatives; |
29-28 |
      (2) Accepted compensation from more than one interested party for the same service |
29-29 |
without the consent of all interested parties; |
29-30 |
      (3) Accepted commissions or allowances, directly or indirectly, from other parties |
29-31 |
dealing with their client in connection with the inspection for which the licensee is responsible; |
29-32 |
      (4) Failed to promptly disclose to a client information about any business interest of the |
29-33 |
licensee which may affect the client in connection with the home inspection; |
30-34 |
      (5) Obtained a license or authorization to sit for an examination, as the case may be, |
30-35 |
through fraud, deception, or misrepresentation; |
30-36 |
      (6) Engaged in the use or employment of dishonesty, fraud, deception, |
30-37 |
misrepresentation, false promise, or false pretense; |
30-38 |
      (7) Engaged in gross negligence, gross malpractice, or gross incompetence; |
30-39 |
      (8) Engaged in repeated acts of negligence, malpractice, or incompetence; |
30-40 |
      (9) Engaged in professional or occupational misconduct as may be determined by the |
30-41 |
board; |
30-42 |
      (10) Been convicted of any crime |
30-43 |
adversely to the activity regulated by the board. For the purpose of this subsection a plea of |
30-44 |
guilty, or nolo contendere shall be deemed a conviction; |
30-45 |
      (11) Had his or her authority to engage in the activity regulated by the board revoked or |
30-46 |
suspended by any other state, agency or authority for reasons consistent with this section; |
30-47 |
      (12) Attempted to limit liability for negligent or wrongful errors or omissions by use of a |
30-48 |
clause within a performance contract that limits the damages for negligent or wrongful errors or |
30-49 |
omissions; |
30-50 |
      (13) Failed to provide a written report of the completed home inspection; |
30-51 |
      (14) Violated or failed to comply with any order of the board or provisions of this |
30-52 |
chapter or any rule or regulation promulgated and administered by the board pursuant to this |
30-53 |
chapter; |
30-54 |
      (15) Become incapable, for medical or any other material reason, of discharging the |
30-55 |
functions of a licensee in a manner consistent with the public's health, safety, and welfare; |
30-56 |
      (16) Failed to obtain or maintain the insurance required by section 5-65.1-10; |
30-57 |
      (17) Knowingly assisted an unlicensed person to act in violation of this chapter; or |
30-58 |
      (18) Failed to comply with the provisions of section 5-20.8-8. |
30-59 |
      (b) In addition to all other remedies, when it appears to the board that a person has |
30-60 |
engaged in, or is engaging in, any act, practice or transaction which violates the provisions of this |
30-61 |
chapter, the board may direct the attorney general to apply to the court for an injunction |
30-62 |
restraining the person from violating the provisions of this chapter. |
30-63 |
      (c) (1) The board may, after a hearing, impose a fine in an amount not to exceed five |
30-64 |
thousand dollars ($5,000) for the first violation of this chapter, or any rules or regulations |
30-65 |
promulgated by the board. |
30-66 |
      (2) For each second violation of a particular subsection of this chapter or of a rule or |
30-67 |
regulation promulgated by the board, a fine not to exceed ten thousand dollars ($10,000) may be |
30-68 |
imposed after a hearing by the board. |
31-1 |
      (d) The board, may, in lieu of a fine or other sanction, order a licensee to attend |
31-2 |
continuing education courses as appropriate. Failure to adhere to the requirement could result in |
31-3 |
immediate revocation of a license. |
31-4 |
     SECTION 20. Section 5-69-6 of the General Laws in Chapter 5-69 entitled "License |
31-5 |
Procedure for Chemical Dependency Professionals" is hereby amended to read as follows: |
31-6 |
     5-69-6. Licensing board. -- (a) Within the department there shall be established a board |
31-7 |
of licensing for chemical dependency professionals. The governor shall appoint a licensing board |
31-8 |
consisting of seven (7) members. |
31-9 |
      (b) Of the seven (7) licensing board members, three (3) shall be licensed under this |
31-10 |
chapter; |
31-11 |
      (2) Licensing board members shall be: |
31-12 |
      (i) Two (2) members appointed by the governor shall be representatives of groups that |
31-13 |
reflect demographics of person(s) served; |
31-14 |
      (ii) Three (3) members shall represent the licensed professionals appointed by the |
31-15 |
director of health; |
31-16 |
      (iii) One member shall be an active member or administrator of the Rhode Island board |
31-17 |
for certification of chemical dependency professionals appointed by the director of health; |
31-18 |
