2016 -- H 7201 SUBSTITUTE A | |
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LC003664/SUB A | |
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STATE OF RHODE ISLAND | |
IN GENERAL ASSEMBLY | |
JANUARY SESSION, A.D. 2016 | |
____________ | |
A N A C T | |
RELATING TO STATUTES AND STATUTORY CONSTRUCTION -- 2015 | |
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Introduced By: Representatives DeSimone, and Newberry | |
Date Introduced: January 15, 2016 | |
Referred To: House Judiciary | |
It is enacted by the General Assembly as follows: | |
1 | ARTICLE I--STATUTORY CONSTRUCTION |
2 | SECTION 1. It is the express intention of the General Assembly to reenact the entirety of |
3 | Titles 1, 2, 3, and 4 contained in volume 1A of the General Laws of R.I., including every chapter |
4 | and section therein, and any chapters and sections of titles 1, 2, 3, and 4 not included in this act |
5 | may be and are hereby reenacted as if fully set forth herein. |
6 | SECTION 2. Sections 5-6-8 and 5-6-11 of the General Laws in Chapter 5-6 entitled |
7 | "Electricians" are hereby amended to read as follows: |
8 | 5-6-8. Contractor's certificates/licenses. -- (a) Electrical contractor's license. – A |
9 | Certificate A shall be issued to any person, firm, or corporation, qualified under this chapter, |
10 | engaging in, or about to engage in, the business of installing electrical wires, conduits, apparatus, |
11 | fixtures, fire alarm and safety communication systems, and other electrical appliances, excluding |
12 | low-voltage wiring for heating, ventilating, and air conditioning equipment. The certificate shall |
13 | specify the name of the person, firm, or corporation applying for it and the name of the person, |
14 | who in the case of a firm is one of its members, and in the case of a corporation, is one of its |
15 | officers, passing the examination by which he or she or it is authorized to enter upon, or engage |
16 | in, business as prescribed in the certificate. The holding of a Certificate A does not entitle the |
17 | holder individually to engage in or perform the actual work of installing electric wires, conduits, |
18 | and appliances as previously described in this chapter, but entitles him or her to conduct business |
19 | as an electrical contractor. |
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1 | (b) Oil burner contractor's license. - A Certificate E shall be issued to any person, firm, |
2 | or corporation qualified under this chapter and engaged in, or about to engage in, the business of |
3 | an oil burner contractor as defined in § 5-6-1. The certificate shall specify the name of the person, |
4 | firm, or corporation applying for it and the name of the person who, in the case of a firm is one of |
5 | its members, and in the case of a corporation is one of its officers, passing the examination, by |
6 | which he or she or it is authorized to enter upon, or engage in, business as prescribed in the |
7 | certificate. The holding of a Certificate E does not entitle the holder individually to engage in or |
8 | perform any work on, or in connection with, electric wires, conduits, and appliances as previously |
9 | described in this chapter, but entitles the holder to contract to do that work, to the extent |
10 | permitted in this chapter, through the employment of oil burnerpersons holding a Certificate F. |
11 | An oil burner contractor who is the holder of a Certificate A is not required to obtain a Certificate |
12 | E. |
13 | (c) Fire alarm contractor's license. - A Certificate AF shall be issued to any person, firm, |
14 | or corporation qualified under this chapter and engaged in, or about to engage in, the business of |
15 | a fire alarm contractor as defined in § 5-6-1. The certificate shall specify the name of the person, |
16 | firm, or corporation applying for it and the person who, in the case of a firm is one of its |
17 | members, and in the case of a corporation is one of its officers, passing the examination by which |
18 | he or she or it is authorized to enter upon, or engage in, business as prescribed in the certificate. |
19 | The holding of a Certificate AF does not entitle the holder individually to engage in, or perform |
20 | and work on, or in connection with, electric wires, fire alarm wires, conduits, and appliances as |
21 | previously described in this chapter, but entitles the holder to contract to do that work to the |
22 | extent permitted in this chapter through the employment of fire alarm installers holding a |
23 | Certificate BF. A contractor who is the holder of a Certificate A is not required to obtain a |
24 | Certificate BF. |
25 | (d) Electrical sign contractor's license. - A Certificate SCF shall be issued to any person, |
26 | firm, or corporation qualified under this chapter and engaged in or about to engage in the business |
27 | of electrical sign installations, as defined in § 5-6-1. |
28 | (e) Lightning protection contractor. - A Certificate LPC shall be issued to any person, |
29 | firm or corporation qualified under this chapter and engaged in, or about to engage in, the |
30 | business of lightning protection contractor as defined in § 5-6-1. The Certificate LPC shall |
31 | specify the name of the person, firm, or corporation applying for it and the person, who in the |
32 | case of a firm, is one of its members, and in the case of a corporation, is one of its officers, |
33 | passing the examination by which he or she or it is authorized to enter upon or engage in business |
34 | as prescribed in the certificate. The holding of a Certificate LPC does not entitle the holder |
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1 | individually to engage in, or perform and work on, or in connection with, the installation of |
2 | lightning protection equipment as defined in § 5-6-1, unless that individual also holds a |
3 | Certificate LPI, but entitles the holder to contract to do that work to the extent permitted in this |
4 | chapter through the employment of lightning protection installers holding a Certificate LPI. |
5 | (f) Sign renovation electrical license. - A certificate SRL shall be issued to any person, |
6 | firm, or corporation qualified under this chapter and engaged in, or about to engage in, the |
7 | business of sign renovation or installation of signs when such renovation or installation requires |
8 | the removal or installation of no more than three (3) wires. |
9 | (g) Renewable energy professional. - A Certificate REP shall be issued to any person, |
10 | firm or corporation, qualified under this chapter, engaged in or about to engage in the business of |
11 | installing eligible renewable energy technologies as defined in § 39-26-5. All renewable energy |
12 | electrical work, including installing, connecting, maintaining, servicing, and testing all electrical |
13 | wires, conduits and apparatus; mounting the modules to the mounting racks; mounting the |
14 | inverters; and tying the inverters into the main electrical panels shall be done by a licensed |
15 | electrician. Ancillary non-electrical renewable energy work, such as advertising services; |
16 | distribution of materials to final location of installation including photovoltaic modules to the |
17 | mounting racks; and installing the ground and rooftop support brackets and ballast for rack |
18 | systems, may be done by any person, firm or corporation holding an REP Certificate. The REP |
19 | Certificate shall specify the name of the person, firm, or corporation applying for it and the name |
20 | of the person, who in the case of a firm is one of its members, and in the case of a corporation, is |
21 | one of its officers, meeting the requisite education and experience as established in § 5-6-11, by |
22 | which he or she or it is authorized to enter upon, or engage in, business as prescribed in the |
23 | certificate. The holding of a Certificate REP entitles the holder to contract to do that work to the |
24 | extent permitted in this chapter. |
25 | The installation, mechanical fastening and conjoining of listed solar sheathing systems |
26 | that are ten kilowatts (10 kw) or less on residential structures as defined by the Rhode Island one |
27 | and two (2) family dwelling code may be performed by a registered contractor who or that has |
28 | been issued a renewable energy professional certificate (REPC) as defined in § 5-6-11(e) and |
29 | above referenced. However, said residential solar sheathing system shall be connected to the |
30 | electrical system from the roof edge and energized by a Rhode Island licensed electrician working |
31 | in compliance with chapter 6 of title 5. Additionally, the residential solar sheathing systems noted |
32 | must be listed and labeled by UL or other recognized electrical device certification organization, |
33 | identified and acceptable by the authority having jurisdiction. |
34 | 5-6-11. Certificate/license of oil burnerperson, fire alarm installer, electrical sign |
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1 | installers, lightning protection installers and renewable energy professionals. -- (a) Oil |
2 | burnerperson's license. - A Certificate F shall be granted to any person who has passed an |
3 | examination before the division of professional regulation. The certificate shall specify the name |
4 | of the person authorized to work on, and repair electric wiring and equipment located in or on oil |
5 | burners burning fuel oil no heavier than No. 2, and other equipment serviced by oil burner |
6 | contractors, to the extent only as is necessary to service, maintain and repair those oil burners and |
7 | equipment. The license shall limit the holder of a Certificate F to do work on electric wiring or |
8 | equipment located between the meter and those oil burners and equipment, but in no event to do |
9 | any electrical work on oil burners burning No. 3, 4, 5, or 6 fuel oil. |
10 | (b) Fire alarm installer's license. - A Certificate BF shall be granted to any person who |
11 | has passed an examination before the division of professional regulation. The certificate shall |
12 | specify the name of the person authorized to work on, install, maintain, and test fire alarm |
13 | systems. |
14 | (c) Electrical sign installer's license. - A Certificate CF shall be granted to any person |
15 | who has passed an examination before the division of professional regulations. The certificate |
16 | shall specify the name of the person authorized to install, maintain, work on, and repair electrical |
17 | signs. |
18 | (d) Lightning protection installer's license. - A Certificate LPI shall be granted to any |
19 | person who has passed an examination before the division of professional regulations. The |
20 | certificate shall specify the name of the person authorized to install, maintain, work on, and repair |
21 | lightning protection systems as defined in § 5-6-1. |
22 | (e) Renewable energy professional's certificate. - The Rhode Island department of labor |
23 | and training shall issue a Certificate of Competency in the Design and Installation of |
24 | Renewable Energy Systems certificate of competency in the design and installation of |
25 | renewable energy systems to any person, firm, or corporation who or that has received a |
26 | certification from a nationally recognized, or equivalent, renewable energy certification training |
27 | program and has demonstrated proof of such certification to the Rhode Island office of energy |
28 | resources. |
29 | SECTION 3. Section 5-20-35 of the General Laws in Chapter 5-20 entitled "Plumbers |
30 | and Irrigators" is hereby amended to read as follows: |
31 | 5-20-35. Persons and acts exempt -- Issuance of licenses in special cases. -- (a) The |
32 | provisions of this chapter do not apply to the installation of automatic sprinkler systems or other |
33 | fire protection appliances in this state and do not apply to employees of public utilities (publicly |
34 | or privately owned); provided, that any resident of Rhode Island not licensed, as provided in this |
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1 | chapter, desiring a license as a master plumber or journeyperson plumber who on or before |
2 | August 14, 1966, presents to the department of labor and training of the state reasonably |
3 | satisfactory evidence, in writing, that he or she was actively engaged in the business of plumbing |
4 | as a master plumber or working as a journeyperson plumber for a master plumber in any city or |
5 | town for five (5) years prior to May 16, 1966, and that he or she is at the time of presenting that |
6 | evidence to the department of labor and training operating in any city or town as a master |
7 | plumber or working as journeyperson plumber, shall, upon payment of a fee of five dollars |
8 | ($5.00) in the case of a master plumber or one dollar ($1.00) in the case of a journeyperson |
9 | plumber, have issued to him or her by the department of labor and training a certificate of license |
10 | as a master plumber or a journeyperson plumber without an additional application, fee, or other |
11 | condition precedent. Farms, golf courses, and nurseries performing irrigation work on their |
12 | premises only shall not be required to be licensed under the chapter. |
13 | (b) Solar thermal professional. - A Certificate REPC shall be issued to any person, firm, |
14 | or corporation, qualified under this chapter, engaged in, or about to engage in, the business of |
15 | installing solar thermal technologies. Solar thermal plumbing or mechanical work must be |
16 | performed by persons, firms or corporations properly licensed under chapter 20 of title 5 or |
17 | chapter 27 of title 28. Certificate REPC holders may advertise and bid for solar thermal work |
18 | provided that they contract with persons, firms or corporations who or that are properly licensed |
19 | under chapter 20 of title 5 or chapter 27 of title 28 to perform all related plumbing or mechanical |
20 | work. The REPC Certificate shall specify the name of the person, firm, or corporation applying |
21 | for it and the name of the person, who, in the case of a firm, is one of its members, and in the |
22 | case of a corporation, is one of its officers, passing the examination, by which he or she or it is |
23 | authorized to enter upon or engage in business as prescribed in the certificate. |
24 | (c) Solar thermal professional's certificate. - The Rhode Island department of labor and |
25 | training shall issue a Certificate of Competency in the Design and Installation of Solar |
26 | Thermal Systems certificate of competency in the design and installation of solar thermal |
27 | systems to any person, firm, or corporation who or that has received a certification from a |
28 | nationally recognized, or equivalent, renewable energy certification training program and has |
29 | demonstrated proof of such certification to the Rhode Island office of energy resources. |
30 | (d) Nothing in this or any other chapter of the general laws shall prohibit municipalities |
31 | or water districts from using employees, or engaging the services of licensed plumbers or other |
32 | contractors and/or service providers that meet certain requirements determined by the |
33 | municipality or water district, for the purpose of replacing water meters or meter reading devices. |
34 | SECTION 4. Section 11-9-13.15 of the General Laws in Chapter 11-9 entitled "Children" |
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1 | is hereby amended to read as follows: |
2 | 11-9-13.15. Penalty for operating without a dealer license. -- (a) Any individual or |
3 | business who or that violates this chapter by selling or conveying a tobacco product without a |
4 | retail tobacco products dealer license shall be cited for that violation and shall be required to |
5 | appear in court for a hearing on the citation. |
6 | (b) Any individual or business cited for a violation under this section of this chapter |
7 | shall: |
8 | (1) Either post a two-thousand-five-hundred-dollar ($2,500) bond with the court within |
9 | ten (10) days of the citation; or |
10 | (2) Sign and accept the citation indicating a promise to appear in court. |
11 | (c) An individual or business who or that has accepted the citation may: |
12 | (1) Pay a ten-thousand-dollar ($10,000) fine, either by mail or in person, within ten (10) |
13 | days after receiving the citation; or |
14 | (2) If that individual or business has posted a bond, forfeit the bond by not appearing at |
15 | the scheduled hearing. If the individual or business cited pays the ten-thousand-dollar ($10,000) |
16 | fine or forfeits the bond, that individual or business is deemed to have admitted the cited violation |
17 | and to have waived the right to a hearing on the issue of commission on the violation. |
18 | (d) The court after a hearing on a citation shall make a determination as to whether a |
19 | violation has been committed. If it is established that the violation did occur, the court shall |
20 | impose a ten-thousand-dollar ($10,000) fine, in addition to any court costs or other court fees. |
21 | SECTION 5. Section 19-1-1 of the General Laws in Chapter 19-1 entitled "Definitions |
22 | and Establishment of Financial Institutions" is hereby amended to read as follows: |
23 | 19-1-1. Definitions. -- Unless otherwise specified, the following terms shall have the |
24 | following meanings throughout this title: |
25 | (1) "Agreement to form" means the agreement to form a financial institution or the |
26 | agreement to form a credit union, as applicable, pursuant to this title, and includes, for financial |
27 | institutions organized before December 31, 1995, the articles of incorporation or the agreement of |
28 | association of the financial institution, where applicable. |
29 | (2) "Branch" means any office or place of business, other than the main office or |
30 | customer-bank-communication-terminal outlets as provided for in this title, at which deposits are |
31 | received, or checks paid or money lent, or at which any trust powers are exercised. Any financial |
32 | institution which had, on or before June 30, 2003, established an office or place of business, other |
33 | than its main office, at which trust powers are exercised, shall not be required to obtain the |
34 | approval of the director, or the director's designee, pursuant to § 19-2-11 for any such offices |
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1 | established as of that date. |
2 | (3) "Credit union" means a credit union duly organized under the laws of this state. |
3 | (4) "Director" means the director of the department of business regulation, or his or her |
4 | designee. |
5 | (5) "Division of banking" means the division within the department of business |
6 | regulation responsible for the supervision and examination of regulated institutions and/or |
7 | licensees under chapter 14 of this title. |
8 | (6) "Federal credit union" means a credit union duly organized under the laws of the |
9 | United States. |
10 | (7) "Financial institution" means any entity, other than a credit union, duly organized |
11 | under the laws of this state that has the statutory authority to accept money on deposit pursuant to |
12 | title 19, including an entity that is prohibited from accepting deposits by its own bylaws or |
13 | agreement to form; the term includes, but is not limited to banks, trust companies, savings banks, |
14 | loan and investment banks, and savings and loan associations. |
15 | (8) "Main office" means, in the case of financial institutions or credit unions, the location |
16 | stated in the agreement to form, as amended, and, otherwise, the location recognized by the |
17 | institution's primary banking regulator as its main office. |
18 | (9) "Person" means individuals, partnerships, corporations, limited liability companies, |
19 | or any other entity however organized. |
20 | (10) "Regulated institution" means any financial institution, credit union, or other |
21 | insured-deposit-taking institution, which is authorized to do business in this state, including one |
22 | authorized by operation of an interstate banking statute that allowed its original entry. |
23 | (11) "Retail installment contract" means any security agreement negotiated or executed |
24 | in this state, or under the laws of this state, including, but not limited to, any agreement in the |
25 | nature of a mortgage, conditional sale contract, or any other agreement whether or not evidenced |
26 | by any written instrument to pay the retail purchase price of goods, or any part thereof, in |
27 | installments over any period of time and pursuant to which any security interest is retained or |
28 | taken by the retail seller for the payment of the purchase price, or any part thereof, of the retail |
29 | installment contract. |
30 | (12) "Retail seller" means any person who sells or contracts to sell any goods under a |
31 | retail installment contract to a retail buyer. |
32 | (13) "Superintendent" means the deputy director designated by the director as |
33 | superintendent of banking in the department of business regulation. |
34 | (14) "Unimpaired capital" means the sum of all capital and allowance accounts minus |
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1 | estimated losses on assets, calculated in accordance with generally accepted accounting |
2 | principles. |
3 | (15) "Writing" means hard copy writing or electronic writing that meets the requirements |
4 | of § 42-127.1-1 et seq 42-127.1-2(7). |
5 | SECTION 6. Sections 19-14-1, 19-14-9 and 19-14-10 of the General Laws in Chapter 19- |
6 | 14 entitled "Licensed Activities" are hereby amended to read as follows: |
7 | 19-14-1. Definitions. -- Unless otherwise specified, the following terms shall have the |
8 | following meanings throughout chapters 14, 14.1, 14.2, 14.3, 14.4, 14.6, 14.8, 14.10, and 14.11 of |
9 | this title: |
10 | (1) "Check" means any check, draft, money order, personal money order, or other |
11 | instrument for the transmission or payment of money. For the purposes of check cashing, |
12 | travelers checks or foreign denomination instruments shall not be considered checks. "Check |
13 | cashing" means providing currency for checks; |
14 | (2) "Deliver" means to deliver a check to the first person who, in payment for the check, |
15 | makes, or purports to make, a remittance of, or against, the face amount of the check, whether or |
16 | not the deliverer also charges a fee in addition to the face amount and whether or not the deliverer |
17 | signs the check; |
18 | (3) "Electronic money transfer" means receiving money for transmission within the |
19 | United States or to locations abroad by any means including, but not limited to, wire, facsimile, or |
20 | other electronic transfer system; |
21 | (4) (i) "Lender" means any person who makes or funds a loan within this state with the |
22 | person's own funds, regardless of whether the person is the nominal mortgagee or creditor on the |
23 | instrument evidencing the loan; |
24 | (ii) A loan is made or funded within this state if any of the following conditions exist: |
25 | (A) The loan is secured by real property located in this state; |
26 | (B) An application for a loan is taken by an employee, agent, or representative of the |
27 | lender within this state; |
28 | (C) The loan closes within this state; |
29 | (D) The loan solicitation is done by an individual with a physical presence in this state; |
30 | or |
31 | (E) The lender maintains an office in this state. |
32 | (iii) The term "lender" shall also include any person engaged in a transaction whereby |
33 | the person makes or funds a loan within this state using the proceeds of an advance under a line |
34 | of credit over which proceeds the person has dominion and control and for the repayment of |
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1 | which the person is unconditionally liable. This transaction is not a table-funding transaction. A |
2 | person is deemed to have dominion and control over the proceeds of an advance under a line of |
3 | credit used to fund a loan regardless of whether: |
4 | (A) The person may, contemporaneously with, or shortly following, the funding of the |
5 | loan, assign or deliver to the line of credit lender one or more loans funded by the proceeds of an |
6 | advance to the person under the line of credit; |
7 | (B) The proceeds of an advance are delivered directly to the settlement agent by the line- |
8 | of-credit lender, unless the settlement agent is the agent of the line-of-credit lender; |
9 | (C) One or more loans funded by the proceeds of an advance under the line of credit is |
10 | purchased by the line-of-credit lender; or |
11 | (D) Under the circumstances, as set forth in regulations adopted by the director, or the |
12 | director's designee, pursuant to this chapter; |
13 | (5) "Licensee" means any person licensed under this chapter; |
14 | (6) "Loan" means any advance of money or credit including, but not limited to: |
15 | (i) Loans secured by mortgages; |
16 | (ii) Insurance premium finance agreements; |
17 | (iii) The purchase or acquisition of retail installment contracts or advances to the holders |
18 | of those contracts; |
19 | (iv) Educational loans; |
20 | (v) Any other advance of money; or |
21 | (vi) Any transaction such as those commonly known as "payday loans," "payday |
22 | advances," or "deferred-presentment loans," in which a cash advance is made to a customer in |
23 | exchange for the customer's personal check, or in exchange for the customer's authorization to |
24 | debit the customer's deposit account, and where the parties agree either, that the check will not be |
25 | cashed or deposited, or that customer's deposit account will not be debited, until a designated |
26 | future date. |
27 | (7) "Loan broker" means any person who, for compensation or gain, or in the expectation |
28 | of compensation or gain, either directly or indirectly, solicits, processes, negotiates, places, or |
29 | sells a loan within this state for others in the primary market, or offers to do so. A loan broker |
30 | shall also mean any person who is the nominal mortgagee or creditor in a table-funding |
31 | transaction. A loan is brokered within this state if any of the following conditions exist: |
32 | (i) The loan is secured by real property located in this state; |
33 | (ii) An application for a loan is taken or received by an employee, agent, or |
34 | representative of the loan broker within this state; |
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1 | (iii) The loan closes within this state; |
2 | (iv) The loan solicitation is done by an individual with a physical presence in this state; |
3 | or |
4 | (v) The loan broker maintains an office in this state. |
5 | (8) "Personal money order" means any instrument for the transmission or payment of |
6 | money in relation to which the purchaser or remitter appoints, or purports to appoint, the seller as |
7 | his or her agent for the receipt, transmission, or handling of money, whether the instrument is |
8 | signed by the seller, or by the purchaser, or remitter, or some other person; |
9 | (9) "Primary market" means the market in which loans are made to borrowers by lenders, |
10 | whether or not through a loan broker or other conduit; |
11 | (10) "Principal owner" means any person who owns, controls, votes, or has a beneficial |
12 | interest in, directly or indirectly, ten percent (10%) or more of the outstanding capital stock |
13 | and/or equity interest of a licensee; |
14 | (11) "Sell" means to sell, to issue, or to deliver a check; |
15 | (12) "Small loan" means a loan of less than five thousand dollars ($5,000), not secured |
16 | by real estate, made pursuant to the provisions of chapter 14.2 of this title; |
17 | (13) "Small-loan lender" means a lender engaged in the business of making small loans |
18 | within this state; |
19 | (14) "Table-funding transaction" means a transaction in which there is a |
20 | contemporaneous advance of funds by a lender and an assignment by the mortgagee or creditor of |
21 | the loan to the lender; |
22 | (15) "Check casher" means a person or entity that, for compensation, engages, in whole |
23 | or in part, in the business of cashing checks; |
24 | (16) "Deferred-deposit transaction" means any transaction, such as those commonly |
25 | known as "payday loans," "payday advances," or "deferred-presentment loans," in which a cash |
26 | advance is made to a customer in exchange for the customer's personal check or in exchange for |
27 | the customer's authorization to debit the customer's deposit account and where the parties agree |
28 | either that the check will not be cashed or deposited, or that the customer's deposit account will |
29 | not be debited until a designated future date; |
30 | (17) "Insurance premium finance agreement" means an agreement by which an insured, |
31 | or prospective insured, promises to pay to an insurance premium finance company the amount |
32 | advanced, or to be advanced, under the agreement to an insurer or to an insurance producer, in |
33 | payment of a premium, or premiums, on an insurance contract, or contracts, together with interest |
34 | and a service charge, as authorized and limited by this title; |
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1 | (18) "Insurance premium finance company" means a person engaged in the business of |
2 | making insurance premium finance agreements or acquiring insurance premium finance |
3 | agreements from other insurance premium finance companies; |
4 | (19) "Simple interest" means interest computed on the principal balance outstanding |
5 | immediately prior to a payment for the actual number of days between payments made on a loan |
6 | over the life of a loan; |
7 | (20) "Nonprofit organization" means a corporation qualifying as a 26 U.S.C. § 501(c)(3) |
8 | nonprofit organization, in the operation of which no member, director, officer, partner, employee, |
9 | agent, or other affiliated person profits financially other than receiving reasonable salaries if |
10 | applicable; |
11 | (21) "Mortgage loan originator" has the same meaning set forth in § 19-14.10-3(6); |
12 | (22) "Mortgage loan" means a loan secured in whole, or in part, by real property located |
13 | in this state; |
14 | (23) "Loan solicitation" shall mean an effectuation, procurement, delivery and offer, and |
15 | advertisement of a loan. Loan solicitation also includes providing or accepting loan applications |
16 | and assisting persons in completing loan applications and/or advising, conferring, or informing |
17 | anyone regarding the benefits, terms and/or conditions of a loan product or service. Loan |
18 | solicitation does not include loan processing or loan underwriting as defined in this section. Loan |
19 | solicitation does not include telemarketing that is defined, for purposes of this section, to mean |
20 | contacting a person by telephone with the intention of collecting such person's name, address, and |
21 | telephone number for the sole purpose of allowing a mortgage loan originator to fulfill a loan |
22 | inquiry; |
23 | (24) "Processes" shall mean, with respect to a loan, any of a series of acts or functions, |
24 | including the preparation of a loan application and supporting documents, performed by a person |
25 | that leads to, or results in, the acceptance, approval, denial, and/or withdrawal of a loan |
26 | application, including, without limitation, the rendering of services, including loan underwriting, |
27 | obtaining verifications, credit reports or appraisals, communicating with the applicant and/or the |
28 | lender or loan broker, and/or other loan processing and origination services, for consideration by |
29 | a lender or loan broker. Loan processing does not include the following: |
30 | (i) Providing loan closing services; |
31 | (ii) Rendering of credit reports by an authorized credit reporting agency; and |
32 | (iii) Rendering of appraisal services. |
33 | (25) "Loan underwriting" shall mean a loan process that involves the analysis of risk |
34 | with respect to the decision whether to make a loan to a loan applicant based on credit, |
| LC003664/SUB A - Page 11 of 79 |
1 | employment, assets, and other factors, including evaluating a loan applicant against a lender's |
2 | various lending criteria for creditworthiness, making a determination for the lender as to whether |
3 | the applicant meets the lender's pre-established credit standards, and/or making a |
4 | recommendation regarding loan approval; |
5 | (26) "Negotiates" shall mean, with respect to a loan, to confer directly with, or offer |
6 | advice directly to, a loan applicant or prospective loan applicant for a loan product or service |
7 | concerning any of the substantive benefits, terms, or conditions of the loan product or service; |
8 | (27) "Natural person employee" shall mean any natural person performing services as a |
9 | bona-fide employee for a person licensed under § 19-14-1, et. seq., in return for a salary, wage, or |
10 | other consideration, where such salary, wage, or consideration is reported by the licensee on a |
11 | federal form W-2 payroll record. The term does not include any natural person or business entity |
12 | performing services for a person licensed under the provisions of Rhode Island general laws in |
13 | return for a salary, wage, or other consideration, where such salary, wage, or consideration is |
14 | reported by the licensee on a federal form 1099; |
15 | (28) "Bona fide employee" shall mean an employee of a licensee who works under the |
16 | oversight and supervision of the licensee; |
17 | (29) "Oversight and supervision of the licensee" shall mean that the licensee provides |
18 | training to the employee, sets the employee's hours of work, and provides the employee with the |
19 | equipment and physical premises required to perform the employee's duties; |
20 | (30) "Operating subsidiary" shall mean a majority-owned subsidiary of a financial |
21 | institution or banking institution that engages only in activities permitted by the parent financial |
22 | institution or banking institution; |
23 | (31) "Provisional employee" means a natural person who, pursuant to a written |
24 | agreement between the natural person and a wholly owned subsidiary of a financial holding |
25 | company, as defined in The Bank Holding Company Act of 1956, (12 U.S.C. § 1841 et seq.), as |
26 | amended, a bank-holding company, savings-bank-holding company, or thrift holding company, is |
27 | an exclusive agent for the subsidiary with respect to mortgage loan originations, and the |
28 | subsidiary: (a) Holds a valid loan broker's license; and (b) Enters into a written agreement with |
29 | the director, or the director's designee, to include: |
30 | (i) An "undertaking of accountability", in a form prescribed by the director, or the |
31 | director's designee, for all of the subsidiary's exclusive agents to include full-and-direct financial |
32 | and regulatory responsibility for the mortgage loan originator activities of each exclusive agent as |
33 | if said exclusive agent were an employee of the subsidiary; |
34 | (ii) A business plan, to be approved by the director, or the director's designee, for the |
| LC003664/SUB A - Page 12 of 79 |
1 | education of the exclusive agents, the handling of consumer complaints related to the exclusive |
2 | agents, and the supervision of the mortgage loan origination activities of the exclusive agents; and |
3 | (iii) A restriction of the exclusive agents' mortgage loan originators' activities to loans to |
4 | be made only by the subsidiary's affiliated bank. |
5 | (32) "Multi-state licensing system" means a system involving one or more states, the |
6 | District of Columbia, or the Commonwealth of Puerto Rico established to facilitate the sharing of |
7 | regulatory information and the licensing, application, reporting, and payment processes, by |
8 | electronic or other means, for mortgage lenders and loan brokers and other licensees required to |
9 | be licensed under this chapter; |
10 | (33) "Negative equity" means the difference between the value of an asset and the |
11 | outstanding portion of the loan taken out to pay for the asset, when the latter exceeds the former |
12 | amount; |
13 | (34) "Loan-closing services" means providing title services, including title searches, title |
14 | examinations, abstract preparation, insurability determinations, and the issuance of title |
15 | commitments and title insurance policies, conducting loan closings, and preparation of loan |
16 | closing documents when performed by, or under the supervision of, a licensed attorney, licensed |
17 | title agency, or licensed title insurance company; |
18 | (35) "Servicing" means receiving a scheduled periodic payment from a borrower |
19 | pursuant to the terms of a loan, including amounts for escrow accounts, and making the payments |
20 | to the owner of the loan or other third party of principal and interest and other payments with |
21 | respect to the amounts received from the borrower as may be required pursuant to the terms of the |
22 | servicing loan documents or servicing contract. In the case of a home equity conversion mortgage |
23 | or a reverse mortgage, servicing includes making payment to the borrower; |
24 | (36) "Third-party loan servicer" means a person who, directly or indirectly, engages in |
25 | the business of servicing a loan made to a resident of Rhode Island, or a loan secured by |
26 | residential real estate located in Rhode Island, for a personal, family, or household purpose, owed |
27 | or due or asserted to be owed or due another; and |
28 | (37) "Writing" means hard-copy writing or electronic writing that meets the |
29 | requirements of § 42-127.1-1 et seq 42-127.1-2(7). |
30 | 19-14-9. Contents of license. -- The license or branch certificate shall contain any |
31 | information that the director, or the director's designee, shall require, including the type of |
32 | activity authorized. In his or her discretion, the director, or the director's designee, may substitute |
33 | an electronic record as the confirmation of a license status in substitution for a license or branch |
34 | certificate. When dealing with an applicant, or potential applicant, for a mortgage loan or when |
| LC003664/SUB A - Page 13 of 79 |
1 | dealing with any person providing settlement services (as defined in the Real Estate Settlement |
2 | Procedures Act, as amended, 12 U.S.C. § 2601 et seq., or the regulations promulgated thereunder |
3 | from time to time), a mortgage loan originator shall disclose the mortgage loan originator's |
4 | nationwide mortgage licensing system unique identification number upon request to the applicant, |
5 | or potential applicant, and the fact that the mortgage loan originator is licensed by this state. |
6 | 19-14-10. Attorney for service of process. -- (a) Every licensee shall appoint, and |
7 | thereafter maintain, in this state a resident attorney with authority to accept process for the |
8 | licensee in this state, including the process of garnishment. |
9 | (1) The appointment shall be filed with the director, or the director's designee, in |
10 | whatever format he or she directs. The power of attorney shall provide all contact information, |
11 | including the business address, including street and number, if any, of the resident attorney. |
12 | Thereafter, if the resident attorney changes his or her business address or other contact |
13 | information, he or she shall, within ten (10) days after any change, file in the office of the |
14 | director, or the director's designee, notice of the change setting forth the attorney's current |
15 | business address or other contact information. |
16 | (2) If the resident attorney dies, resigns, or leaves the state, the licensee shall make a new |
17 | appointment and file the power of attorney in the office of the director, or the director's designee. |
18 | The power of attorney shall not be revoked until this power of attorney shall have been given to |
19 | some other competent person resident in this state and filed with the director, or the director's |
20 | designee. |
21 | (3) Service of process upon the resident attorney shall be deemed sufficient service upon |
22 | the licensee. |
23 | (4) Any licensee who fails to appoint a resident attorney and file the power of attorney in |
24 | the office of the director, or the director's designee, as above provided for, or fails to replace a |
25 | resident attorney for a period of thirty (30) days from vacancy, shall be liable for a penalty not |
26 | exceeding five hundred dollars ($500) and shall be subject to suspension or revocation of the |
27 | license. |
28 | (5) Upon the filing of any power of attorney required by this section, a fee of twenty-five |
29 | dollars ($25.00) shall be paid to the director for the use of the state. |
30 | (6) Any licensee that is a corporation and complies with the provisions of chapter 1.2 of |
31 | title 7 is exempt from the power of attorney filing requirements of this section. Any licensee that |
32 | is a limited partnership or limited liability company and complies with the provisions of chapters |
33 | 13 and 16 of title 7 is exempt from the power of attorney requirements of this section. |
34 | (b) Any process, including the process of garnishment, may be served upon the director, |
| LC003664/SUB A - Page 14 of 79 |
1 | or the director's designee, as agent of the licensee in the event that no resident attorney can be |
2 | found upon whom service can be made, or in the event that the licensee has failed to designate a |
3 | resident attorney as required, and process may be served by leaving a copy of the process with a |
4 | fee of twenty-five dollars ($25.00) which shall be included in the taxable costs of the suit, action, |
5 | or proceeding, in the hands of the director, or the director's designee. This manner of service upon |
6 | the licensee shall be sufficient, provided that notice of service and a copy of the process shall be |
7 | immediately sent by certified mail by the plaintiff, or the plaintiff's attorney of record, to the |
8 | licensee at the latest address filed with the director, or the director's designee. If the licensee has |
9 | not filed his or her address pursuant to this chapter, notice of service shall be given in any manner |
10 | that the court in which the action is pending may order as affording the licensee reasonable |
11 | opportunity to defend the action or to learn of the garnishment. Nothing contained in this section |
12 | shall limit or affect the right to serve process upon a licensee in any other manner now or |
13 | hereafter permitted by law. |
14 | SECTION 7. Section 19-28.1-14 of the General Laws in Chapter 19-28.1 entitled |
15 | "Franchise Investment Act" is hereby amended to read as follows: |
16 | 19-28.1-14. Jurisdiction and venue. -- A provision is in a franchise agreement |
17 | restricting jurisdiction or venue to a forum outside this state or requiring the application of the |
18 | laws of another state is void with respect to a claim otherwise enforceable under this act. |
19 | SECTION 8. Section 21-27-10 of the General Laws in Chapter 21-27 entitled "Sanitation |
20 | in Food Establishments" is hereby amended to read as follows: |
21 | 21-27-10. Registration of food businesses. -- (a) No person shall operate a food business |
22 | as defined in § 21-27-1(8) unless he or she annually registers the business with the state director |
23 | of health; provided, that food businesses conducted by nonprofit organizations, hospitals, public |
24 | institutions, farmers markets, roadside farmstands farm stands, or any municipality shall be |
25 | exempt from payment of any required fee. |
26 | (b) In order to set the registration renewal dates so that all activities for each |
27 | establishment can be combined on one registration instead of on several registrations, the |
28 | registration renewal date shall be set by the department of health. The registration period shall be |
29 | for twelve (12) months commencing on the registration renewal date. Any renewal registration |
30 | fee shall be at the full, annual rate regardless of the date of renewal. Any fee for a first-time |
31 | application shall have the registration rate fee pro-rated based upon the date of issuance of |
32 | registration. If the registration renewal date is changed, the department may make an adjustment |
33 | to the fees of registered establishments, not to exceed the annual registration fee, in order to |