      (iv) One member shall be a consumer advocate from an established substance abuse |
31-19 |
recovery consumer advocacy group appointed by the director of health. |
31-20 |
      (3) Licensing board members shall serve without compensation. |
31-21 |
      (4) Each licensing board member shall take and subscribe to the oath of affirmation |
31-22 |
prescribed by law and shall file this oath in the office of the secretary of state. |
31-23 |
      (5) The term of office shall be three (3) years, except that of the members of the first |
31-24 |
licensing board. Three (3) shall be appointed for a term of one year, three (3) for a term of two (2) |
31-25 |
years, three (3) for a term of three (3) years. At least one member representing the general public, |
31-26 |
and one member representing a minority group, as defined by the federal Department of Health, |
31-27 |
Education, and Welfare, shall be appointed for the initial term of three (3) full years. Successors |
31-28 |
to these licensing board positions shall be appointed for a term of three (3) years each, except that |
31-29 |
any person appointed to fill a vacancy shall be for the unexpired term of office. Upon expiration |
31-30 |
of the term of office, a member shall |
31-31 |
and qualified. No person shall be appointed for more than two (2) consecutive three (3) year |
31-32 |
terms. |
31-33 |
      (6) The governor may remove any member of the licensing board for neglect of duty, |
31-34 |
malfeasance, conviction of a felony |
32-1 |
attendance/participation in board meetings. No licensing board member shall participate in any |
32-2 |
matter before the licensing board in which pecuniary interest, personal bias, or other similar |
32-3 |
conflicts of interests is established. |
32-4 |
     SECTION 21. Sections 5-74.1-5 and 5-74.1-6 of the General Laws in Chapter 5-74.1 |
32-5 |
entitled "Uniform Athlete Agents Act" are hereby amended to read as follows: |
32-6 |
     5-74.1-5. Registration as athlete agent -- Form -- Requirements. -- (a) An applicant |
32-7 |
for registration shall submit an application for registration to the secretary of state in a form |
32-8 |
prescribed by the secretary of state. An application filed under this section is a public record. The |
32-9 |
application must be in the name of an individual and, except as otherwise provided in subsection |
32-10 |
(b) herein, signed or otherwise authenticated by the applicant under penalty of perjury and state or |
32-11 |
contain: |
32-12 |
      (1) The name of the applicant and the address of the applicant's principal place of |
32-13 |
business; |
32-14 |
      (2) The name of the applicant's business or employer, if applicable; |
32-15 |
      (3) Any business or occupation engaged in by the applicant for the five (5) years next |
32-16 |
preceding the date of submission of the application; |
32-17 |
      (4) A description of the applicant's: |
32-18 |
      (i) Formal training as an athlete agent; |
32-19 |
      (ii) Practical experience as an athlete agent; and |
32-20 |
      (iii) Educational background relating to the applicant's activities as an athlete agent; |
32-21 |
      (5) The names and address of three (3) individuals not related to the applicant who are |
32-22 |
willing to serve as references; |
32-23 |
      (6) The name, sport, and last known team for each individual for whom the applicant |
32-24 |
acted as an athlete agent during the five (5) years next preceding the date of submission of the |
32-25 |
application; |
32-26 |
      (7) The names and addresses of all persons who are: |
32-27 |
      (i) With respect to the athlete agent's business if it is not a corporation, the partners, |
32-28 |
members, officers, managers, associates, or profit shares of the business; and |
32-29 |
      (ii) With respect to a corporation employing the athlete agent, the officers, directors, and |
32-30 |
any shareholder of the corporation having an interest of five percent (5%) or greater; |
32-31 |
      (8) Whether the applicant or any person named pursuant to subdivision 5-74.1-5(a)(7) |
32-32 |
has been convicted of a crime that, if committed in this state, would be |
32-33 |
|
33-34 |
      (9) Whether there has been any administrative or judicial determination that the |
33-35 |
applicant or any person named pursuant to subdivision 5-74.1-5(a)(7) has made a false, |
33-36 |
misleading, deceptive, or fraudulent representation; |
33-37 |
      (10) Any instance in which the conduct of the applicant or any person named pursuant to |
33-38 |
subdivision 5-74.1-5(a)(7) resulted in the imposition of a sanction, suspension, or declaration of |
33-39 |
ineligibility to participate in an interscholastic or intercollegiate athletic event on a student athlete |
33-40 |
or educational institution; |
33-41 |
      (11) Any sanction, suspension, or disciplinary action taken against the applicant or any |
33-42 |