34 | implement the changes in registration renewal date. Registrations issued under this chapter may |
| LC003664/SUB A - Page 15 of 79 |
1 | be suspended or revoked for cause. Any registration or license shall be posted in a place |
2 | accessible and prominently visible to an agent of the director. |
3 | (c) Registration with the director of health shall be based upon satisfactory compliance |
4 | with all laws and regulations of the director applicable to the food business for which registration |
5 | is required. |
6 | (d) The director of health is authorized to adopt regulations necessary for the |
7 | implementation of this chapter. |
8 | (e) Classification for registration shall be as follows: |
9 | (1) In-state and out-of-state food processors that sell food in Rhode Island (Wholesale) |
10 | (2) Food processors (Retail) |
11 | (3) Food service establishments: |
12 | (i) 50 seats or less |
13 | (ii) More than 50 seats |
14 | (iii) Mobile food service units |
15 | (iv) Industrial caterer or food vending machine commissary |
16 | (v) Cultural heritage educational facility |
17 | (4) Vending machine sites or location: |
18 | (i) Three (3) or less machines |
19 | (ii) Four (4) to ten (10) machines |
20 | (iii) Eleven (11) or more machines |
21 | (5) Retail markets: |
22 | (i) 1 to 2 cash registers |
23 | (ii) 3 to 5 cash registers |
24 | (iii) 6 or more cash registers |
25 | (6) Retail food peddler (meat, seafood, dairy, and frozen dessert products) |
26 | (7) Food warehouses |
27 | (f) In no instance, where an individual food business has more than one activity eligible |
28 | under this chapter for state registration within a single location, shall the business be required to |
29 | pay more than a single fee for the one highest classified activity listed in subsection (e) of this |
30 | section; provided, that, where several separate but identically classified activities are located |
31 | within the same building and under the management and jurisdiction of one person, one fee shall |
32 | be required. In each of the instances in this subsection, each activity shall be separately registered. |
33 | (g) Fees for registration of the above classifications shall be as set forth in § 23-1-54. |
34 | SECTION 9. Section 23-4.1-2 of the General Laws in Chapter 23-4.1 entitled |
| LC003664/SUB A - Page 16 of 79 |
1 | "Emergency Medical Transportation Services" is hereby amended to read as follows: |
2 | 23-4.1-2. Ambulance service coordinating advisory board. -- (a) The ambulance |
3 | service coordinating advisory board is hereby created and shall consisting consist of twenty-five |
4 | (25) members appointed as set out in this section. The governor shall appoint the members of the |
5 | board as follows: (1) Two (2) from the department of health; (2) sSeven (7) practicing, licensed |
6 | emergency medical technicians, as follows: three (3) from a full-time, paid department, who shall |
7 | be recommended from the Rhode Island State Association of Fire Fighters, IAFF, AFL-CIO,; |
8 | and two (2) who are active E.M.S. administrators, one recommended from by the Rhode Island |
9 | Association of Fire Chiefs, and one recommended from by the Rhode Island State Firemen's |
10 | League from a volunteer fire department; one recommended by the senate president; and one |
11 | recommended by the speaker of the house; (3) oOne from the R.I. Hospital Association; (4) oOne |
12 | from the R.I. Medical Society; (5) oOne from the R.I. chapter of the American College of |
13 | Surgeons, committee on trauma; (6) oOne from the R.I. chapter of the American College of |
14 | Emergency Physicians; (7) oOne from the Rhode Island chapter of the American Academy of |
15 | Pediatrics; (8) tTwo (2) from a professional ambulance service; (9) tTwo (2) from the general |
16 | public; (10) tTwo (2) from Providence county who are active members of a public ambulance |
17 | service or fire department rescue squad unit, one from a full-time paid department and one from a |
18 | volunteer department; (11) fFour (4), one each from the counties of Kent, Newport, Bristol, and |
19 | Washington, who shall be members of a public ambulance service or a fire department rescue |
20 | squad; and (12) oOne certified, emergency nurse in current practice who is a member of the |
21 | Emergency Room Nurses Association. The members of the board shall be chosen and shall hold |
22 | office for five (5) years, and until their respective successors are appointed and qualified. In the |
23 | month of February in each year, the governor shall appoint successors to the members of the |
24 | board whose terms shall expire in that year, to hold office until the first day of March in the fifth |
25 | (5th) year after their appointment and until their respective successors are appointed and |
26 | qualified. Any vacancy that may occur in the board shall be filled by appointment for the |
27 | remainder of the unexpired term in the same manner as the original appointment. Each member |
28 | may designate a representative to attend in his or her absence by notifying the chair prior to that |
29 | meeting of the board. The board shall meet at least quarterly and to elect its officers annually. |
30 | (b) The division of emergency medical services of the department of health shall provide |
31 | staff support to the board. |
32 | SECTION 10. The title of Chapter 23-6.4 of the General Laws entitled "Life-Saving |
33 | Allergy Medication - Stock Supply of Epinephrine Auto-injectors - Emergency Administration" |
34 | is hereby amended to read as follows: |
| LC003664/SUB A - Page 17 of 79 |
1 | CHAPTER 23-6.4 |
2 | Life-Saving Allergy Medication - Stock Supply of Epineprhine Auto-injectors - Emergency |
3 | Administration |
4 | CHAPTER 23-6.4 |
5 | LIFE-SAVING ALLERGY MEDICATION - STOCK SUPPLY OF EPINEPHRINE |
6 | AUTO-INJECTORS - EMERGENCY ADMINISTRATION |
7 | SECTION 11. Sections 23-6.4-3, 23-6.4-4, 23-6.4-5, 23-6.4-6 and 23-6.4-7 of the |
8 | General Laws in Chapter 23-6.4 entitled "Life-Saving Allergy Medication - Stock Supply of |
9 | Epinephrine Auto-injectors - Emergency Administration" are hereby amended to read as follows: |
10 | 23-6.4-3. Designated entities permitted to maintain supply. -- An authorized entity |
11 | may acquire and stock a supply of epinephrine auto-injectors pursuant to a prescription issued in |
12 | accordance with this chapter. Such epinephrine auto-injectors shall be stored in a location readily |
13 | accessible in an emergency and in accordance with the epinephrine auto-injector's instructions for |
14 | use and any additional requirements that may be established by the department of health. An |
15 | authorized entity shall designate employees or agents who have completed the training required |
16 | by § 23-6.5-6 23-6.4-6 to be responsible for the storage, maintenance, and general oversight of |
17 | epinephrine auto-injectors acquired by the authorized entity. |
18 | 23-6.4-4. Use of epinephrine auto-injectors. -- An employee or agent of an authorized |
19 | entity, or other individual, who has completed the training required by § 23-6.5-6 23-6.4-6, may, |
20 | on the premises of or in connection with the authorized entity, use epinephrine auto-injectors |
21 | prescribed pursuant to § 23-6.4-2 to: |
22 | (1) Provide an epinephrine auto-injector to any individual who, the employee, agent, or |
23 | other individual, believes in good faith is experiencing anaphylaxis, for immediate self- |
24 | administration, regardless of whether the individual has a prescription for an epinephrine auto- |
25 | injector or has previously been diagnosed with an allergy. |
26 | (2) Administer an epinephrine auto-injector to any individual who, the employee, agent, |
27 | or other individual, believes in good faith is experiencing anaphylaxis, regardless of whether the |
28 | individual has a prescription for an epinephrine auto-injector or has previously been diagnosed |
29 | with an allergy. |
30 | 23-6.4-5. Expanded availability. -- An authorized entity that acquires a stock supply of |
31 | epinephrine auto-injectors pursuant to a prescription issued in accordance with this chapter, may |
32 | make such epinephrine auto-injectors available to individuals other than those trained individuals |
33 | described in § 23-6.5-6 23-6.4-6, and such individuals may administer such epinephrine auto- |
34 | injector to any individual believed in good faith to be experiencing anaphylaxis, if the |
| LC003664/SUB A - Page 18 of 79 |
1 | epinephrine auto-injectors are stored in a locked, secure container and are made available only |
2 | upon remote authorization by an authorized health care provider after consultation with the |
3 | authorized health care provider by audio, televideo, or other similar means of electronic |
4 | communication. Consultation with an authorized health care provider for this purpose shall not be |
5 | considered the practice of telemedicine or otherwise be construed as violating any law or rule |
6 | regulating the authorized health care provider's professional practice. |
7 | 23-6.4-6. Training. -- An employee, agent, or other individual described in § 23-6.5-4 |
8 | 23-6.4-4 must complete an anaphylaxis training program prior to providing or administering an |
9 | epinephrine auto-injector made available by an authorized entity. Such training shall be |
10 | conducted by a nationally recognized organization experienced in training laypersons in |
11 | emergency health treatment, or an entity or individual approved by the department of health. |
12 | Training may be conducted online or in person and, at a minimum, shall cover: |
13 | (1) Techniques on how to recognize symptoms of severe allergic reactions, including |
14 | anaphylaxis; |
15 | (2) Standards and procedures for the storage and administration of an epinephrine auto- |
16 | injector; and |
17 | (3) Emergency follow-up procedures. |
18 | The entity that conducts the training shall issue a certificate, on a form developed or |
19 | approved by the department of health, to each person who successfully completes the anaphylaxis |
20 | training program. |
21 | 23-6.4-7. Good Samaritan protections. -- An authorized entity that possesses and makes |
22 | available epinephrine auto-injectors and its employees, agents, and other trained individuals; a |
23 | person who uses an epinephrine auto-injector made available pursuant to § 23-6.5-5 23-6.4-5; an |
24 | authorized health care provider who prescribes epinephrine auto-injectors to an authorized entity; |
25 | and an individual or entity that conducts the training described in § 23-6.5-6 23-6.4-6, shall not |
26 | be liable for any civil damages that result from the administration or self-administration of an |
27 | epinephrine auto-injector; the failure to administer an epinephrine auto-injector; or any other act |
28 | or omission taken pursuant to this chapter; provided, however, this immunity does not apply to |
29 | acts or omissions constituting gross negligence or willful or wanton conduct. The administration |
30 | of an epinephrine auto-injector in accordance with this chapter is not the practice of medicine. |
31 | This section does not eliminate, limit, or reduce any other immunity or defense that may be |
32 | available under state law. An entity located in this state shall not be liable for any injuries or |
33 | related damages that result from the provision or administration of an epinephrine auto-injector |
34 | by its employees or agents outside of this state if the entity or its employee or agent: |
| LC003664/SUB A - Page 19 of 79 |
1 | (1) Would not have been liable for such injuries or related damages had the provision or |
2 | administration occurred within this state; or |
3 | (2) Are not liable for such injuries or related damages under the law of the state in which |
4 | such provision or administration occurred. |
5 | SECTION 12. Section 28-9.1-6 of the General Laws in Chapter 28-9.1 entitled |
6 | "Firefighters' Arbitration" is hereby amended to read as follows: |
7 | 28-9.1-6. Obligation to bargain. -- It shall be the obligation of the city or town, acting |
8 | through its corporate authorities, to meet and confer in good faith with the representative or |
9 | representatives of the bargaining agent within ten (10) days after receipt of written notice from |
10 | the bargaining agent of the request for a meeting for collective bargaining purposes. This |
11 | obligation shall include the duty to cause any agreement resulting from the negotiations to be |
12 | reduced to a written contract, provided that no contract shall exceed the term of one year, unless a |
13 | longer period is agreed upon in writing by the corporate authorities and the bargaining agents, but |
14 | in no event shall the contract exceed the term of three (3) years unless a budget commission or a |
15 | receiver has been appointed for a municipality or fire district pursuant to chapter 9 of title 45, or |
16 | if a municipality has a locally administered pension plan in "critical status" and is required to |
17 | submit a funding improvement plan pursuant to § 45-65-6(2),. in In either of which case, the |
18 | contract shall not exceed the term of five (5) years. An unfair labor practice charge may be |
19 | complained of by either the employer's representative or the bargaining agent to the state labor |
20 | relations board which shall deal with the complaint in the manner provided in chapter 7 of this |
21 | title. |
22 | SECTION 13. Section 28-9.2-6 of the General Laws in Chapter 28-9.2 entitled |
23 | "Municipal Police Arbitration" is hereby amended to read as follows: |
24 | 28-9.2-6. Obligation to bargain. -- It shall be the obligation of the city or town, acting |
25 | through its corporate authorities, to meet and confer in good faith with the designated |
26 | representative or representatives of the bargaining agent, including any legal counsel selected by |
27 | the bargaining agent, within ten (10) days after receipt of written notice from the bargaining agent |
28 | of the request for a meeting for collective bargaining purposes. This obligation includes the duty |
29 | to cause any agreement resulting from the negotiations to be reduced to a written contract, |
30 | provided that no contract shall exceed the term of one year, unless a longer period is agreed upon |
31 | in writing by the corporate authorities and the bargaining agent, but in no event shall the contract |
32 | exceed the term of three (3) years unless a budget commission or a receiver has been appointed |
33 | for a municipality pursuant to chapter 9 of title 45 or if a municipality has a locally administered |
34 | pension plan in "critical status" and is required to submit a funding improvement plan pursuant to |
| LC003664/SUB A - Page 20 of 79 |
1 | § 45-65-6(2),. in In either of which case, the contract shall not exceed the term of five (5) years. |
2 | An unfair labor charge may be complained of by either the employer's representative or the |
3 | bargaining agent to the state labor relations board which shall deal with the complaint in the |
4 | manner provided in chapter 7 of this title. |
5 | SECTION 14. Section 28-9.3-4 of the General Laws in Chapter 28-9.3 entitled "Certified |
6 | School Teachers' Arbitration" is hereby amended to read as follows: |
7 | 28-9.3-4. Obligation to bargain. -- It shall be the obligation of the school committee to |
8 | meet and confer in good faith with the representative or representatives of the negotiating or |
9 | bargaining agent within ten (10) days after receipt of written notice from the agent of the request |
10 | for a meeting for negotiating or collective bargaining purposes. This obligation includes the duty |
11 | to cause any agreement resulting from negotiations or bargaining to be reduced to a written |
12 | contract; provided, that no contract shall exceed the term of three (3) years unless a budget |
13 | commission or a receiver has been appointed for a municipality pursuant to chapter 9 of title 45 |
14 | or if a municipality has a locally administered pension plan in "critical status" and is required to |
15 | submit a funding improvement plan pursuant to § 45-65-6(2),. in In either case, the contract shall |
16 | not exceed the term of five (5) years. An unfair labor practice charge may be complained of by |
17 | either the bargaining agent or the school committee to the state labor relations board which shall |
18 | deal with the complaint in the manner provided in chapter 7 of this title. |
19 | SECTION 15. Section 28-9.4-5 of the General Laws in Chapter 28-9.4 entitled |
20 | "Municipal Employees' Arbitration" is hereby amended to read as follows: |
21 | 28-9.4-5. Obligation to bargain. -- It shall be the obligation of the municipal employer |
22 | to meet and confer in good faith with the representative or representatives of the negotiating or |
23 | bargaining agent within ten (10) days after receipt of written notice from the agent of the request |
24 | for a meeting for negotiating or collective bargaining purposes. This obligation includes the duty |
25 | to cause any agreement resulting from negotiation or bargaining to be reduced to a written |
26 | contract; provided, that no contract shall exceed the term of three (3) years unless a budget |
27 | commission or a receiver has been appointed for a municipality pursuant to chapter 9 of title 45 |
28 | or if a municipality has a locally administered pension plan in "critical status" and is required to |
29 | submit a funding improvement plan pursuant to § 45-65-6(2),. in In either of which case, the |
30 | contract shall not exceed the term of five (5) years. Failure to negotiate or bargain in good faith |
31 | may be complained of by either the negotiating or bargaining agent or the municipal employer to |
32 | the state labor relations board, which shall deal with the complaint in the manner provided in |
33 | chapter 7 of this title. An unfair labor practice charge may be complained of by either the |
34 | bargaining agent or employer's representative to the state labor relations board, which shall deal |
| LC003664/SUB A - Page 21 of 79 |
1 | with the complaint in the manner provided in chapter 7 of this title. |
2 | SECTION 16. Section 28-33-8 of the General Laws in Chapter 28-33 entitled "Workers' |
3 | Compensation - Benefits" is hereby amended to read as follows: |
4 | 28-33-8. Employee's choice of physician, dentist, or hospital – Payment of charges – |
5 | Physician reporting schedule. -- (a)(1) An injured employee shall initially have freedom of |
6 | choice to obtain health care, diagnosis, and treatment from any qualified health care provider |
7 | initially. The initial health care provider of record may, without prior approval, refer the injured |
8 | employee to any qualified specialist for independent consultation or assessment, or specified |
9 | treatment. If the insurer or self-insured employer has a preferred-provider network approved and |
10 | kept on record by the medical advisory board, any change by the employee from the initial health |
11 | care provider of record shall only be to a health care provider listed in the approved preferred- |
12 | provider network; provided, however, that any contract proffered or maintained that restricts or |
13 | limits the health care provider's ability to make referrals pursuant to the provisions of this section; |
14 | restricts the injured employee's first choice of health care provider; substitutes or overrules the |
15 | treatment protocols maintained by the medical advisory board; or attempts to evade or limit the |
16 | jurisdiction of the workers' compensation court shall be void as against public policy. If the |
17 | employee seeks to change to a health care provider not in the approved preferred-provider |
18 | network, the employee must obtain the approval of the insurer or self-insured employer. Nothing |
19 | contained in this section shall prevent the treatment, care, or rehabilitation of an employee by |
20 | more than one physician, dentist, or hospital. The employee's first visit to any facility providing |
21 | emergency care or to a physician or medical facility under contract with or agreement with the |
22 | employer or insurer to provide priority care, shall not constitute the employee's initial choice to |
23 | obtain health care, diagnosis, or treatment. |
24 | (2) In addition to the treatment of qualified health care providers, the employee shall have |
25 | the freedom to obtain a rehabilitation evaluation by a rehabilitation counselor certified by the |
26 | director pursuant to § 28-33-41 in cases where the employee has received compensation for a |
27 | period of more than three (3) months, and the employer shall pay the reasonable fees incurred by |
28 | the rehabilitation counselor for the initial assessment. |
29 | (b) Within three (3) days of an initial visit following an injury, the health care provider |
30 | shall provide to the insurer or self-insured employer, and the employee and his or her attorney, a |
31 | notification of compensable injury form to be approved by the administrator of the medical |
32 | advisory board. Within three (3) days of the injured employee's release or discharge, return to |
33 | work, and/or recovery from an injury covered by chapters 29 – 38 of this title, the health care |
34 | provider shall provide a notice of release to the insurer or self-insured employer, and the |
| LC003664/SUB A - Page 22 of 79 |
1 | employee and his or her attorney, on a form approved by the division. A twenty dollar ($20.00) |
2 | fee may be charged by the health care provider to the insurer or self-insured employer for the |
3 | notification of compensable injury forms or notice of release forms or for affidavits filed pursuant |
4 | to subsection (c) of this section, but only if filed in a timely manner. No claim for care or |
5 | treatment by a physician, dentist, or hospital chosen by an employee shall be valid and |
6 | enforceable as against his or her employer, the employer's insurer, or the employee, unless the |
7 | physician, dentist, or hospital gives written notice of the employee's choice to the |
8 | employer/insurance carrier within fifteen (15) days after the beginning of the services or |
9 | treatment. The health care provider shall, in writing, submit to the employer or insurance carrier |