person named pursuant to subdivision 5-74.1-5(a)(7) arising out of occupational or professional |
33-43 |
conduct; and |
33-44 |
      (12) Whether there has been any denial of an application for, suspension or revocation |
33-45 |
of, or refusal to renew, the registration or licensure of the applicant or any person named pursuant |
33-46 |
to subdivision 5-74-4(a)(7) as an athlete agent in any state. |
33-47 |
      (b) An individual who has submitted an application for, and holds a certificate of |
33-48 |
registration or licensure as an athlete agent in another state, may submit a copy of the application |
33-49 |
and certificate in lieu of submitting an application in the form prescribed pursuant to subsection |
33-50 |
5-74.1-5(a). The secretary of state shall accept the application and the certificate from the other |
33-51 |
state as an application for registration in this state if the application to the other state: |
33-52 |
      (1) Was submitted in the other state within six (6) months next preceding the submission |
33-53 |
of the application in this state and the applicant certifies that the information contained in the |
33-54 |
application is current; |
33-55 |
      (2) Contains information substantially similar to or more comprehensive than that |
33-56 |
required in an application submitted in this state; and |
33-57 |
      (3) Was signed by the applicant under penalty of perjury. |
33-58 |
     5-74.1-6. Certificate of registration; issuance or denial; renewal. -- (a) Except as |
33-59 |
otherwise provided in subsection (b) herein the secretary of state shall issue a certificate of |
33-60 |
registration to an individual who complies with subsection 5-74.1-5(a) or whose application has |
33-61 |
been accepted under subsection 5-74.1-5(b). |
33-62 |
      (b) The secretary of state may refuse to issue a certificate of registration if the secretary |
33-63 |
of state determines that the applicant has engaged in conduct that has a significant adverse effect |
33-64 |
on the applicant's fitness to act as an athlete agent. In making the determination, the secretary of |
33-65 |
state may consider whether the applicant has: |
33-66 |
      (1) Been convicted of a crime that, if committed in this state, would be a |
33-67 |
|
34-68 |
      (2) Made a materially false, misleading, deceptive, or fraudulent representation in the |
34-69 |
application or as an athlete agent; |
34-70 |
      (3) Engaged in conduct that would disqualify the applicant from serving in a fiduciary |
34-71 |
capacity; |
34-72 |
      (4) Engaged in conduct prohibited by section 5-74.1-14; |
34-73 |
      (5) Had a registration or licensure as an athlete agent suspended, revoked, or denied or |
34-74 |
been refused renewal of registration or licensure as an athlete agent in any state; |
34-75 |
      (6) Engaged in conduct the consequence of which was that a sanction, suspension, or |
34-76 |
declaration of ineligibility to participate in an interscholastic or intercollegiate athletic event was |
34-77 |
imposed on a student-athlete or educational institution; or |
34-78 |
      (7) Engaged in conduct that significantly adversely reflects on the applicant's credibility, |
34-79 |
honesty, or integrity. |
34-80 |
      (c) In making a determination under subsection (b) herein, the secretary of state shall |
34-81 |
consider: |
34-82 |
      (1) How recently the conduct occurred; |
34-83 |
      (2) The nature of the conduct and the context in which it occurred; and |
34-84 |
      (3) Any other relevant conduct of the applicant. |
34-85 |
      (d) An athlete agent may apply to renew a registration by submitting an application for |
34-86 |
renewal in a form prescribed by the secretary of state. An application filed under this section is a |
34-87 |
public record. The application for renewal must be signed by the applicant under penalty of |
34-88 |
perjury and must contain current information on all matters required in an original registration. |
34-89 |
      (e) An individual who has submitted an application for renewal of registration or |
34-90 |
licensure in another state, in lieu of submitting an application for renewal in the form prescribed |
34-91 |
pursuant to subsection (d) herein, may file a copy of the application for renewal and a valid |
34-92 |
certificate of registration or licensure from the other state. The secretary of state shall accept the |
34-93 |
application for renewal from the other state as an application for renewal in this state if the |
34-94 |
application to the other state: |
34-95 |
      (1) Was submitted in the other state within six (6) months next preceding the filing in |
34-96 |
this state and the applicant certifies the information contained in the application for renewal is |
34-97 |
current; |
34-98 |
      (2) Contains information substantially similar to or more comprehensive than that |
34-99 |