10 | an itemized bill and report for the services or treatment and a final itemized bill for all unpaid |
11 | services or treatment within three (3) months after the conclusion of the treatment. The employee |
12 | shall not be personally liable to pay any physician, dentist, or hospital bills in cases where the |
13 | physician, dentist, or hospital has forfeited the right to be paid by the employer or insurance |
14 | carrier because of noncompliance with this section. |
15 | (c)(1) At six (6) weeks from the date of injury, then every twelve (12) weeks thereafter |
16 | until maximum medical improvement, any qualified physician or other health care professional |
17 | providing medical care or treatment to any person for an injury covered by chapters 29 – 38 of |
18 | this title shall file an itemized bill and an affidavit with the insurer, the employee and his or her |
19 | attorney, and the medical advisory board. A ten percent (10%) discount may be taken on the |
20 | itemized bill affidavits not filed in a timely manner and received by the insurer one week or more |
21 | late. The affidavit shall be on a form designed and provided by the administrator of the medical |
22 | advisory board and shall state: |
23 | (i) The type of medical treatment provided to date, including type and frequency of |
24 | treatment(s); |
25 | (ii) Anticipated further treatment, including type, frequency, and duration of treatment(s), |
26 | whether or not maximum medical improvement has been reached, and the anticipated date of |
27 | discharge; |
28 | (iii) Whether the employee can return to the former position of employment, or is capable |
29 | of other work, specifying work restrictions and work capabilities of the employee; |
30 | (2) The affidavit shall be admissible as an exhibit of the workers' compensation court |
31 | with or without the appearance of the affiant. |
32 | (d) "Itemized bill", as referred to in this section, means a completed statement of charges, |
33 | on a form CMS HCFA 1500, UB 92/94 or other form suitable to the insurer, that includes, but is |
34 | not limited to, an enumeration of specific types of care provided; facilities or equipment used; |
| LC003664/SUB A - Page 23 of 79 |
1 | services rendered; and appliances or medicines prescribed, for purposes of identifying the |
2 | treatment given the employee with respect to his or her injury. |
3 | (e)(1) The treating physician shall furnish to the employee, or to his or her legal |
4 | representative, a copy of his or her medical report within ten (10) days of the examination date. |
5 | (2) The treating physician shall notify the employer, and the employee and his or her |
6 | attorney, immediately when an employee is able to return to full or modified work. |
7 | (3) There shall be no charge for a health record when that health record is necessary to |
8 | support any appeal or claim under the Workers' Compensation Act § 23-17-19.1(16). The treating |
9 | physician shall furnish to the employee, or to his or her legal representative, a medical report, |
10 | within ten (10) days of the request, stating the diagnosis, disability, loss of use, end result and/or |
11 | causal relationship of the employee's condition associated with the work related injury. The |
12 | physician shall be entitled to charge for these services only as enunciated in the State of Rhode |
13 | Island workers compensation medical fee schedule. |
14 | (f)(1) Compensation for medical expenses and other services under §§ 28-33-5, 28-33-7, |
15 | or 28-33-8 is due and payable within twenty-one (21) days from the date a request is made for |
16 | payment of these expenses by the provider of the medical services. In the event payment is not |
17 | made within twenty-one (21) days from the date a request is made for payment, the provider of |
18 | medical services may add, and the insurer or self-insurer shall pay, interest at the per annum rate |
19 | as provided in § 9-21-10 on the amount due. The employee or the medical provider may file a |
20 | petition with the administrator of the workers' compensation court which petition shall follow the |
21 | procedure as authorized in chapter 35 of this title. |
22 | (2) The twenty-one day (21) period in subdivision (1) of this subsection and in § 28-35- |
23 | 12 shall begin on the date the insurer receives a request with appropriate documentation required |
24 | to determine whether the claim is compensable and the payment requested is due. |
25 | SECTION 17. Section 30-30.1-1 of the General Laws in Chapter 30-30.1 entitled |
26 | "Educational Benefits for Disabled American Veterans" is hereby amended to read as follows: |
27 | 30-30.1-1. Educational benefits for disabled American veterans. -- Any veteran who |
28 | is a permanent resident of this state who submits proof sufficient to establish a veterans' rated ten |
29 | percent (10%) to one hundred percent (100%) disability by the department of veterans' affairs as a |
30 | result of military service shall be entitled to take courses at any public institution of higher |
31 | education in the state without the payment of tuition, exclusive of other fees and charges; |
32 | provided, however, that any person eligible for financial aid as determined by the institution of |
33 | higher education shall apply for such financial aid. Any financial aid award received by the |
34 | applicant shall be applied towards the full amount of tuition that would otherwise have been |
| LC003664/SUB A - Page 24 of 79 |
1 | charged by the public institution of higher education. Students using the tuition waivers for |
2 | courses and competitive programs shall register at the start of open registration for the applicable |
3 | semester in accordance with each institution's registration policies. This will include includes |
4 | priority registration where granted to students with disability status. Use of this waiver for |
5 | competitive programs does not supersede any existing academic criteria for admission into those |
6 | programs. |
7 | SECTION 18. Section 31-5.1-4 of the General Laws in Chapter 31-5.1 entitled |
8 | "Regulation of Business Practices Among Motor Vehicle Manufacturers, Distributors, and |
9 | Dealers" is hereby amended to read as follows: |
10 | 31-5.1-4. Violations. -- (a) It shall be deemed a violation of this chapter for any |
11 | manufacturer or motor vehicle dealer to engage in any action that is arbitrary, in bad faith, or |
12 | unconscionable and that causes damage to any of the parties involved or to the public. |
13 | (b) It shall be deemed a violation of this chapter for a manufacturer, or officer, agent, or |
14 | other representative of a manufacturer, to coerce, or attempt to coerce, any motor vehicle dealer: |
15 | (1) To order or accept delivery of any motor vehicle or vehicles, equipment, parts, or |
16 | accessories for them, or any other commodity or commodities that the motor vehicle dealer has |
17 | not voluntarily ordered. |
18 | (2) To order or accept delivery of any motor vehicle with special features, accessories, or |
19 | equipment not included in the list price of that motor vehicle as publicly advertised by the |
20 | manufacturer of the vehicle. |
21 | (3) To participate monetarily in an advertising campaign or contest, or to purchase any |
22 | promotional materials, or training materials, showroom, or other display decorations, or materials |
23 | at the expense of the new motor vehicle dealership. |
24 | (4) To enter into any agreement with the manufacturer or to do any other act prejudicial |
25 | to the new motor vehicle dealer by threatening to terminate or cancel a franchise or any |
26 | contractual agreement existing between the dealer and the manufacturer; except that this |
27 | subdivision is not intended to preclude the manufacturer or distributor from insisting on |
28 | compliance with the reasonable terms or provisions of the franchise or other contractual |
29 | agreement. Notice in good faith to any new motor vehicle dealer of the new motor vehicle |
30 | dealer's violation of those terms or provisions shall not constitute a violation of the chapter. |
31 | (5) To refrain from participation in the management of, investment in, or acquisition of |
32 | any other line of new motor vehicle or related products. This subdivision does not apply unless |
33 | the new motor vehicle dealer maintains a reasonable line of credit for each make or line of new |
34 | motor vehicles, the new motor vehicle dealer remains in compliance with any reasonable facilities |
| LC003664/SUB A - Page 25 of 79 |
1 | requirements of the manufacturer; and no change is made in the principal management of the new |
2 | motor vehicle dealer. |
3 | (6) To assent to a release, assignment, novation, waiver, or estoppel in connection with |
4 | the transfer or voluntary termination of a franchise, or that would relieve any person from the |
5 | liability to be imposed by this law; or to require any controversy between a new motor vehicle |
6 | dealer and a manufacturer, distributor, or representative to be referred to any person other than |
7 | the duly constituted courts of this state or of the United States of America, or to the department of |
8 | revenue of this state, if that referral would be binding upon the new motor vehicle dealer. |
9 | (7) To order for any person any parts, accessories, equipment, machinery, tools, or any |
10 | commodities. |
11 | (c) It shall be deemed a violation of this chapter for a manufacturer, or officer, agent, or |
12 | other representative: |
13 | (1) To refuse to deliver in reasonable quantities and within a reasonable time after |
14 | receipt of the dealer's order, to any motor vehicle dealer having a franchise or contractual |
15 | arrangement for the retail sale of new motor vehicles sold or distributed by the manufacturer, any |
16 | motor vehicles covered by the franchise or contract, specifically publicly advertised by the |
17 | manufacturer to be available for immediate delivery. However, the failure to deliver any motor |
18 | vehicle shall not be considered a violation of this chapter if that failure is due to an act of God, |
19 | work stoppage, or delay due to a strike or labor difficulty, shortage of materials, a freight |
20 | embargo, or other cause over which the manufacturer, distributor, or wholesaler, its agent, shall |
21 | have no control. |
22 | (2) To refuse to deliver, or otherwise deny, to any motor vehicle dealer having a |
23 | franchise or contractual arrangement for the retail sale of new motor vehicles sold or distributed |
24 | by the manufacturer any particular new motor vehicle model made or distributed by the |
25 | manufacturer under the name of the division of the manufacturer of which the dealer is an |
26 | authorized franchise. |
27 | (3) It shall be deemed a prima facie violation of this chapter for any automotive vehicle |
28 | division manufacturer to require any separate franchise or contractual arrangement with any new |
29 | motor vehicle dealer already a party to a franchise or contractual arrangement with that |
30 | automotive vehicle division for the retail sale of any particular new motor vehicle model made or |
31 | distributed by that division. |
32 | (4) To coerce, or attempt to coerce, any motor vehicle dealer to enter into any agreement |
33 | with the manufacturer, or their officers, agents, or other representatives, or to do any other act |
34 | prejudicial to the dealer, by threatening to cancel any franchise or any contractual agreement |
| LC003664/SUB A - Page 26 of 79 |
1 | existing between the manufacturer and the dealer. Notice in good faith to any motor vehicle |
2 | dealer of the dealer's violation of any terms or provisions of the franchise or contractual |
3 | agreement shall not constitute a violation of this chapter. |
4 | (5) To resort to or use any false or misleading advertisement in connection with his or |
5 | her business as a manufacturer, an officer, agent, or other representative. |
6 | (6) To sell or lease any new motor vehicle to, or through, any new motor vehicle dealer |
7 | at a lower actual price therefore than the actual price offered to any other new motor vehicle |
8 | dealer for the same model vehicle similarly equipped or to utilize any device, including, but not |
9 | limited to, sales promotion plans or programs, that result in a lesser actual price. The provisions |
10 | of this paragraph shall not apply to sales to a new motor vehicle dealer for resale to any unit of |
11 | the United States government or to the state or any of its political subdivisions. A manufacturer |
12 | may not reduce the price of a motor vehicle charged to a dealer or provide different financing |
13 | terms to a dealer in exchange for the dealer's agreement to: |
14 | (i) Maintain an exclusive sales or service facility; |
15 | (ii) Build or alter a sales or service facility; or |
16 | (iii) Participate in a floor plan or other financing. |
17 | (7) To sell or lease any new motor vehicle to any person, except a manufacturer's |
18 | employee, at a lower actual price than the actual price offered and charged to a new motor vehicle |
19 | dealer for the same model vehicle similarly equipped or to utilize any device which results in a |
20 | lesser actual price. The provisions of this paragraph shall not apply to sales to a new motor |
21 | vehicle dealer for resale to any unit of the United States government, or to the state or any of its |
22 | political subdivisions. |
23 | (8) To offer in connection with the sale of any new motor vehicle or vehicles, directly or |
24 | indirectly, to a fleet purchaser, within or without this state, terms, discounts, refunds, or other |
25 | similar types of inducements to that purchaser without making the same offer or offers available |
26 | to all of its new motor vehicles dealers in this state. No manufacturer may impose or enforce any |
27 | restrictions against new motor vehicle dealers in this state or their leasing, rental, or fleet |
28 | divisions or subsidiaries that are not imposed or enforced against any other direct or indirect |
29 | purchaser from the manufacturer. The provisions of this paragraph shall not apply to sales to a |
30 | new motor vehicle dealer for resale to any unit of the United States government, or to the state or |
31 | any of its political subdivisions. |
32 | (9) To use or consider the performance of a motor vehicle dealer relating to the sale of |
33 | the manufacturer's vehicles or the motor vehicle dealer's ability to satisfy any minimum sales or |
34 | market share quota or responsibility relating to the sale of the manufacturer's new vehicles in |
| LC003664/SUB A - Page 27 of 79 |
1 | determining: |
2 | (i) The motor vehicle dealer's eligibility to purchase program, certified, or other used |
3 | motor vehicles from the manufacturer; |
4 | (ii) The volume, type, or model of program, certified, or other used motor vehicles that a |
5 | motor vehicle dealer is eligible to purchase from the manufacturer; |
6 | (iii) The price of any program, certified, or other used motor vehicle that the dealer is |
7 | eligible to purchase from the manufacturer; or |
8 | (iv) The availability or amount of any discount, credit, rebate, or sales incentive that the |
9 | dealer is eligible to receive from the manufacturer for the purchase of any program, certified, or |
10 | other used motor vehicle offered for sale by the manufacturer. |
11 | (10) To offer to sell or to sell parts or accessories to any new motor vehicle dealer for |
12 | use in the dealer's own business for the purpose of repairing or replacing the same parts or |
13 | accessories or a comparable part or accessory, at a lower actual price than the actual price |
14 | charged to any other new motor vehicle dealer for similar parts or accessories to use in the |
15 | dealer's own business. In those cases where new motor vehicle dealers operate or serve as |
16 | wholesalers of parts and accessories to retail outlets, these provisions shall be construed to |
17 | prevent a manufacturer, or its agents, from selling to a new motor vehicle dealer who operates |
18 | and services as a wholesaler of parts and accessories, any parts and accessories that may be |
19 | ordered by that new motor vehicle dealer for resale to retail outlets at a lower actual price than the |
20 | actual price charged a new motor vehicle dealer who does not operate or serve as a wholesaler of |
21 | parts and accessories. |
22 | (11) To prevent, or attempt to prevent, by contract or otherwise, any new motor vehicle |
23 | dealer from changing the capital structure of his or her dealership or the means by which, or |
24 | through which the dealer finances the operation of his or her dealership. However, the new motor |
25 | vehicle dealer shall at all times meet any reasonable capital standards agreed to between the |
26 | dealership and the manufacturer, provided that any change in the capital structure by the new |
27 | motor vehicle dealer does not result in a change in the executive management control of the |
28 | dealership. |
29 | (12) To prevent, or attempt to prevent, by contract or otherwise, any new motor vehicle |
30 | dealer, or any officer, partner, or stockholder of any new motor vehicle dealer, from selling or |
31 | transferring any part of the interest of any of them to any other person or persons or party or |
32 | parties. Provided, however, that no dealer, officer, partner, or stockholder shall have the right to |
33 | sell, transfer, or assign the franchise or power of management or control without the consent of |
34 | the manufacturer, except that the consent shall not be unreasonably withheld. |
| LC003664/SUB A - Page 28 of 79 |
1 | (13) To obtain money, goods, services, anything of value, or any other benefit from any |
2 | other person with whom the new motor vehicle dealer does business, on account of, or in relation |
3 | to, the transactions between the dealer and that other person, unless that benefit is promptly |
4 | accounted for and transmitted to the new motor vehicle dealer. |
5 | (14) To compete with a new motor vehicle dealer operating under an agreement or |
6 | franchise from the manufacturer in the state of Rhode Island, through the ownership, operation, or |
7 | control of any new motor vehicle dealers in this state, or by participation in the ownership, |
8 | operation, or control of any new motor vehicle dealer in this state. A manufacturer shall not be |
9 | deemed to be competing when operating, controlling, or owning a dealership, either temporarily |
10 | for a reasonable period, but in any case not to exceed one year, which one-year (1) period may be |
11 | extended for a one-time, additional period of up to six (6) months upon application to, and |
12 | approval by, the motor vehicle dealers license and hearing board, which approval shall be subject |
13 | to the manufacturer demonstrating the need for this extension, and with other new motor vehicle |
14 | dealers of the same line making or make being given notice and an opportunity to be heard in |
15 | connection with said application, or in a bona fide relationship in which an independent person |
16 | had made a significant investment subject to loss in the dealership and can reasonably expect to |
17 | acquire full ownership of the dealership on reasonable terms and conditions within a reasonable |
18 | period of time. |
19 | (15) To refuse to disclose to any new motor vehicle dealer, handling the same line or |
20 | make, the manner and mode of distribution of that line or make within the relevant market area. |
21 | (16) To increase prices of new motor vehicles that the new motor vehicle dealer had |
22 | ordered for private retail consumers prior to the new motor vehicle dealer's receipt of the written, |
23 | official price increase notification. A sales contract signed by a private retail consumer shall |
24 | constitute evidence of an order, provided that the vehicle is in fact delivered to that customer. In |
25 | the event of manufacturer price reductions or cash rebates paid to the new motor vehicle dealer, |
26 | the amount of any reduction or rebate received by a new motor vehicle dealer shall be passed on |
27 | to the private retail consumer by the new motor vehicle dealer. Price reductions shall apply to all |
28 | vehicles in the dealer's inventory that were subject to the price reduction. Price differences |
29 | applicable to new model or series motor vehicles at the time of the introduction of new models or |
30 | series shall not be considered a price increase or price decrease. Price changes caused by either: |
31 | (i) The addition to a motor vehicle of required or optional equipment; (ii) Revaluation of the |
32 | United States dollar, in the case of foreign-make vehicles or components; or (iii) An increase in |
33 | transportation charges due to increased rates imposed by common carriers, shall not be subject to |
34 | the provisions of this subdivision. |
| LC003664/SUB A - Page 29 of 79 |
1 | (17) To release to any outside party, except under subpoena or as otherwise required by |
2 | law, or in an administrative, judicial, or arbitration proceeding involving the manufacturer or new |
3 | motor vehicle dealer, any business, financial, or personal information that may be, from time to |
4 | time, provided by the new motor vehicle dealer to the manufacturer, without the express written |
5 | consent of the new motor vehicle dealer. |
6 | (18) To unfairly discriminate among its new motor vehicle dealers with respect to |
7 | warranty reimbursement, or any program that provides assistance to its dealers, including internet |
8 | listings; sales leads; warranty policy adjustments; marketing programs; and dealer recognition |
9 | programs. |
10 | (19) To unreasonably withhold consent to the sale, transfer, or exchange of the franchise |
11 | to a qualified buyer capable of being licensed as a new motor vehicle dealer in this state. |
12 | (20) To fail to respond, in writing, to a request for consent as specified in subdivision |
13 | (19) of this subsection within sixty (60) days of the receipt of a written request on the forms, if |
14 | any, generally utilized by the manufacturer or distributor for those purposes and containing the |
15 | information required therein. The failure to respond shall be deemed to be a consent to the |