required in an application for renewal submitted in this state; and |
34-100 |
      (3) Was signed by the applicant under penalty of perjury. |
34-101 |
      (f) A certificate of registration or a renewal of a registration is valid for two (2) years. |
35-102 |
      (g) Upon the secretary of state's approval of any registration for an athlete agent, the |
35-103 |
secretary of state's office will notify the athletic director of any institution of higher education |
35-104 |
within the state of Rhode Island that participates in intercollegiate athletics at the Division I, II, or |
35-105 |
III level by providing that office with a copy of the agent's registration and disclosure statements. |
35-106 |
     SECTION 22. Section 23-19.12-13 of the General Laws in Chapter 23-19.12 entitled |
35-107 |
"Generation - Transportation - Storage - Treatment - Management and Disposal of Regulated |
35-108 |
Medical Waste" is hereby amended to read as follows: |
35-109 |
     23-19.12-13. Denial or revoking of licenses. -- The director of the department of |
35-110 |
environmental management may deny an application for a license, or suspend or revoke a license |
35-111 |
after it has been granted, or refuse to renew a license for any of the following reasons: |
35-112 |
      (1) Proof of unfitness of the applicant or licensee to engage in the business; |
35-113 |
      (2) A material misstatement by the applicant or licensee in his or her application for a |
35-114 |
license or renewal; |
35-115 |
      (3) Failure of the applicant or licensee to comply with the provisions of this chapter or |
35-116 |
with any rule or regulation promulgated pursuant to this chapter; |
35-117 |
      (4) A history of noncompliance with environmental regulations or standards, or |
35-118 |
conviction of any environmental crime |
35-119 |
subdivision applies to: the applicant, and officers, major stock holders, or principals of the |
35-120 |
business for which the application is submitted or to which an existing license has been issued. |
35-121 |
     SECTION 23. Sections 23-28.28-3, 23-28.28-4 and 23-28.28-5 of the General Laws in |
35-122 |
Chapter 23-28.28 entitled "Explosives" are hereby amended to read as follows: |
35-123 |
     23-28.28-3. Manufacturing permit. -- (a) Application for a permit to manufacture |
35-124 |
explosives shall be made to the state fire marshal in such form as the state fire marshal shall |
35-125 |
prescribe; and shall state, among other things: |
35-126 |
      (1) The name and address of the applicant; |
35-127 |
      (2) The reason for desiring to manufacture explosives; |
35-128 |
      (3) The applicant's citizenship, if the applicant is an individual; |
35-129 |
      (4) If the applicant is a partnership, the names and addresses of the partners and their |
35-130 |
citizenship; and |
35-131 |
      (5) If the applicant is an association or corporation, the names and addresses of the |
35-132 |
officers and directors thereof and their citizenship. |
35-133 |
      (b) The state fire marshal shall issue the permit applied for unless he or she finds that |
35-134 |
either the applicant or the officers, agents, or employees of the applicant has been convicted of a |
35-135 |
|
35-136 |
not qualify under rules and regulations as promulgated by the state fire marshal. |
36-1 |
     23-28.28-4. Dealers' permits. -- (a) Application for permits to engage in the business of |
36-2 |
dealing in explosives other than empty cartridge shells (primed), percussion caps, small arms |
36-3 |
ammunition, small arms primers, smokeless powder, and black powder for small arms shall be |
36-4 |
made to the state fire marshal in such form as the state fire marshal shall prescribe and shall state |
36-5 |
among other things: |
36-6 |
      (1) The name and address of the applicant; |
36-7 |
      (2) The reason for desiring to engage in the business of dealing in explosives; |
36-8 |
      (3) Citizenship, if an individual application; |
36-9 |
      (4) If a partnership, the names and addresses of the partners and their citizenship; and |
36-10 |
      (5) If an association or corporation, the names and addresses of the officers and directors |
36-11 |
thereof, and their citizenship. |
36-12 |
      (b) The state fire marshal shall issue the permit applied for only to businesses for use at |
36-13 |
their place of business unless he or she finds that either the applicant or the officer, agents, or |
36-14 |
employees of the applicant have been convicted of a felony |
36-15 |
|
36-16 |
promulgated by the state fire marshal. |
36-17 |
     23-28.28-5. Permit to possess explosives. -- (a) Application for a permit to possess |
36-18 |
explosives, other than empty cartridge shells (primed), percussion caps, small arms ammunition, |
36-19 |
small arms primers and smokeless powder for small arms, or black powder in excess of five (5) |
36-20 |