16 | request. A manufacturer may not impose a condition on the approval of a sale, transfer, or |
17 | exchange of the franchise if the condition would violate the provisions of this chapter if imposed |
18 | on an existing dealer. |
19 | (21) To unfairly prevent a new motor vehicle dealer from receiving fair and reasonable |
20 | compensation for the value of the new motor vehicle dealership. |
21 | (22) To require that a new motor vehicle dealer execute a written franchise agreement |
22 | that does not contain substantially the same provisions as the franchise agreement being offered |
23 | to other new motor vehicle dealers handling the same line or make. In no instance shall the term |
24 | of any franchise agreement be of a duration of less than three (3) years. |
25 | (23) To require that a new motor vehicle dealer provide exclusive facilities, personnel, or |
26 | display space taking into consideration changing market conditions, or that a dealer execute a site |
27 | control agreement giving a manufacturer control over the dealer's facilities. |
28 | (24) To require that a dealer expand facilities without a guarantee of a sufficient supply |
29 | of new motor vehicles to justify that expansion or to require that a dealer expand facilities to a |
30 | greater degree than is necessary to sell and service the number of vehicles that the dealer sold and |
31 | serviced in the most recent calendar year. |
32 | (25) To prevent a dealer from adjusting his or her facilities to permit a relocation of |
33 | office space, showroom space, and service facilities so long as the relocation is within five |
34 | hundred (500) yards of the present location. |
| LC003664/SUB A - Page 30 of 79 |
1 | (26) To engage in any predatory practice against a new motor vehicle dealer. |
2 | (27) To prevent, prohibit, or coerce any new motor vehicle dealer from charging any |
3 | consumer any fee allowed to be charged by the dealer under Rhode Island law or regulation |
4 | except as related to eligible participants under a military discount program in which the dealer |
5 | voluntarily participates and receives financial compensation from the manufacturer or distributor, |
6 | to the extent that such a program is not offered to the general public. |
7 | (d) It shall be a violation of this chapter for a manufacturer to terminate, cancel, or fail to |
8 | renew the franchise of a new motor vehicle dealer except as provided in this subsection: |
9 | (1) Notwithstanding the terms, provisions, or conditions of any franchise, whether |
10 | entered into before or after the enactment of this chapter or any of its provisions, or |
11 | notwithstanding the terms or provisions of any waiver, whether entered into before or after the |
12 | enactment of this chapter or any of its provisions, no manufacturer shall cancel, terminate, or fail |
13 | to renew any franchise with a licensed new motor vehicle dealer unless the manufacturer has: |
14 | (i) Satisfied the notice requirement of this subsection; |
15 | (ii) Has good cause for the cancellation, termination, or nonrenewal; |
16 | (iii) Has not committed any violations set forth in subsection (b) of this section; and |
17 | (iv) Has acted in good faith as defined in this chapter and has complied with all |
18 | provisions of this chapter. |
19 | (2) Notwithstanding the terms, provisions, or conditions of any franchise or the terms or |
20 | provisions of any waiver, good cause shall exist for the purposes of a termination, cancellation, or |
21 | nonrenewal when: |
22 | (i) There is a failure by the new motor vehicle dealer to comply with a provision of the |
23 | franchise, which provision is both reasonable and of material significance to the franchise |
24 | relationship, provided that the dealer has been notified, in writing, of the failure within one |
25 | hundred eighty (180) days after the manufacturer first acquired knowledge of that failure; |
26 | (ii) If the failure by the new motor vehicle dealer, as provided in paragraph (i) of this |
27 | subdivision, relates to the performance of the new motor vehicle dealer in sales or service, then |
28 | good cause shall be defined as the failure of the new motor vehicle dealer to comply with |
29 | reasonable performance criteria established by the manufacturer if the new motor vehicle dealer |
30 | was apprised by the manufacturer, in writing, of that failure; and: |
31 | (A) The notification stated that notice was provided of failure of performance pursuant to |
32 | paragraph (i) of this subdivision; |
33 | (B) The new motor vehicle dealer was afforded a reasonable opportunity, for a period of |
34 | not less than six (6) months, to comply with those criteria; and |
| LC003664/SUB A - Page 31 of 79 |
1 | (C) The new motor vehicle dealer did not demonstrate substantial progress towards |
2 | compliance with the manufacturer's performance criteria during that period. |
3 | (3) The manufacturer shall have the burden of proof for showing that the notice |
4 | requirements have been complied with; that there was good cause for the franchise termination; |
5 | cancellation or nonrenewal; and that the manufacturer has acted in good faith. |
6 | (i) Notwithstanding the terms, provisions, or conditions of any franchise, prior to the |
7 | termination, cancellation, or nonrenewal of any franchise, the manufacturer shall furnish |
8 | notification of the termination, cancellation, or nonrenewal to the new motor vehicle dealer as |
9 | follows: |
10 | (A) In the manner described in paragraph (ii) of this subdivision; and |
11 | (B) Not fewer than ninety (90) days prior to the effective date of the termination, |
12 | cancellation, or nonrenewal; or |
13 | (C) Not fewer than fifteen (15) days prior to the effective date of the termination, |
14 | cancellation, or nonrenewal for any of the following reasons: |
15 | (I) Insolvency of the new motor vehicle dealer, or the filing of any petition by, or |
16 | against, the new motor vehicle dealer under any bankruptcy or receivership law; |
17 | (II) Failure of the new motor vehicle dealer to conduct his customary sales and service |
18 | operations during his or her customary business hours for seven (7) consecutive business days; |
19 | (III) Final conviction of the new motor vehicle dealer, or any owner or operator of the |
20 | dealership, of a crime which is associated with or related to, the operation of the dealership; |
21 | (IV) Revocation of any license that the new motor vehicle dealer is required to have to |
22 | operate a dealership; or |
23 | (D) Not fewer than one hundred eighty (180) days prior to the effective date of the |
24 | termination or cancellation where the manufacturer or distributor is discontinuing the sale of the |
25 | product line. |
26 | (ii) Notification under this subsection shall be in writing, shall be by certified mail or |
27 | personally delivered to the new motor vehicle dealer, and shall contain: |
28 | (A) A statement of intention to terminate, cancel, or not to renew the franchise; |
29 | (B) A statement of the reasons for the termination, cancellation, or nonrenewal; and |
30 | (C) The date on which the termination, cancellation, or nonrenewal shall take effect. |
31 | (iii) Upon the involuntary or voluntary termination, nonrenewal, or cancellation of any |
32 | franchise, by either the manufacturer or the new motor vehicle dealer, notwithstanding the terms |
33 | of any franchise whether entered into before or after the enactment of this chapter or any of its |
34 | provisions, the new motor vehicle dealer shall be allowed fair and reasonable compensation by |
| LC003664/SUB A - Page 32 of 79 |
1 | the manufacturer for the following: |
2 | (A) The new motor vehicle dealer's cost, less allowances paid by the manufacturer, of |
3 | each new, undamaged, unsold, and unaltered, except for dealer-installed, manufacturer-authorized |
4 | accessories, motor vehicle, regardless of model year purchased from the manufacturer or another |
5 | dealer of the same line-make or make in the ordinary course of business within twenty-four (24) |
6 | months of termination, having five hundred (500) or fewer miles recorded on the odometer that is |
7 | in the new motor vehicle dealer's inventory at the time of termination, nonrenewal, or |
8 | cancellation. |
9 | (B) The new motor vehicle dealer's cost of each new, unused, undamaged, and unsold |
10 | part or accessory that is in the current parts catalogue, or is identical to a part or accessory in the |
11 | current parts catalogue except for the number assigned to the part or accessory due to a change in |
12 | the number after the purchase of the part or accessory, and that is still in the original, resalable |
13 | merchandising package and in an unbroken lot, except that, in the case of sheet metal, a |
14 | comparable substitute for the original package may be used. |
15 | (C) The fair market value of each undamaged sign, normal wear and tear excepted, |
16 | owned by the dealer that bears a trademark or trade name used or claimed by the manufacturer |
17 | that was purchased as a requirement of the manufacturer. |
18 | (D) The fair market value of all special tools, and automotive services equipment owned |
19 | by the dealer that: (I) Were recommended in writing and designated as special tools and |
20 | equipment; (II) Were purchased as a requirement of the manufacturer; and (III) Are in usable and |
21 | good condition except for reasonable wear and tear. |
22 | (E) The cost of transporting, handling, packing, storing, and loading any property that is |
23 | subject to repurchase under this section. |
24 | (F) The payments above are due within sixty (60) days from the date the dealer submits |
25 | an accounting to the manufacturer of the vehicle inventory subject to repurchase, and for other |
26 | items within sixty (60) days from the date the dealer submits an accounting of the other items |
27 | subject to repurchase, provided, the new motor vehicle dealer has clear title (or will have clear |
28 | title upon using the repurchase funds to obtain clear title) to the inventory and other items and is |
29 | in a position to convey that title to the manufacturer. If the inventory or other items are subject to |
30 | a security interest, the manufacturer, wholesaler, or franchisor may make payment jointly to the |
31 | dealer and the holder of the security interest. In no event shall the payments be made later than |
32 | ninety (90) days of the effective date of the termination, cancellation, or nonrenewal. |
33 | (iv) In the event the termination, cancellation, or nonrenewal is involuntary and not |
34 | pursuant to subsection (3)(i)(C) of this section and: |
| LC003664/SUB A - Page 33 of 79 |
1 | (A) The new motor vehicle dealer is leasing the dealership facilities from a lessor other |
2 | than the manufacturer, the manufacturer shall pay the new motor vehicle dealer a sum equivalent |
3 | to the rent for the unexpired term of the lease or (2) two year's rent, whichever is less; or |
4 | (B) If the new motor vehicle dealer owns the facilities, the manufacturer shall pay the |
5 | new motor vehicle dealer a sum equivalent to the reasonable rental value of the facilities for two |
6 | (2) years; if: |
7 | (I) The new motor vehicle dealer is unable to reasonably utilize the facilities for another |
8 | purpose; |
9 | (II) The new motor vehicle dealer, or the manufacturer acting as its agent, is unable to |
10 | make arrangements for the cancellation or assumption of its lease obligations by another party in |
11 | the case of leased facilities, or is unable to sell dealer-owned facilities; and |
12 | (III) Only to the extent those facilities were required as a condition of the franchise and |
13 | used to conduct sales and service operations related to the franchise product. |
14 | (v) In addition to any injunctive relief and any other damages allowable by this chapter, |
15 | if the manufacturer is discontinuing the product line or fails to prove that there was good cause |
16 | for the termination, cancellation, or nonrenewal, or if the manufacturer fails to prove that the |
17 | manufacturer acted in good faith, then the manufacturer shall pay the new motor vehicle dealer |
18 | fair and reasonable compensation for the value of the dealership as an ongoing business. |
19 | In addition to the other compensation described in paragraphs (iii) and (iv) above and in |
20 | this section, the manufacturer shall also reimburse the dealer for any costs incurred for facility |
21 | upgrades or alterations required by the manufacturer within two (2) years of the effective date of |
22 | the termination. |
23 | (vi) If a manufacturer is discontinuing the product line and thus, as a result a franchise |
24 | for the sale of motor vehicles is subject to termination, cancellation, or nonrenewal, the |
25 | manufacturer shall: |
26 | (A) Authorize the dealer, at the dealer's option, that remains a franchised dealer of the |
27 | manufacturer regardless of the discontinuation of a product line, to continue servicing and |
28 | supplying parts (without prejudice to the right of the manufacturer to also authorize other |
29 | franchised dealers to provide service and parts for a discontinued product line), including services |
30 | and parts pursuant to a warranty issued by the manufacturer for any goods or services marketed |
31 | by the dealer pursuant to the motor vehicle franchise for a period of not less than five (5) years |
32 | from the effective date of the termination, cancellation, or nonrenewal; |
33 | (B) Continue to reimburse the dealer that remains a franchised dealer of the |
34 | manufacturer regardless of the discontinuation of a product line or another franchised dealer of |
| LC003664/SUB A - Page 34 of 79 |
1 | the manufacturer in the area for warranty parts and service in an amount, and on terms not less |
2 | favorable than, those in effect prior to the termination, cancellation, or nonrenewal; |
3 | (C) The manufacturer shall continue to supply the dealer that remains a franchised dealer |
4 | of the manufacturer regardless of the discontinuation of a product line or another franchised |
5 | dealer of the manufacturer in the area with replacement parts for any goods or services marketed |
6 | by the dealer pursuant to the franchise agreement for a period of not less than five (5) years from |
7 | the effective date of the termination, cancellation, or nonrenewal, at a price, and on terms not less |
8 | favorable than, those in effect prior to the termination, cancellation, or nonrenewal; |
9 | (vii) The requirements of this section do not apply to a termination, cancellation, or |
10 | nonrenewal due to the sale of the assets or stock of the motor vehicle dealer. |
11 | (D) To be entitled to facilities assistance from the manufacturer as described above, the |
12 | dealer shall have the obligation to mitigate damages by listing the dealership facilities for lease or |
13 | sublease with a licensed real estate agent within thirty (30) days after the effective date of the |
14 | termination of the franchise and thereafter be reasonably cooperating with such real estate agent |
15 | in the performance of the agent's duties and responsibilities. If the dealer is able to lease or |
16 | sublease the dealership facilities on terms that are consistent with local zoning requirements to |
17 | preserve the right to sell motor vehicles from the dealership facilities and the terms of the dealer's |
18 | lease, the dealer shall be obligated to pay the manufacturer the net revenue received from such |
19 | mitigation, but only following receipt of facilities assistance payments pursuant to this chapter, |
20 | and only up to the total amount of facilities assistance payments that the dealer has received. |
21 | (e) It shall be deemed a violation of this chapter for a motor vehicle dealer: |
22 | (1) To require a purchaser of a new motor vehicle, as a condition of the sale and delivery |
23 | thereof, to also purchase special features, equipment, parts, or accessories not desired or |
24 | requested by the purchaser. This prohibition shall not apply as to special features, equipment, |
25 | parts, or accessories that are already installed on the car before sale by the dealer. |
26 | (2) To represent and sell as a new motor vehicle any motor vehicle that is a used motor |
27 | vehicle. |
28 | (3) To resort to or use any false or misleading advertisement in connection with his or |
29 | her business as a motor vehicle dealer. |
30 | (4) To engage in any deception or fraudulent practice in the repair of motor vehicles. |
31 | SECTION 19. Section 31-44-3 of the General Laws in Chapter 31-44 entitled "Mobile |
32 | and Manufactured Homes" is hereby amended to read as follows: |
33 | 31-44-3. Rules and regulations. -- The following requirements and restrictions shall |
34 | apply to all mobile and manufactured home parks: |
| LC003664/SUB A - Page 35 of 79 |
1 | (1) A mobile and manufactured home park licensee shall promulgate reasonable rules |
2 | and regulations that shall specify standards for mobile and manufactured homes in the park, entry |
3 | requirements, and rules governing the rental or occupancy of a mobile- and manufactured-home |
4 | lot and mobile and manufactured-home park; |
5 | (2) Current rules and regulations promulgated by a mobile- and manufactured-home park |
6 | licensee shall be delivered by the licensee to a prospective resident prior to entering into a rental |
7 | agreement, and to the resident(s) as soon as promulgated and whenever revised. A copy of the |
8 | rules and regulations shall be filed with the director and posted in a conspicuous place in the |
9 | mobile-and manufactured-home park; |
10 | (3) Any rule or change in rent that does not apply uniformly to all mobile and |
11 | manufactured home residents of a similar class shall create a rebuttable presumption that the rule |
12 | or change in rent is unreasonable; |
13 | (4) (i) A mobile- and manufactured-home park licensee shall not impose any conditions |
14 | of rental or occupancy that restricts the mobile and manufactured home owner in his or her choice |
15 | of a seller of fuel, furnishings, goods, services, accessories, or other utilities connected with the |
16 | rental or occupancy of a mobile- and manufactured-home lot.; |
17 | (ii) The licensee who purchases electricity or gas (natural, manufactured, or similar |
18 | gaseous substance) from any public utility or municipally owned utility or who purchases water |
19 | from a water system for the purpose of supplying or reselling the electricity or gas to any other |
20 | person to whom he leases, lets, rents, subleases, sublets, or subrents the premises upon which the |
21 | electricity, gas, or water is to be used, shall not charge, demand, or receive directly or indirectly, |
22 | any amount for the resale of any electricity, gas, or water greater than that amount charged by the |
23 | public utility or municipally owned utility from which the electricity, or gas, or water was |
24 | purchased or by the public water system from which the water was purchased.; |
25 | (iii) However, if the licensee incurs costs in bringing the utility service to individual |
26 | units, or in utilizing individual meters, or in some similar cost, the licensee will be entitled to a |
27 | return for the investment.; |
28 | (iv) The park operator shall post in a conspicuous place the prevailing utility rate |
29 | schedule as published by the serving utility; |
30 | (5) If any mobile- and manufactured-home park licensee adds, changes, deletes, or |
31 | amends any rule governing the rental or occupancy of a mobile- and manufactured-home lot in a |
32 | mobile- and manufactured-home park, a new copy of all those rules shall be furnished to all |
33 | mobile- and manufactured-home residents in the park, and filed with the department for its |
34 | review, recommendations, and recording for future reference at least forty-five (45) days prior to |
| LC003664/SUB A - Page 36 of 79 |
1 | the effective date of the addition, change, deletion, or amendment. The new copy furnished to the |
2 | resident shall be signed by both the mobile- and manufactured-home park owner and the mobile- |
3 | and manufactured-home park resident. Any mobile park resident who believes the rule change is |
4 | in violation of the chapter, may file a complaint with the director in accordance with § 31-44-17. |
5 | The complaint shall be filed within twenty (20) days of receipt of written notice of the change. |
6 | The complaint shall specify the rule in dispute and contain the basis by which the change violates |
7 | this chapter.; |
8 | (6) If any mobile- and manufactured-home park licensee changes the rent or fees |
9 | associated with a mobile- and manufactured-home lot, notice of the change shall be given to the |
10 | mobile- and manufactured-home resident at least sixty (60) days prior to the effective date of the |
11 | change. Any mobile park resident who believes that the rule change is in violation of this chapter, |
12 | may file a complaint with the director in accordance with § 31-44-17. The complaint shall be |
13 | filed within twenty (20) days after receipt of written notice of the change. The complaint shall |
14 | specify the basis by which the change violates this chapter.; |
15 | (7) The owners of individual mobile and manufactured homes shall be entitled to have as |
16 | many occupants in their homes as is consistent with the number of bedrooms and/or bed spaces |
17 | certified by the manufacturer; provided that the occupancy does not violate any provision of the |
18 | general laws or other municipal regulations. All bedrooms shall consist of a minimum of fifty |
19 | (50) square feet of floor area and bedrooms designed and certified for two (2) or more people |
20 | shall consist of seventy (70) square feet of floor area plus fifty (50) square feet for each person in |
21 | excess of two (2). If there is sufficient bed space, according to the criteria set forth in this |
22 | subdivision, additional rent or charges may not be imposed by a park owner or manager for any |
23 | person or persons moving in with current resident owners of a mobile and manufactured home; |
24 | (8) A prospective resident shall not be charged an entrance fee for the privilege of |