pounds shall be made in writing to the state fire marshal in such form as the state fire marshal |
36-21 |
shall prescribe and shall state among other things: |
36-22 |
      (1) The name and address of the applicant; |
36-23 |
      (2) The reason for desiring the permit to possess explosives; |
36-24 |
      (3) The applicant's citizenship, if the applicant is an individual; |
36-25 |
      (4) If the applicant is a partnership, the names and addresses of the partners and their |
36-26 |
citizenship; and |
36-27 |
      (5) If the applicant is a corporation or other business entity, the names and addresses of |
36-28 |
the officers thereof and their citizenship. |
36-29 |
      (b) The state fire marshal shall issue the permit applied for unless he or she finds that |
36-30 |
either the applicant or the officers, agents, or employees of the applicant have been convicted of a |
36-31 |
felony |
36-32 |
further, that no permit shall be issued to any person under the age of twenty-one (21) years of age. |
36-33 |
      (c) Provided, however, that if the applicant holds a valid permit from the bureau of |
36-34 |
alcohol, tobacco, and firearms of the department of treasury, then the state fire marshal may issue |
37-1 |
a permit to possess explosives. |
37-2 |
     SECTION 24. Section 27-34-7 of the General Laws in Chapter 27-34 entitled "Rhode |
37-3 |
Island Property And Casualty Insurance Guaranty Association" is hereby amended to read as |
37-4 |
follows: |
37-5 |
     27-34-7. Board of directors. -- (a) The board of directors of the association shall consist |
37-6 |
of not less than five (5) nor more than eleven (11) persons serving terms as established in the plan |
37-7 |
of operation. The members of the board shall be selected by member insurers subject to the |
37-8 |
approval of the commissioner. Vacancies on the board shall be filled for the remaining period of |
37-9 |
the term by a majority vote of the remaining insurer members subject to the approval of the |
37-10 |
commissioner. Two (2) persons, may be public representatives, and may be appointed by the |
37-11 |
commissioner to the board of directors. Vacancies of positions held by public representatives |
37-12 |
shall be filled by the commissioner. A public representative may not be an officer, director or |
37-13 |
employee of an insurance company or any person engaged in the business of insurance. For the |
37-14 |
purposes of this section, term "director" shall mean an individual serving on behalf of an insurer |
37-15 |
member of the board of directors or a public representative on the board of directors. |
37-16 |
      (b) In approving selections to the board, the commissioner shall consider among other |
37-17 |
things whether all member insurers are fairly represented. |
37-18 |
      (c) Members of the board of directors may be reimbursed from the assets of the |
37-19 |
association for expenses incurred by them as members of the board of directors. |
37-20 |
      (d) Any board member who is an insurer in receivership shall be terminated as a board |
37-21 |
member, effective as of the date of the entry of the order of receivership. Any resulting vacancies |
37-22 |
on the board shall be filled for the remaining period of the term in accordance with the provisions |
37-23 |
of subsection (a). |
37-24 |
      (e) In the event that a director shall, because of illness, nonattendance at meetings or any |
37-25 |
other reason, be deemed unable to satisfactorily perform the designated functions as a director by |
37-26 |
missing three (3) consecutive board meetings, the board of directors may declare the office vacant |
37-27 |
and the member or director shall be replaced in accordance with the provisions of subsection (a). |
37-28 |
      (f) If the commissioner has reasonable cause to believe that a director failed to disclose a |
37-29 |
known conflict of interest with his or her duties on the board, failed to take appropriate action |
37-30 |
based on a known conflict or interest with his or her duties on the board, or has been indicted or |
37-31 |
charged with a felony, |
37-32 |
that director pending the outcome of an investigation or hearing by the commissioner or the |
37-33 |
conclusion of any criminal proceedings. A company elected to the board may replace a suspended |
37-34 |
director prior to the completion of an investigation, hearing or criminal proceeding. In the event |
38-1 |
that the allegations are substantiated at the conclusion of an investigation, hearing or criminal |
38-2 |
proceeding, the office shall be declared vacant and the member or director shall be replaced in |
38-3 |
accordance with the provisions of subsection (a). |
38-4 |
     SECTION 25. Section 27-72-4 of the General Laws in Chapter 27-72 entitled "Life |
38-5 |
Settlements Act" is hereby amended to read as follows: |
38-6 |
     27-72-4. License suspension, revocation or refusal to renew. -- (a) The commissioner |
38-7 |
may suspend, revoke or refuse to renew the license of any licensee if the commissioner finds that: |
38-8 |
      (1) There was any material misrepresentation in the application for the license; |
38-9 |
      (2) The licensee or any officer, partner, member or director has been guilty of fraudulent |
38-10 |
or dishonest practices, is subject to a final administrative action or is otherwise shown to be |
38-11 |
untrustworthy or incompetent to act as a licensee; |
38-12 |
      (3) The provider demonstrates a pattern of unreasonably withholding payments to policy |
38-13 |
owners; |
38-14 |
      (4) The licensee no longer meets the requirements for initial licensure; |
38-15 |
      (5) The licensee or any officer, partner, member or director has been convicted of a |
38-16 |
felony, or of any misdemeanor of which criminal fraud is an element; or the licensee has pleaded |
38-17 |
guilty or nolocontendere with respect to any felony or any misdemeanor of which criminal fraud |
38-18 |
|
38-19 |
the court; |
38-20 |
      (6) The provider has entered into any life settlement contract using a form that has been |
38-21 |
approved pursuant to this chapter; |
38-22 |
      (7) The provider has failed to honor contractual obligations set out in a life settlement |
38-23 |
contract; |
38-24 |
      (8) The provider has assigned, transferred or pledged a settled policy to a person other |
38-25 |
than a provider licensed in this state, a purchaser, an accredited investor or qualified institutional |
38-26 |
buyer as defined respectively in Regulation D, Rule 501 or Rule 144A of the Federal Securities |
38-27 |
Act of 1933, as amended, financing entity, special purpose entity, or related provider trust; or |
38-28 |
      (9) The licensee or any officer, partner, member or key management personnel has |
38-29 |
violated any of the provisions of this chapter. |
38-30 |
      (b) Before the commissioner denies a license application or suspends, revokes or refuses |
38-31 |
to renew the license of any licensee under this chapter, the commissioner shall conduct a hearing |
38-32 |
in accordance with this state's laws governing administrative hearings. |
38-33 |
     SECTION 26. Section 41-10-5 of the General Laws in Chapter 41-10 entitled "Off Track |
38-34 |
Betting" is hereby amended to read as follows: |
39-1 |
     41-10-5. Licensing restrictions. -- (a) The division shall refuse to grant a license, or |
39-2 |
shall suspend a license, if the applicant or licensee: |
39-3 |
      (1) Has been convicted of a felony |
39-4 |
      (2) Has engaged in illegal gambling as a significant source of income; |
39-5 |
      (3) Has been convicted of violating any gambling statutes; |
39-6 |
      (4) Has been convicted of fraud or misrepresentation in any connection; or |
39-7 |
      (5) Has been found to have violated any rule, regulation, or order of the division. |
39-8 |
      (b) The license heretofore issued shall be suspended by the division for any charge |
39-9 |
which may result in a conviction or conduct prescribed in subdivisions (a)(1) through (a)(5); |
39-10 |
which suspension shall be effective until a final judicial determination. |
39-11 |
      (c) The division shall refuse to grant, or the division shall suspend, pending a hearing |
39-12 |
before the division, a license if the applicant or licensee is an association or corporation: |
39-13 |
      (1) Any of whose directors, officers, partners, or shareholders holding a five percent |
39-14 |
(5%) or greater interest have been found guilty of any of the activities specified in subsection (a); |
39-15 |
or |
39-16 |
      (2) In which it appears to the division that due to the experience, character, or general |
39-17 |
fitness of any director, officer, or controlling partner, or shareholder, the granting of a license |
39-18 |
would be inconsistent with the public interest, convenience, or trust. |
39-19 |
      (d) Whenever requested by the division, the division of criminal identification of the |
39-20 |
department of the attorney general, the superintendent of state police, and the superintendent or |
39-21 |
chief of police or town sergeant of any city or town, shall furnish all information on convictions, |
39-22 |
arrests, and present investigations concerning any person who is an applicant for a license or who |
39-23 |
is a licensee under this chapter. |
39-24 |
     SECTION 27. Section 42-61-5 of the General Laws in Chapter 42-61 entitled "State |
39-25 |
Lottery" is hereby amended to read as follows: |
39-26 |
     42-61-5. Sales agents. -- (a) For the purpose of this chapter, the term "person" shall be |
39-27 |
construed to mean and include an individual, association, partnership, corporation, trust, estate, |
39-28 |
company, receiver, trustee, referee, or other person acting in a fiduciary or representative |
39-29 |