25 | leasing or occupying a mobile- and manufactured-home lot, except as provided in § 31-44-4; |
26 | provided, that when a mobile and manufactured home is transported onto the mobile- and |
27 | manufactured-home park, an entrance fee may be charged. However, if the park owner received a |
28 | commission for the sale of the mobile and manufactured home, no entrance fee shall be charged. |
29 | A reasonable charge for the fair value of the owner's cost in obtaining, preparing, and maintaining |
30 | a lot, or for the fair value of services performed in placing a mobile and manufactured home on a |
31 | lot, shall not be considered an entrance fee, but shall be deemed a hook-up fee or maintenance fee |
32 | and shall be detailed in the fee schedule. No tenant, or person seeking space in a mobile- and |
33 | manufactured-housing park, shall be required to purchase manufactured housing from any |
34 | particular person unless the person designated is the park owner or operator and the requirement |
| LC003664/SUB A - Page 37 of 79 |
1 | is imposed only in connection with the initial leasing or renting of a newly-constructed lot or |
2 | space not previously leased or rented to any other person. A resident may remove and replace a |
3 | mobile and manufactured home; provided, that the resident shall install the mobile and |
4 | manufactured home in accordance with present park standards regarding structural requirements |
5 | and aesthetic maintenance in the mobile- and manufactured-home park where the replacement |
6 | occurs, and in accordance with minimum standards for mobile and manufactured homes |
7 | established by the United States Department of Housing and Urban Development. No fee shall be |
8 | charged by the licensee to residents as a result of the resident's installation of cable television; |
9 | (9) Prior to signing a lease, a licensee shall dispose disclose, in writing, to the |
10 | prospective resident: |
11 | (i) The rental for the space or lot; and |
12 | (ii) Any charges, including service charges, imposed by the licensee. The licensee shall |
13 | dispose disclose the rent and charges that were in effect during the three (3) preceding years, or |
14 | the period during which the licensee has operated the mobile home park, whichever is shorter; |
15 | (10) A copy of the fee schedule shall be filed with the commission and posted in a |
16 | conspicuous place in the mobile- and manufactured-home park; and |
17 | (11) (i) A resident shall not be charged a fee for keeping a pet in a mobile- and |
18 | manufactured-home park unless the park owner or management actually provides special |
19 | facilities or services for pets. If special pet facilities are maintained by the park owner or |
20 | management, the fee charged shall reasonably relate to the cost of maintenance of the facilities or |
21 | services and the number of pets kept in the park.; |
22 | (ii) If the park owner or management of a mobile- and manufactured-home park |
23 | implements a rule or regulation prohibiting residents from keeping pets in the park, the new rule |
24 | or regulation shall not apply to prohibit the residents from continuing to keep the pets currently in |
25 | the park if the pet otherwise conforms with the previous park rules or regulations relating to pets. |
26 | However, if the pet dies, the resident shall have the right to replace the pet.; |
27 | (iii) Any rule or regulation prohibiting residents from keeping pets in a mobile- and |
28 | manufactured-home park shall not apply to guide, signal, or service animals.; |
29 | (12) Any board or commission vested with governing powers over a mobile- or |
30 | manufactured-home community, including resident-owned and nonresident-owned mobile home |
31 | park resident associations, shall establish and/or adhere to fair and impartial written guidelines |
32 | and bylaws for conducting elections that have been provided to all residents of the mobile home |
33 | park at least forty-five (45) days prior to any election. The written guidelines and bylaws shall |
34 | ensure transparency in the election process with reasonable and meaningful notice to, and |
| LC003664/SUB A - Page 38 of 79 |
1 | participation of, all residents. The department is authorized to promulgate rules and regulations |
2 | necessary to implement this subsection. |
3 | SECTION 20. Section 31-44.2-8 of the General Laws in Chapter 31-44.2 entitled |
4 | "Abandoned Mobile and Manufactured Home Act" is hereby amended to read as follows: |
5 | 31-44.2-8. Notices and complaint forms. -- (a) A notice in substantially the following |
6 | language shall suffice for the purpose of giving an owner notice of removal of an abandoned |
7 | mobile or manufactured home pursuant to chapter 44.2 of title 31: |
8 | THIRTY-DAY NOTICE FOR REMOVAL OF MOBILE OR MANUFACTURED HOME |
9 | Date of Notice: __________________ You are notified that a certain mobile or manufactured |
10 | home (describe mobile home in terms of size, color, make, and model, if known) located at (give |
11 | address or describe location) meets the definition of an abandoned mobile or manufactured home |
12 | within the meaning of the "Abandoned Mobile or Manufactured Home Act" pursuant to chapter |
13 | 44.2 of title 31. Unless all delinquent taxes (including penalty and interest) are paid, and electric, |
14 | water, and waste service are restored to this mobile or manufactured home within thirty (30) days |
15 | of the date of this notice, the plaintiff shall remove and dispose of the mobile or manufactured |
16 | home, and it shall be disposed of or sold at public auction free and clear of any existing liens. |
17 | ________________________________________ Signature of plaintiff |
18 | I certify that I placed in regular U.S. mail first class postage prepaid, a copy of this notice |
19 | addressed to the plaintiff defendant on the _______________ day of __________ 20________. |
20 | (b) A complaint in substantially the following language shall suffice for the purpose of |
21 | commencing removal of an abandoned mobile or manufactured home pursuant to chapter 44.2 of |
22 | title 31: |
23 | State of Rhode Island and Providence Plantations , Sc. DISTRICT COURT |
24 | ____________________________________________________________ DIVISION |
25 | PLAINTIFF DEFENDANT |
26 | (Landowner/Licensee/Municipality Name) V (Mobile or Manufactured Homeowner Name) |
27 | ________________________________________ |
28 | ________________________________________ |
29 | ________________________________________ |
30 | (Address) (Address of premises on which abandoned mobile or manufactured home is located) |
31 | COMPLAINT FOR REMOVAL OF ABANDONED MOBILE OR MANUFACTURED HOME |
32 | chapter 44.2 of title 31. |
33 | (1) Plaintiff is the landowner/licensee/municipality in which defendant's/owner's mobile or |
34 | manufactured home is situated. |
| LC003664/SUB A - Page 39 of 79 |
1 | (2) The mobile or manufactured home meets the definition of abandoned mobile or manufacturer |
2 | home as set forth in § 31-44.2-2(4) 31-44.2-2(3) in the following manner. |
3 | CHECK ONE OR ALL THAT APPLY |
4 | Defendant's mobile or manufactured home is: |
5 | ________ Not connected to electricity or not connected to a source of safe potable water supply |
6 | sufficient for normal residential needs, or both; or |
7 | ________ Not connected to an adequate wastewater disposal system; or |
8 | ________ Unoccupied for a period of at least one hundred twenty (120) days and for which there |
9 | is clear and convincing evidence that the occupant does not intend to return; or |
10 | ________ So damaged, decayed, dilapidated, unsanitary, unsafe or vermin infested that it creates |
11 | a hazard to the health and safety of the occupants or the public. |
12 | (3) Plaintiff seeks judgment for removal of defendant's mobile or manufactured home. If you do |
13 | not remedy this situation within thirty (30) days your mobile or manufactured home will be |
14 | removed without further notice on ____________ (date), which must not be less than thirty-one |
15 | (31) days from the date of mailing this notice. Plaintiff seeks costs and fees (if applicable). |
16 | __________________________________________________ |
17 | Signature of landowner/licensee/municipality |
18 | I certify that I placed in regular U.S. mail first class postage prepaid, a copy of this notice, |
19 | addressed to defendant on the ______________ day of____________ 20________. |
20 | __________________________________________________ |
21 | Signature of landowner/licensee/municipality |
22 | SECTION 21 Section 34-18.2-6 of the General Laws in Chapter 34-18.2 entitled "Leased |
23 | Land Dwellings" is hereby amended to read as follows: |
24 | 34-18.2-6. Leased land exempt. -- The provisions of §§ 34-18-2.4 and 34-18-2.5 of this |
25 | chapter shall not apply to any landowner who holds a recreation facility license under chapter 21 |
26 | of title 23, or a trailer park or campground license issued by the municipality in which it is |
27 | located on or leased land which that is leased to at least ninety percent (90%) of the homeowners |
28 | on a seasonal basis. |
29 | SECTION 22. Section 34-25.2-6 of the General Laws in Chapter 34-25.2 entitled "Rhode |
30 | Island Home Loan Protection Act" is hereby amended to read as follows: |
31 | 34-25.2-6. Limitations and prohibited practices regarding high-cost home loans. -- A |
32 | high-cost home loan shall be subject to the following additional limitations and prohibited |
33 | practices: |
34 | (a) In connection with a high-cost home loan, no creditor shall directly or indirectly |
| LC003664/SUB A - Page 40 of 79 |
1 | finance any points or fees which total is greater than five percent (5%) of or the total loan amount |
2 | of eight hundred dollars ($800) whichever is greater. |
3 | (b) No prepayment fees or penalties shall be included in the loan documents for a high- |
4 | cost home loan. |
5 | (c) No high-cost home loan may contain a scheduled payment that is more than twice as |
6 | large as the average of earlier scheduled payments. This provision does not apply when the |
7 | payment schedule is adjusted to the seasonal or irregular income of the borrower. |
8 | (d) No high-cost home loan may include payment terms under which the outstanding |
9 | principal balance or accrued interest will increase at any time over the course of the loan because |
10 | the regularly scheduled periodic payments do not cover the full amount of interest due. |
11 | (e) No high-cost home loan may contain a provision that increases the interest rate after |
12 | default. This provision does not apply to interest rate changes in a variable rate loan otherwise |
13 | consistent with the provisions of the loan documents, provided the change in the interest rate is |
14 | not triggered by the event of default or the acceleration of the indebtedness. |
15 | (f) No high-cost home loan may include terms under which more than two (2) periodic |
16 | payments required under the loan are consolidated and paid in advance from the loan proceeds |
17 | provided to the borrower. |
18 | (g) A creditor may not make a high-cost home loan without first receiving certification |
19 | from a counselor with a third-party nonprofit organization approved by the United States |
20 | Department of Housing and Urban Development that the borrower has received counseling on the |
21 | advisability of the loan transaction. |
22 | (h) A high-cost home loan shall not be extended to a borrower unless a reasonable |
23 | creditor would believe at the time the loan is closed that one or more of the borrowers will be able |
24 | to make the scheduled payments associated with the loan based upon a consideration of his or her |
25 | current and expected income, current obligations, employment status, and other financial |
26 | resources, other than the borrower's equity in the collateral that secures the repayment of the loan. |
27 | There is a rebuttable presumption that the borrower is able to make the scheduled payments to |
28 | repay the obligation if, at the time the loan is consummated, said borrower's total monthly debts, |
29 | including amounts under the loan, do not exceed fifty percent (50%) of said borrower's monthly |
30 | gross income as verified by tax returns, payroll receipts, and other third-party income verification. |
31 | (i) A creditor may not pay a contractor under a home-improvement contract from the |
32 | proceeds of a high-cost home loan, unless: |
33 | (1) the The creditor is presented with a signed and dated completion certificate showing |
34 | that the home improvements have been completed; and |
| LC003664/SUB A - Page 41 of 79 |
1 | (2) the The instrument is payable to the borrower or jointly to the borrower and the |
2 | contractor, or, at the election of the borrower, through a third-party escrow agent in accordance |
3 | with terms established in a written agreement signed by the borrower, the creditor, and the |
4 | contractor prior to the disbursement. |
5 | (j) A creditor may not charge a borrower any fees or other charges to modify, renew, |
6 | extend, or amend a high-cost home loan or to defer any payment due under the terms of a high- |
7 | cost home loan. |
8 | (k) A creditor shall not make available a high-cost home loan that provides for a late |
9 | payment fee except as follows: |
10 | (1) The late payment fee shall not be in excess of three percent (3%) of the amount of the |
11 | payment past due. |
12 | (2) The late payment fee shall only be assessed for a payment past due for fifteen (15) |
13 | days or more or ten (10) days or more in cases of bi-weekly mortgage payment arrangement. |
14 | (3) The late payment fee shall not be imposed more than once with respect to a single |
15 | late payment. If a late payment fee is deducted from a payment made on the loan, and the |
16 | deduction causes a subsequent default on a subsequent payment, no late payment fee may be |
17 | imposed for the default. |
18 | (4) A creditor shall treat each payment as posted on the same business day as it was |
19 | received. |
20 | (l) All high-cost home loan documents that create a debt or pledge property as collateral |
21 | shall contain the following notice on the first page in a conspicuous manner: "Notice: This a high- |
22 | cost home loan subject to special rules under state law. Purchasers or assignees of this high-cost |
23 | home loan may be liable for all claims and defenses by the borrower with respect to the home |
24 | loan." |
25 | SECTION 23. Section 34-27-7 of the General Laws in Chapter 34-27 entitled "Mortgage |
26 | Foreclosure and Sale" is hereby amended to read as follows: |
27 | 34-27-7. Notice to tenants of foreclosure sale. -- (a) The mortgagee shall provide to |
28 | each bona fide tenant a written notice: (1) Stating that the real estate is scheduled to be sold at |
29 | foreclosure; (2) Stating the date, time, and place initially scheduled for the sale; (3) Informing of |
30 | the availability and advisability of counseling and information services; (4) Providing the address |
31 | and telephone number of the Rhode Island housing help center and the United Way 2-1-1 center; |
32 | (5) Reminding the recipient to continue paying rent to the landlord until the foreclosure sale |
33 | occurs; and (6) Stating that this notice is not an eviction notice. The notice shall be mailed by |
34 | first-class mail at least one business day prior to the first publication of the notice required by § |
| LC003664/SUB A - Page 42 of 79 |
1 | 34-27-7 34-27-4. A form of written notice meeting the requirements of this section shall be |
2 | promulgated by the department of business regulation for use by mortgagees no later than sixty |
3 | (60) days after the effective date of this section. The notice may be addressed to "Occupant" and |
4 | mailed to each dwelling unit of the real estate identified in the application for the loan secured by |
5 | the mortgage being foreclosed. Failure of the mortgagee to provide notice as provided herein |
6 | shall not affect the validity of the foreclosure. |
7 | (b) For purposes of this section, a lease or tenancy shall be considered bona fide only if: |
8 | (1) The mortgagor, or the child, spouse, or parent of the mortgagor, under the contract is |
9 | not the tenant; |
10 | (2) The lease or tenancy was the result of an arms-length transaction; and |
11 | (3) The lease or tenancy requires the receipt of rent that is not substantially less than fair- |
12 | market rent for the property or the unit's rent is reduced or subsidized due to a federal, state, or |
13 | local subsidy. |
14 | SECTION 24. Section 38-2-3 of the General Laws in Chapter 38-2 entitled "Access to |
15 | Public Records" is hereby amended to read as follows: |
16 | 38-2-3. Right to inspect and copy records -- Duty to maintain minutes of meetings -- |
17 | Procedures for access. -- (a) Except as provided in § 38-2-2(5) 38-2-2(4), all records maintained |
18 | or kept on file by any public body, whether or not those records are required by any law or by any |
19 | rule or regulation, shall be public records and every person or entity shall have the right to inspect |
20 | and/or copy those records at such reasonable time as may be determined by the custodian thereof. |
21 | (b) Any reasonably segregable portion of a public record excluded by subdivision 38-2- |
22 | 2(4) shall be available for public inspection after the deletion of the information which is the basis |
23 | of the exclusion. If an entire document or record is deemed non-public, the public body shall state |
24 | in writing that no portion of the document or record contains reasonable segregable information |
25 | that is releasable. |
26 | (c) Each public body shall make, keep, and maintain written or recorded minutes of all |
27 | meetings. |
28 | (d) Each public body shall establish written procedures regarding access to public |
29 | records but shall not require written requests for public information available pursuant to R.I.G.L. |
30 | § 42-35-2 or for other documents prepared for or readily available to the public. |
31 | These procedures must include, but need not be limited to, the identification of a |
32 | designated public records officer or unit, how to make a public records request, and where a |
33 | public record request should be made, and a copy of these procedures shall be posted on the |
34 | public body's website if such a website is maintained and be made otherwise readily available to |
| LC003664/SUB A - Page 43 of 79 |
1 | the public. The unavailability of a designated public records officer shall not be deemed good |
2 | cause for failure to timely comply with a request to inspect and/or copy public records pursuant to |
3 | subsection (e). A written request for public records need not be made on a form established by a |
4 | public body if the request is otherwise readily identifiable as a request for public records. |
5 | (e) A public body receiving a request shall permit the inspection or copying within ten |
6 | (10) business days after receiving a request. If the inspection or copying is not permitted within |
7 | ten (10) business days, the public body shall forthwith explain in writing the need for additional |
8 | time to comply with the request. Any such explanation must be particularized to the specific |
9 | request made. In such cases the public body may have up to an additional twenty (20) business |
10 | days to comply with the request if it can demonstrate that the voluminous nature of the request, |
11 | the number of requests for records pending, or the difficulty in searching for and retrieving or |
12 | copying the requested records, is such that additional time is necessary to avoid imposing an |
13 | undue burden on the public body. |
14 | (f) If a public record is in active use or in storage and, therefore, not available at the time |
15 | a person or entity requests access, the custodian shall so inform the person or entity and make an |
16 | appointment for the person or entity to examine such records as expeditiously as they may be |
17 | made available. |
18 | (g) Any person or entity requesting copies of public records may elect to obtain them in |
19 | any and all media in which the public agency is capable of providing them. Any public body |
20 | which maintains its records in a computer storage system shall provide any data properly |
21 | identified in a printout or other reasonable format, as requested. |
22 | (h) Nothing in this section shall be construed as requiring a public body to reorganize, |
23 | consolidate, or compile data not maintained by the public body in the form requested at the time |
24 | the request to inspect the public records was made except to the extent that such records are in an |
25 | electronic format and the public body would not be unduly burdened in providing such data. |
26 | (i) Nothing in this section is intended to affect the public record status of information |
27 | merely because it is stored in a computer. |
28 | (j) No public records shall be withheld based on the purpose for which the records are |
29 | sought, nor shall a public body require, as a condition of fulfilling a public records request, that a |
30 | person or entity provide a reason for the request or provide personally identifiable information |
31 | about him/herself. |
32 | (k) At the election of the person or entity requesting the public records, the public body |
33 | shall provide copies of the public records electronically, by facsimile, or by mail in accordance |
34 | with the requesting person or entity's choice, unless complying with that preference would be |
| LC003664/SUB A - Page 44 of 79 |
1 | unduly burdensome due to the volume of records requested or the costs that would be incurred. |
2 | The person requesting delivery shall be responsible for the actual cost of delivery, if any. |
3 | SECTION 25. Section 39-1.2-5 of the General Laws in Chapter 39-1.2 entitled |
4 | "Excavation Near Underground Utility Facilities" is hereby amended to read as follows: |
5 | 39-1.2-5. Notice of excavation. -- (a) Except as provided in § 39-1.2-9, any person, |
6 | public agency, or public utility responsible for excavating within one hundred feet (100') or for |
7 | discharging explosives within one hundred feet (100') of a public utility facility shall notify the |