capacity, whether appointed by a court or otherwise, and any combination of individuals. |
39-30 |
"Person" shall be construed to mean all departments, committees, commissions, agencies, and |
39-31 |
instrumentalities of the state, including counties and municipalities and agencies and |
39-32 |
instrumentalities of the state. |
39-33 |
      (b) (1) The director of lotteries may license any person as a lottery sales agent as |
39-34 |
provided in this chapter. No license shall be issued to any person to engage in the sale of lottery |
40-1 |
tickets as his or her sole occupation or business. |
40-2 |
      (2) As part of its investigation as to whether to issue a lottery sales agent license, the |
40-3 |
Rhode Island lottery shall require criminal background checks of the applicant for a retail sales |
40-4 |
agent license as it deems appropriate and said individuals shall apply to the bureau of criminal |
40-5 |
investigation of the Rhode Island state police or the Rhode Island department of the attorney |
40-6 |
general for a national criminal records check with fingerprinting. The applicant whose criminal |
40-7 |
records check is being conducted shall be responsible for the payment of the costs of said |
40-8 |
criminal records check. The Rhode Island state police or the Rhode Island department of attorney |
40-9 |
general, as applicable, shall send the results of such criminal records check to the Rhode Island |
40-10 |
lottery. Once said results are sent to and received by the Rhode Island Lottery, the Rhode Island |
40-11 |
state police and the Rhode Island department of attorney general shall promptly destroy said |
40-12 |
fingerprint record(s). On or before February 1, 2011, the agency shall adopt rules and regulations |
40-13 |
establishing criteria to be used in determining whether based upon a criminal records check an |
40-14 |
application will be approved. |
40-15 |
      (c) Before issuing any license to a lottery sales agent the director shall consider: |
40-16 |
      (1) The financial responsibility and security of the person and his or her business or |
40-17 |
activity; |
40-18 |
      (2) The accessibility of his or her place of business or activity to the public; |
40-19 |
      (3) The sufficiency of existing licensed agents to serve the public interest; |
40-20 |
      (4) The volume of expected sales by the applicant; |
40-21 |
      (5) Any other factors pertaining to the public interest, convenience or trust. |
40-22 |
      (d) The director shall refuse to grant or shall suspend, pending a hearing before the |
40-23 |
division, or recommend a revocation of a license if the applicant or licensee: |
40-24 |
      (1) Has been convicted of a felony |
40-25 |
      (2) Has been engaging in gambling as a significant source of income; |
40-26 |
      (3) Has been convicted of violating any gambling statutes; |
40-27 |
      (4) Has been convicted of fraud or misrepresentation in any connection; |
40-28 |
      (5) Has been found to have violated any rule, regulation, or order of the state lottery |
40-29 |
division. |
40-30 |
      The license of an agent shall be suspended by the director for any charge which may |
40-31 |
result in a conviction for conduct prescribed in subdivisions (d)(1) -- (d)(5); which suspension |
40-32 |
shall be effective until a final judicial determination. |
40-33 |
      (e) The director shall refuse to grant, or shall suspend, pending a hearing before the |
40-34 |
division, or recommend revocation of a license if the applicant or licensee is a corporation: |
41-1 |
      (1) Any of whose directors, officers, or controlling shareholders have been found guilty |
41-2 |
of any of the activities specified in subsection (d); |
41-3 |
      (2) In which it appears to the director of lotteries that due to the experience, character, or |
41-4 |
general fitness of any director, officer, or controlling shareholder, the granting of a license as a |
41-5 |
lottery sales agent would be inconsistent with the public interest, convenience, or trust; |
41-6 |
      (3) Not the owner or lessee of the business at which it will conduct a lottery sales agency |
41-7 |
pursuant to the license applied for, or that any person, firm, association, or corporation other than |
41-8 |
the applicant shares or will share in the profits of the applicant, other than receiving dividends as |
41-9 |
a shareholder, or will participate in the management of the affairs of the applicant. |
41-10 |
      (f) Every holder of a license as a lottery sales agent shall renew the license annually |
41-11 |
pursuant to the rules and regulations of the division. Licensees shall pay to the division a fee to be |
41-12 |
determined by the director upon receipt or renewal of a license. |
41-13 |
      (g) Whenever requested by the director, the division of criminal identification of the |
41-14 |
department of the attorney general, the superintendent of state police, any superintendent or chief |
41-15 |
of police or sergeant of any city or town, shall furnish all information on convictions, arrests and |
41-16 |
present investigations concerning any person who is an applicant for a license or who is a licensee |
41-17 |
of the state lottery. |
41-18 |
      (h) Notwithstanding any other provision of law, any person licensed as provided in this |
41-19 |
chapter is authorized and empowered to act as a lottery sales agent. |
41-20 |
      (i) Every licensed sales agent authorized pursuant to this section and every licensed |
41-21 |
video lottery retailer authorized by chapter 61.2 of this title shall keep conspicuously posted on |
41-22 |
his or her premises the name and telephone number of a council on problem gambling recognized |
41-23 |
by an appropriate authority within state government or within the professional field of addiction |
41-24 |
disorders and a statement of its availability to offer assistance. The lottery division shall supply |
41-25 |
each licensee with the required notice. |
41-26 |
     SECTION 28. Sections 45-20-1 and 45-20-1.1 of the General Laws in Chapter 45-20 |
41-27 |
entitled "Appeals from Police and Fire Departments" are hereby amended to read as follows: |
41-28 |
     45-20-1. Petition for judicial review of removal of fire fighter. -- (a) Any fire fighter |
41-29 |
or fire fighters, jointly or severally aggrieved by any decision of the bureau of police and fire or |
41-30 |
any similar department, board or bureau of a city or town having control of the fire department of |
41-31 |
the city or town, which decision orders the removal of the person from membership in the fire |
41-32 |
department based on criminal charges |
41-33 |
state of Rhode Island for the county in which the city or town is located, a verified petition stating |
41-34 |
that the decision is illegal in whole or in part and specifying the grounds of the illegality. The |
42-1 |
petition shall be presented to the court within thirty (30) days after the decision of the department, |
42-2 |
board, or bureau. |
42-3 |
      (b) Upon the presentation of the petition, the court may allow a writ of certiorari directed |
42-4 |
to the department, board, or bureau to review its decision, and shall prescribe in the unit the time |
42-5 |
authorized which a return to the unit must be made, which shall be not less than twenty (20) days |
42-6 |
and may be extended by the court. |
42-7 |
      (c) The allowance of the writ does not stay the effect of the decision. |
42-8 |
     45-20-1.1. Petition for judicial review of disciplinary action against police officers. -- |
42-9 |
(a) Any police officer or police officers, jointly or severally, aggrieved by any decision of the |
42-10 |
bureau of police and fire, or any similar department, board, or bureau of a city or town having |
42-11 |
control of the police department, or any other duly constituted authority within the police |
42-12 |
department of the city or town, which decision orders the dismissal, reduction in rank, |
42-13 |
suspension, fine, performance of extra hours of duty, loss of seniority rights, transfer with or |
42-14 |
without a reduction in pay, or reprimand, and the decision is based on charges involving |
42-15 |
|
42-16 |
of the state of Rhode Island for the county in which the city or town is located; provided, that no |
42-17 |
appeal is allowed unless all administrative remedies available under the municipal charter have |
42-18 |
been exhausted; and, provided, further, that an appeal does not stay the operation of the decision. |
42-19 |
Upon appeal, the police officer or police officers are entitled to a trial de novo before a justice of |
42-20 |
the superior court without a jury. |
42-21 |
      (b) The superior court may uphold the decision, reverse the decision, restore the police |
42-22 |
officer to the officer's former rank, revoke the suspension, reduce the penalty, negate the transfer, |
42-23 |
or allow a transfer without loss of pay. If the decision is reversed or modified by the superior |
42-24 |
court, the police officer or police officers shall, to the extent that the decision is reversed or |
42-25 |
modified, be reimbursed monetarily or by compensatory time off for all loss of pay and/or extra |
42-26 |
duty hours performed. |
42-27 |
     SECTION 29. This act shall take effect upon passage. |
      | |
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LC01762 | |
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EXPLANATION | |
BY THE LEGISLATIVE COUNCIL | |
OF | |
A N A C T | |
RELATING TO BUSINESSES AND PROFESSIONS | |
*** | |
43-1 |
     This act would eliminate all references to “moral turpitude” in the licensing statutes. |
43-2 |
     This act would take effect upon passage. |
      | |
======= | |
LC01762 | |
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