8 | association of the proposed excavation or discharge at least seventy-two (72) hours, excluding |
9 | Saturdays, Sundays, and holidays, but not more than thirty (30) days before commencing the |
10 | excavation or discharge of explosives. Actual excavation must thereupon commence within thirty |
11 | (30) days and be completed within sixty (60) days, including Saturdays, Sundays, and holidays, |
12 | or the excavator must renotify the association. Each public utility shall, upon receipt of each |
13 | notice of excavation, mark within seventy-two (72) hours or, where applicable in accordance with |
14 | § 39-1.2-12, re-mark within forty-eight (48) hours, the location of all underground facilities. |
15 | (b) Each excavator shall provide a description of the excavation location that shall |
16 | include: |
17 | (1) The name of the city or town where the excavation will take place; |
18 | (2) The name of the street, way, or route number where appropriate; |
19 | (3) The name of the streets at the nearest intersection to the excavation; |
20 | (4) The numbered address of buildings closest to the excavation; and |
21 | (5) Any other description that will accurately define the excavation location, including |
22 | landmarks and utility pole numbers. |
23 | (c) If an excavator determines that a public utility facility has been mismarked, the |
24 | excavator may notify the association and the appropriate public utility shall remark no later than |
25 | three (3) hours after receipt of notification from the association. The failure to mark or re-mark |
26 | the location of all underground facilities upon each notice of excavation shall constitute a separate |
27 | violation of this chapter. Where an excavation is to be made by a contractor as part of the work |
28 | required by a contract with the state or with any political subdivision thereof or other public |
29 | agency for the construction, reconstruction, relocation, or improvement of a public way or for the |
30 | installation of a railway track, conduit, sewer, or water main, the contractor shall be deemed to |
31 | have complied with the requirements of this section by giving one such notice to the association |
32 | as required by this section, except when unanticipated obstructions are encountered, setting forth |
33 | the location and the approximate time required to perform the work involved to the association. |
34 | In addition, the initial notice shall indicate whether the excavation is anticipated to involve |
| LC003664/SUB A - Page 45 of 79 |
1 | blasting and, if so, the date on which and specific location at which the blasting is to occur. If |
2 | after the commencement of an excavation it is found there is an unanticipated obstruction |
3 | requiring blasting, the excavator shall give at least four (4) hours notice to the association before |
4 | commencing the blasting. When demolition of a building containing a public utility facility is |
5 | proposed, the public utility or utilities involved will be given written notice by registered mail at |
6 | least ten (10) days prior to the commencement of the demolition of the building. All notices shall |
7 | include the name, address, and telephone number of the entity giving notice; the name of the |
8 | person, public agency, or public utility performing the work; and the commencement date and |
9 | proposed type of excavation, demolition, or discharge of explosives. The association shall |
10 | immediately transmit the information to the public utilities whose facilities may be affected. An |
11 | adequate record shall be maintained by the association to document compliance with the |
12 | requirements of this chapter. |
13 | SECTION 26. Section 39-31-4 of the General Laws in Chapter 39-31 entitled |
14 | "Affordable Clean Energy Security Act" is hereby amended to read as follows: |
15 | 39-31-4. Regional energy planning. -- (a) Consistent with the purposes of this chapter, |
16 | and utilizing regional stakeholder processes where appropriate, the office of energy resources, in |
17 | consultation and coordination with the division of public utilities and carriers, the public utility |
18 | company that provides electric distribution as defined in § 39-1-2(12) as well as natural gas as |
19 | defined in § 39-1-2(20), the New England States' Committee on Electricity (NESCOE), ISO-New |
20 | England Inc. and the other New England states is authorized to: |
21 | (1) Participate in the development and issuance of regional or multi-state competitive |
22 | solicitation(s) for the development and construction of regional electric-transmission projects that |
23 | would allow for the reliable transmission of large- or small-scale domestic or international |
24 | hydroelectric power to New England load centers that will benefit the state of Rhode Island and |
25 | its ratepayers, and that such solicitations may be issued by The New England States' Committee |
26 | on Electricity or the electric or natural gas distribution company to further the purposes of this |
27 | chapter; |
28 | (2) Participate in the development and issuance of regional or multi-state competitive |
29 | solicitation(s) for the development and construction of regional electric-transmission projects that |
30 | would allow for the reliable transmission of eligible renewable-energy resources, as defined by § |
31 | 39-26-5(a), to New England load centers that will benefit the state of Rhode Island and its |
32 | ratepayers, and that such solicitations may be issued by The New England States' Committee on |
33 | Electricity or the electric or natural gas distribution company to further the purposes of this |
34 | chapter; and |
| LC003664/SUB A - Page 46 of 79 |
1 | (3) Participate in the development and issuance of regional or multi-state competitive |
2 | solicitation(s) for the development and construction of regional natural gas pipeline infrastructure |
3 | and capacity that will benefit the State of Rhode Island and its ratepayers by strengthening energy |
4 | system reliability and security and, in doing so, potentially mitigate energy price volatility that |
5 | threatens the economic vitality and competitiveness of Rhode Island residents and businesses., |
6 | and that such Such solicitations may be issued by The New England States' Committee on |
7 | Electricity or the electric or natural gas distribution company to further the purposes of this |
8 | chapter; and that such solicitations may request proposals that are priced in increments to allow |
9 | for the evaluation of project costs and benefits associated with adding various levels of additional, |
10 | natural-gas pipeline capacity into New England and that assist with the optimization of energy |
11 | system reliability, economic, and other benefits consistent with the purposes of this chapter. |
12 | (4) As part of any such regional or multi-state competitive solicitation processes |
13 | conducted pursuant to this chapter, the office of energy resources shall work jointly with the |
14 | division of public utilities and carriers, and with the electric distribution company as appropriate, |
15 | to identify incremental, natural-gas pipeline infrastructure and capacity and/or electric |
16 | transmission projects that optimize energy reliability, economic, environmental, and ratepayer |
17 | impacts for Rhode Island, consistent with the legislative findings and purpose of this chapter. The |
18 | office of energy resources and division of public utilities and carriers shall be authorized to utilize |
19 | expert consultants, as needed, to assist in any regional, multi-state, or state-level determination |
20 | related to the procurement activities identified in § 39-31-5. |
21 | (b) Prior to any binding commitments being made by any agencies of the state, the |
22 | electric distribution company, or any other entity that would result in costs being incurred |
23 | directly, or indirectly, by Rhode Island electric and/or gas consumers through distribution or |
24 | commodity rates, the office of energy resources and division of public utilities and carriers shall |
25 | jointly file any energy infrastructure project recommendation(s) with the public utilities |
26 | commission and may make such filing jointly with the electric- or natural-gas distribution |
27 | company as appropriate. The public utilities commission shall consider any such |
28 | recommendation(s) as specified under § 39-31-7. |
29 | (c) A copy of the filing made under subsection (b) of this section shall be provided to the |
30 | governor, the president of the senate, the speaker of the house, the department of environmental |
31 | management, and the commerce corporation. |
32 | (d) The electric-distribution company shall be provided with a copy of any filing made |
33 | under this section at least ten (10) business days in advance of its filing with the public utilities |
34 | commission and the electric- or gas-distribution utility may file separate comments when the |
| LC003664/SUB A - Page 47 of 79 |
1 | filing is made. |
2 | (e) As part of any office of energy resources and division of public utilities and carriers |
3 | filing made pursuant to this chapter, the agencies shall identify the expected energy reliability, |
4 | energy security, and ratepayer impacts that are expected to result from commitments being made |
5 | in connection with the proposed project(s). |
6 | (f) The office of energy resources and division of public utilities and carriers reserve the |
7 | right to determine that energy infrastructure projects submitted in any regional or multi-state |
8 | competitive solicitation process are not in Rhode Island's energy reliability, energy security, |
9 | and/or ratepayer interests, and shall make such findings available to the governor, the president of |
10 | the senate, and the speaker of the house. The electric or gas distribution utility may attach a |
11 | separate opinion to those findings, at its election. |
12 | SECTION 27. Section 40-5.3-4 of the General Laws in Chapter 40-5.3 entitled "Youth |
13 | Pregnancy and At-Risk Prevention Services Program" is hereby amended to read as follows: |
14 | 40-5.3-4. Youth pregnancy and at-risk prevention services program -- Eligibility |
15 | requirements. -- (a) The Rhode Island Alliance of Boys and Girls Clubs is hereby authorized, on |
16 | behalf of its member organizations, to make an application to the department for funding under |
17 | this chapter. |
18 | (b) The following requirements and conditions shall be necessary to establish eligibility |
19 | for funding: |
20 | (1) The organization must demonstrate that its members are affiliated and in good |
21 | standing with a nationally chartered organization as described in Title 36, Subtitle II, Part B of the |
22 | Patriotic and National Organizations, 36 U.S.C. 311 et. seq.; |
23 | (2) The organization must provide tested and proven programs; |
24 | (3) The organization must demonstrate that its members provide programs that are |
25 | facility-based; |
26 | (4) The organization must demonstrate that its members' programs are offered for a |
27 | minimum of ten (10) hours weekly during the school year and twenty (20) hours weekly during |
28 | the summer; |
29 | (5) The organization must demonstrate that its members' programs exist in a minimum of |
30 | seven (7) towns and cities within the state; |
31 | (6) The organization must demonstrate that its members' programs are administered in |
32 | accordance with this chapter, is and designed to meet or exceed the minimum federal TANF |
33 | guidelines; |
34 | (7) The organization must demonstrate that it is eligible to receive federal TANF |
| LC003664/SUB A - Page 48 of 79 |
1 | funding; and |
2 | (8) The organization must be able to raise four dollars ($4) for every one dollar received |
3 | from the state through federal funding. |
4 | SECTION 28. Section 42-14.5-3 of the General Laws in Chapter 42-14.5 entitled "The |
5 | Rhode Island Health Care Reform Act of 2004 - Health Insurance Oversight" is hereby amended |
6 | to read as follows: |
7 | 42-14.5-3. Powers and duties [Contingent effective date; see effective dates under |
8 | this section.] -- The health insurance commissioner shall have the following powers and duties: |
9 | (a) To conduct quarterly public meetings throughout the state, separate and distinct from |
10 | rate hearings pursuant to § 42-62-13, regarding the rates, services, and operations of insurers |
11 | licensed to provide health insurance in the state, the effects of such rates, services, and operations |
12 | on consumers, medical care providers, patients, and the market environment in which such |
13 | insurers operate, and efforts to bring new health insurers into the Rhode Island market. Notice of |
14 | not less than ten (10) days of said hearing(s) shall go to the general assembly, the governor, the |
15 | Rhode Island Medical Society, the Hospital Association of Rhode Island, the director of health, |
16 | the attorney general and the chambers of commerce. Public notice shall be posted on the |
17 | department's web site and given in the newspaper of general circulation, and to any entity in |
18 | writing requesting notice. |
19 | (b) To make recommendations to the governor and the house of representatives and |
20 | senate finance committees regarding health care insurance and the regulations, rates, services, |
21 | administrative expenses, reserve requirements, and operations of insurers providing health |
22 | insurance in the state, and to prepare or comment on, upon the request of the governor or |
23 | chairpersons of the house or senate finance committees, draft legislation to improve the regulation |
24 | of health insurance. In making such recommendations, the commissioner shall recognize that it is |
25 | the intent of the legislature that the maximum disclosure be provided regarding the |
26 | reasonableness of individual administrative expenditures as well as total administrative costs. The |
27 | commissioner shall make recommendations on the levels of reserves including consideration of: |
28 | targeted reserve levels; trends in the increase or decrease of reserve levels; and insurer plans for |
29 | distributing excess reserves. |
30 | (c) To establish a consumer/business/labor/medical advisory council to obtain |
31 | information and present concerns of consumers, business, and medical providers affected by |
32 | health insurance decisions. The council shall develop proposals to allow the market for small |
33 | business health insurance to be affordable and fairer. The council shall be involved in the |
34 | planning and conduct of the quarterly public meetings in accordance with subsection (a) above. |
| LC003664/SUB A - Page 49 of 79 |
1 | The advisory council shall develop measures to inform small businesses of an insurance |
2 | complaint process to ensure that small businesses that experience rate increases in a given year |
3 | may request and receive a formal review by the department. The advisory council shall assess |
4 | views of the health provider community relative to insurance rates of reimbursement, billing, and |
5 | reimbursement procedures, and the insurers' role in promoting efficient and high-quality health |
6 | care. The advisory council shall issue an annual report of findings and recommendations to the |
7 | governor and the general assembly and present its findings at hearings before the house and |
8 | senate finance committees. The advisory council is to be diverse in interests and shall include |
9 | representatives of community consumer organizations; small businesses, other than those |
10 | involved in the sale of insurance products; and hospital, medical, and other health provider |
11 | organizations. Such representatives shall be nominated by their respective organizations. The |
12 | advisory council shall be co-chaired by the health insurance commissioner and a community |
13 | consumer organization or small business member to be elected by the full advisory council. |
14 | (d) To establish and provide guidance and assistance to a subcommittee ("the |
15 | professional provider-health plan work group") of the advisory council created pursuant to |
16 | subsection (c) above, composed of health care providers and Rhode Island licensed health plans. |
17 | This subcommittee shall include in its annual report and presentation before the house and senate |
18 | finance committees the following information: |
19 | (1) A method whereby health plans shall disclose to contracted providers the fee |
20 | schedules used to provide payment to those providers for services rendered to covered patients; |
21 | (2) A standardized provider application and credentials verification process, for the |
22 | purpose of verifying professional qualifications of participating health care providers; |
23 | (3) The uniform health plan claim form utilized by participating providers; |
24 | (4) Methods for health maintenance organizations as defined by § 27-41-1 27-41-2, and |
25 | nonprofit hospital or medical service corporations as defined by chapters 19 and 20 of title 27, to |
26 | make facility-specific data and other medical service-specific data available in reasonably |
27 | consistent formats to patients regarding quality and costs. This information would help consumers |
28 | make informed choices regarding the facilities and/or clinicians or physician practices at which to |
29 | seek care. Among the items considered would be the unique health services and other public |
30 | goods provided by facilities and/or clinicians or physician practices in establishing the most |
31 | appropriate cost comparisons; |
32 | (5) All activities related to contractual disclosure to participating providers of the |
33 | mechanisms for resolving health plan/provider disputes; |
34 | (6) The uniform process being utilized for confirming, in real time, patient insurance |
| LC003664/SUB A - Page 50 of 79 |
1 | enrollment status, benefits coverage, including co-pays and deductibles; |
2 | (7) Information related to temporary credentialing of providers seeking to participate in |
3 | the plan's network and the impact of said activity on health plan accreditation; |
4 | (8) The feasibility of regular contract renegotiations between plans and the providers in |
5 | their networks; and |
6 | (9) Efforts conducted related to reviewing impact of silent PPOs on physician practices. |
7 | (e) To enforce the provisions of Title 27 and Title 42 as set forth in § 42-14-5(d). |
8 | (f) To provide analysis of the Rhode Island Affordable Health Plan Reinsurance Fund. |
9 | The fund shall be used to effectuate the provisions of §§ 27-18.5-8 27-18.5-9 and 27-50-17. |
10 | (g) To analyze the impact of changing the rating guidelines and/or merging the |
11 | individual health insurance market as defined in chapter 18.5 of title 27 and the small employer |
12 | health insurance market as defined in chapter 50 of title 27 in accordance with the following: |
13 | (1) The analysis shall forecast the likely rate increases required to effect the changes |
14 | recommended pursuant to the preceding subsection (g) in the direct-pay market and small |
15 | employer health insurance market over the next five (5) years, based on the current rating |
16 | structure and current products. |
17 | (2) The analysis shall include examining the impact of merging the individual and small |
18 | employer markets on premiums charged to individuals and small employer groups. |
19 | (3) The analysis shall include examining the impact on rates in each of the individual and |
20 | small employer health insurance markets and the number of insureds in the context of possible |
21 | changes to the rating guidelines used for small employer groups, including: community rating |
22 | principles; expanding small employer rate bonds beyond the current range; increasing the |
23 | employer group size in the small group market; and/or adding rating factors for broker and/or |
24 | tobacco use. |
25 | (4) The analysis shall include examining the adequacy of current statutory and regulatory |
26 | oversight of the rating process and factors employed by the participants in the proposed new |
27 | merged market. |
28 | (5) The analysis shall include assessment of possible reinsurance mechanisms and/or |
29 | federal high-risk pool structures and funding to support the health insurance market in Rhode |
30 | Island by reducing the risk of adverse selection and the incremental insurance premiums charged |
31 | for this risk, and/or by making health insurance affordable for a selected at-risk population. |
32 | (6) The health insurance commissioner shall work with an insurance market merger task |
33 | force to assist with the analysis. The task force shall be chaired by the health insurance |
34 | commissioner and shall include, but not be limited to, representatives of the general assembly, the |
| LC003664/SUB A - Page 51 of 79 |
1 | business community, small employer carriers as defined in § 27-50-3, carriers offering coverage |
2 | in the individual market in Rhode Island, health insurance brokers, and members of the general |
3 | public. |
4 | (7) For the purposes of conducting this analysis, the commissioner may contract with an |
5 | outside organization with expertise in fiscal analysis of the private insurance market. In |
6 | conducting its study, the organization shall, to the extent possible, obtain and use actual health |
7 | plan data. Said data shall be subject to state and federal laws and regulations governing |
8 | confidentiality of health care and proprietary information. |
9 | (8) The task force shall meet as necessary and include its findings in the annual report |
10 | and the commissioner shall include the information in the annual presentation before the house |
11 | and senate finance committees. |
12 | (h) To establish and convene a workgroup representing health care providers and health |
13 | insurers for the purpose of coordinating the development of processes, guidelines, and standards |
14 | to streamline health care administration that are to be adopted by payors and providers of health |
15 | care services operating in the state. This workgroup shall include representatives with expertise |
16 | who would contribute to the streamlining of health care administration and who are selected from |
17 | hospitals, physician practices, community behavioral health organizations, each health insurer, |
18 | and other affected entities. The workgroup shall also include at least one designee each from the |
19 | Rhode Island Medical Society, Rhode Island Council of Community Mental Health |
20 | Organizations, the Rhode Island Health Center Association, and the Hospital Association of |
21 | Rhode Island. The workgroup shall consider and make recommendations for: |
22 | (1) Establishing a consistent standard for electronic eligibility and coverage verification. |
23 | Such standard shall: |
24 | (i) Include standards for eligibility inquiry and response and, wherever possible, be |
25 | consistent with the standards adopted by nationally recognized organizations, such as the Centers |
26 | for Medicare and Medicaid Services; |
27 | (ii) Enable providers and payors to exchange eligibility requests and responses on a |
28 | system-to-system basis or using a payor-supported web browser; |
29 | (iii) Provide reasonably detailed information on a consumer's eligibility for health care |
30 | coverage; scope of benefits; limitations and exclusions provided under that coverage; cost-sharing |
31 | requirements for specific services at the specific time of the inquiry; current deductible amounts; |
32 | accumulated or limited benefits; out-of-pocket maximums; any maximum policy amounts; and |
33 | other information required for the provider to collect the patient's portion of the bill; |
34 | (iv) Reflect the necessary limitations imposed on payors by the originator of the |
| LC003664/SUB A - Page 52 of 79 |
1 | eligibility and benefits information; |
2 | (v) Recommend a standard or common process to protect all providers from the costs of |
3 | services to patients who are ineligible for insurance coverage in circumstances where a payor |
4 | provides eligibility verification based on best information available to the payor at the date of the |
5 | request of eligibility. |
6 | (2) Developing implementation guidelines and promoting adoption of such guidelines |
7 | for: |
8 | (i) The use of the National Correct Coding Initiative code edit policy by payors and |
9 | providers in the state; |
10 | (ii) Publishing any variations from codes and mutually exclusive codes by payors in a |
11 | manner that makes for simple retrieval and implementation by providers; |
12 | (iii) Use of health insurance portability and accountability act standard group codes, |
13 | reason codes, and remark codes by payors in electronic remittances sent to providers; |
14 | (iv) The processing of corrections to claims by providers and payors. |
15 | (v) A standard payor-denial review process for providers when they request a |
16 | reconsideration of a denial of a claim that results from differences in clinical edits where no |
17 | single, common-standards body or process exists and multiple conflicting sources are in use by |
18 | payors and providers. |
19 | (vi) Nothing in this section, or in the guidelines developed, shall inhibit an individual |
20 | payor's ability to employ, and not disclose to providers, temporary code edits for the purpose of |
21 | detecting and deterring fraudulent billing activities. The guidelines shall require that each payor |
22 | disclose to the provider its adjudication decision on a claim that was denied or adjusted based on |
23 | the application of such edits and that the provider have access to the payor's review and appeal |
24 | process to challenge the payor's adjudication decision. |
25 | (vii) Nothing in this subsection shall be construed to modify the rights or obligations of |
26 | payors or providers with respect to procedures relating to the investigation, reporting, appeal, or |
27 | prosecution under applicable law of potentially fraudulent billing activities. |
28 | (3) Developing and promoting widespread adoption by payors and providers of |
29 | guidelines to: |
30 | (i) Ensure payors do not automatically deny claims for services when extenuating |
31 | circumstances make it impossible for the provider to obtain a preauthorization before services are |
32 | performed or notify a payor within an appropriate standardized timeline of a patient's admission; |
33 | (ii) Require payors to use common and consistent processes and time frames when |
34 | responding to provider requests for medical management approvals. Whenever possible, such |
| LC003664/SUB A - Page 53 of 79 |
1 | time frames shall be consistent with those established by leading national organizations and be |
2 | based upon the acuity of the patient's need for care or treatment. For the purposes of this section, |
3 | medical management includes prior authorization of services, preauthorization of services, |
4 | precertification of services, post-service review, medical-necessity review, and benefits advisory; |
5 | (iii) Develop, maintain, and promote widespread adoption of a single, common website |
6 | where providers can obtain payors' preauthorization, benefits advisory, and preadmission |
7 | requirements; |
8 | (iv) Establish guidelines for payors to develop and maintain a website that providers can |
9 | use to request a preauthorization, including a prospective clinical necessity review; receive an |
10 | authorization number; and transmit an admission notification. |
11 | (i) To issue an ANTI-CANCER MEDICATION REPORT. - Not later than June 30, |
12 | 2014 and annually thereafter, the office of the health insurance commissioner (OHIC) shall |
13 | provide the senate committee on health and human services, and the house committee on |
14 | corporations, with: (1) Information on the availability in the commercial market of coverage for |
15 | anti-cancer medication options; (2) For the state employee's health benefit plan, the costs of |
16 | various cancer treatment options; (3) The changes in drug prices over the prior thirty-six (36) |
17 | months; and (4) Member utilization and cost-sharing expense. |
18 | (j) To monitor the adequacy of each health plan's compliance with the provisions of the |
19 | federal mental health parity act, including a review of related claims processing and |
20 | reimbursement procedures. Findings, recommendations, and assessments shall be made available |
21 | to the public. |
22 | (k) To monitor the transition from fee for service and toward global and other alternative |
23 | payment methodologies for the payment for health care services. Alternative payment |
24 | methodologies should be assessed for their likelihood to promote access to affordable health |
25 | insurance, health outcomes, and performance. |
26 | (l) To report annually, no later than July 1, 2014, then biannually thereafter, on hospital |
27 | payment variation, including findings and recommendations, subject to available resources. |
28 | (m) Notwithstanding any provision of the general or public laws or regulation to the |
29 | contrary, provide a report with findings and recommendations to the president of the senate and |
30 | the speaker of the house, on or before April 1, 2014, including, but not limited to, the following |
31 | information: |
32 | (1) The impact of the current mandated healthcare benefits as defined in §§ 27-18-48.1, |
33 | 27-18-60, 27-18-62, 27-18-64, similar provisions in chapters 19, 20 and 41, of title 27, and §§ 27- |
34 | 18-3(c), 27-38.2-1 et seq., or others as determined by the commissioner, on the cost of health |
| LC003664/SUB A - Page 54 of 79 |
1 | insurance for fully insured employers, subject to available resources; |
2 | (2) Current provider and insurer mandates that are unnecessary and/or duplicative due to |
3 | the existing standards of care and/or delivery of services in the healthcare system; |
4 | (3) A state-by-state comparison of health insurance mandates and the extent to which |
5 | Rhode Island mandates exceed other states benefits; and |
6 | (4) Recommendations for amendments to existing mandated benefits based on the |
7 | findings in (1), (2) and (3) above. |
8 | (n) On or before July 1, 2014, the office of the health insurance commissioner, in |
9 | collaboration with the director of health and lieutenant governor's office, shall submit a report to |
10 | the general assembly and the governor to inform the design of accountable care organizations |
11 | (ACOs) in Rhode Island as unique structures for comprehensive healthcare delivery and value |
12 | based payment arrangements, that shall include, but not be limited to: |
13 | (1) Utilization review; |
14 | (2) Contracting; and |
15 | (3) Licensing and regulation. |
16 | (o) On or before February 3, 2015, the office of the health insurance commissioner shall |
17 | submit a report to the general assembly and the governor that describes, analyzes, and proposes |
18 | recommendations to improve compliance of insurers with the provisions of § 27-18-76 with |
19 | regard to patients with mental health and substance-use disorders. |
20 | SECTION 29. Section 42-26-13 of the General Laws in Chapter 42-26 entitled "Rhode |
21 | Island Justice Commission" is hereby amended to read as follows: |
22 | 42-26-13. Committee created -- Purpose and composition. -- (a) There is hereby |
23 | created within the Rhode Island justice commission public safety grant administration office, |
24 | pursuant to the provisions of § 42-26-7, the criminal justice oversight committee for the purpose |
25 | of maintaining the secure facilities at the adult correctional institutions within their respective |
26 | population capacities as established by court order, consent decree, or otherwise. |
27 | (b) The criminal justice oversight committee (hereinafter referred to as the "committee") |
28 | shall consist of the following members who shall assemble annually or more often at the call of |
29 | the chairperson or upon petition of a majority of its members: |
30 | (1) The presiding justice of the superior court; |
31 | (2) The chief judge of the district court; |
32 | (3) The attorney general; |
33 | (4) The public defender; |
34 | (5) The superintendent of state police; |
| LC003664/SUB A - Page 55 of 79 |
1 | (6) The director of the department of corrections; |
2 | (7) The chairperson of the parole board; |
3 | (8) The director of the Rhode Island public safety grants administration; |
4 | (9) A member of the governor's staff selected by the governor; |
5 | (10) Four (4) members of the general assembly, one of whom shall be appointed by the |
6 | speaker; and one of whom shall be appointed by the president of the senate; one of whom shall be |
7 | appointed by the house minority leader; and one of whom shall be appointed by the senate |
8 | minority leader; |
9 | (11) A qualified elector of this state who shall be appointed by the governor and |
10 | designated as chairperson of the committee; |
11 | (12) A member of the Victims' Rights Group, appointed by the speaker of the house.; |
12 | (13) The president of the Rhode Island Brotherhood of Correctional Officers.; and |
13 | (14) The chief justice of the supreme court. |
14 | Each member of the committee may appoint a permanent designee to attend committee |
15 | meetings in his/her absence. A quorum at meetings of the committee shall consist of a majority of |
16 | its current membership. |
17 | SECTION 30. Section 42-142-1 of the General Laws in Chapter 42-142 entitled |
18 | "Department of Revenue" is hereby amended to read as follows: |
19 | 42-142-1. Department of revenue. -- (a) There is hereby established within the |
20 | executive branch of state government a department of revenue. |
21 | (b) The head of the department shall be the director of revenue, who shall be appointed |
22 | by the governor, with the advice and consent of the senate, and shall serve at the pleasure of the |
23 | governor. |
24 | (c) The department shall contain the division of taxation (chapter 44-1) (chapter 1 of |
25 | title 44), the division of motor vehicles (chapter 32-2) (chapter 2 of title 31), the division of |
26 | state lottery (chapter 42-61) (chapter 61 of title 42), the office of revenue analysis (chapter 42- |
27 | 142) (chapter 142 of title 42), and the division of municipal finance (chapter 42-142) (chapter |
28 | 142 of title 42). Any reference to the division of property valuation, division of property |
29 | valuation and municipal finance, or office of municipal affairs in the Rhode Island general laws |
30 | shall mean the division of municipal finance. |
31 | SECTION 31. Section 44-5-69 of the General Laws in Chapter 44-5 entitled "Levy and |
32 | Assessment of Local Taxes" is hereby amended to read as follows: |
33 | 44-5-69. Local fire districts -- Requirements of annual budget -- Annual financial |
34 | statements and publication of property tax data. -- Every fire district authorized to assess and |
| LC003664/SUB A - Page 56 of 79 |
1 | collect taxes on real and personal property in the several towns in the state shall be required to |
2 | have annual financial statements audited by an independent auditing firm approved pursuant to § |
3 | 45-10-4 by the auditor general. The auditor general may waive or modify form and content of |
4 | financial statements and scope of the audit, based upon the size of the fire districts. The financial |
5 | statements for fiscal year 2015 and every fiscal year thereafter shall be presented at the district's |
6 | first annual meeting subsequent to receipt of said financial statements. At least ten (10) days prior |
7 | to said annual meeting, a copy of such financial statements shall be filed by the fire district with |
8 | the town clerk for the town in which the district(s) is located. A copy of the financial statements |
9 | shall be simultaneously sent to the auditor general and the division of municipal finance in the |
10 | department of revenue. The fire districts shall also provide to the division of municipal finance in |
11 | the department of revenue the adopted budget within thirty (30) days of final action, and other |
12 | information on tax rates, budgets, assessed valuations, and other pertinent data upon forms |
13 | provided by the division of municipal finance. The information shall be published by the |
14 | department of revenue. |
15 | SECTION 32. Sections 44-20-12.2, 44-20-17, 44-20-39, 44-20-45 and 44-20-51 of the |
16 | General Laws in Chapter 44-20 entitled "Cigarette Tax" are hereby amended to read as follows: |
17 | 44-20-12.2. Prohibited acts -- Penalty. -- (a) No person or other legal entity shall sell or |
18 | distribute in the state; acquire, hold, own, possess, or transport for sale or distribution in this state; |
19 | or import, or cause to be imported, into the state for sale or distribution in this state; nor shall tax |
20 | stamps be affixed to any cigarette package: |
21 | (1) That bears any label or notice prescribed by the United States Department of |
22 | Treasury to identify cigarettes exempt from tax by the United States pursuant to section 5704 of |
23 | title 26 of the United States Code, 26 U.S.C. § 5704(b) (concerning cigarettes intended for |
24 | shipment to a foreign country, Puerto Rico, the Virgin Islands, or a possession of the United |
25 | States), or for consumption beyond the jurisdiction of the internal revenue laws of the United |
26 | States, including any notice or label described in section 44.185 of title 27 of the Code of Federal |
27 | Regulations, 27 CFR 44.185; |
28 | (2) That is not labeled in conformity with the provisions of the Federal Cigarette |
29 | Labeling and Advertising Act, 15 U.S.C. § 1331 et seq., or any other federal requirement for the |
30 | placement of labels, warnings, and other information applicable to cigarette packages intended for |
31 | domestic consumption; |
32 | (3) The packaging of which has been modified or altered by a person other than the |
33 | original manufacturer of the cigarettes, including by the placement of a sticker to cover |
34 | information on the package. For purposes of this subsection, a cigarette package shall not be |
| LC003664/SUB A - Page 57 of 79 |
1 | construed to have been modified or altered by a person other than the manufacturer if the most |
2 | recent modification to, or alteration of, the package was by the manufacturer or by a person |
3 | authorized by the manufacturer; |
4 | (4) Imported into the United States in violation of 26 U.S.C. § 5754 or any other federal |
5 | law, or implementing federal regulations; |
6 | (5) That the person otherwise knows, or has reason to know, the manufacturer did not |
7 | intend to be sold, distributed, or used in the United States; or |
8 | (6) That has not been submitted to the secretary of the U.S. Department of Health and |
9 | Human Services the list or lists of the ingredients added to tobacco in the manufacture of those |
10 | cigarettes required by the Federal Cigarette Labeling and Advertising Act, 15 U.S.C. § 1335a. |
11 | (b) The tax administrator is authorized to obtain and exchange information with the |
12 | United States Customs Service for the purpose of enforcing this section. |
13 | (c) Any person who or that affixes or distributes a tax stamp in violation of this section |
14 | shall be fined not more than ten thousand dollars ($10,000) for the first offense, and for each |
15 | subsequent offense shall be fined not more than twenty thousand dollars ($20,000), or be |
16 | imprisoned not more than five (5) years, or be both fined and imprisoned. |
17 | (d) Any cigarettes found in violation of this section shall be declared to be contraband |
18 | goods and may be seized by the tax administrator, or his or her agents, or by any sheriff, or his or |
19 | her deputy, or any police officer, without a warrant. The tax administrator may promulgate rules |
20 | and regulations for the destruction of contraband goods pursuant to this section, including the |
21 | administrator's right to allow the true holder of the trademark rights in a cigarette brand to inspect |
22 | contraband cigarettes prior to their destruction. |
23 | (e) The prohibitions of this section do not apply to: |
24 | (1) Tobacco products that are allowed to be imported or brought into the United States |
25 | free of tax and duty under subsection IV of chapter 98 of the harmonized tariff schedule of the |
26 | United States (see 19 U.S.C. § 1202); or |
27 | (2) Tobacco products in excess of the amounts described in subdivision (1) of this |
28 | subsection if the excess amounts are voluntarily abandoned to the tax administrator at the time of |
29 | entry, but only if the tobacco products were imported or brought into the United States for |
30 | personal use and not with intent to defraud the United States or any state. |
31 | (f) If any part or provision of this section, or the application of any part to any person or |
32 | circumstance is held invalid, the remainder of the section, including the application of that part or |
33 | provision to other persons or circumstances, shall not be affected by that invalidity and shall |
34 | continue in full force and effect. To this end, the provisions of this section are severable. |
| LC003664/SUB A - Page 58 of 79 |
1 | 44-20-17. Penalty for use tax violations. -- Any person who or that violates the |
2 | provisions of §§ 44-20-13 -- 44-20-14 is guilty of a felony and shall for each offense be fined up |
3 | to ten thousand dollars ($10,000), or be imprisoned not more than three (3) years, or be both fined |
4 | and imprisoned. |
5 | 44-20-39. Forgery and counterfeiting -- Tampering with meters -- Reuse of stamps |
6 | or containers. -- Any person who or that fraudulently makes or utters or forges or counterfeits |
7 | any stamp, disc, license, or marker, prescribed by the tax administrator under the provisions of |
8 | this chapter, or who causes or procures this to be done; or who willfully utters, publishes, passes |
9 | or renders as true, any false, altered, forged, or counterfeited stamp, license, disc, or marker; or |
10 | who knowingly possesses more than twenty (20) packs of cigarettes containing any false, altered, |
11 | forged, or counterfeited stamp, license, disc, or marker; or who tampers with, or causes to be |
12 | tampered with, any metering machine authorized to be used under the provisions of this chapter; |
13 | or who removes or prepares any stamp with intent to use, or cause that stamp to be used, after it |
14 | has already been used; or who buys, sells, offers for sale, or gives away any washed or removed |
15 | or restored stamp to any person; or who has in his or her possession any washed or restored or |
16 | removed or altered stamp that was removed from the article to which it was affixed, or who |
17 | reuses or refills with cigarettes any package, box, or container required to be stamped under this |
18 | chapter from which cigarettes have been removed, is deemed guilty of a felony, and, upon |
19 | conviction, shall be fined one hundred thousand dollars ($100,000), or be imprisoned for not |
20 | more than fifteen (15) years, or both. |
21 | 44-20-45. Importation of cigarettes with intent to evade tax. -- Any person, firm, |
22 | corporation, club, or association of persons who or that orders any cigarettes for another or pools |
23 | orders for cigarettes from any persons or connives conspires with others for pooling orders, or |
24 | receives in this state any shipment of unstamped cigarettes on which the tax imposed by this |
25 | chapter has not been paid, for the purpose and intention of violating the provisions of this chapter |
26 | or to avoid payment of the tax imposed in this chapter, is guilty of a felony and shall be fined one |
27 | hundred thousand dollars ($100,000) or five (5) times the retail value of the cigarettes involved, |
28 | whichever is greater, or imprisoned not more than fifteen (15) years, or both. |
29 | 44-20-51. Penalty for violations generally. -- (a) Except as otherwise provided in this |
30 | chapter, any person who or that violates any provision of this chapter shall be fined or |
31 | imprisoned, or both fined and imprisoned, as follows: |
32 | (1) For a first offense in a twenty-four-month (24) period, fined not more than one |
33 | thousand dollars ($1,000); |
34 | (2) For a second or subsequent offense in a twenty-four-month (24) period, fined not |
| LC003664/SUB A - Page 59 of 79 |
1 | more than five thousand dollars ($5,000) or imprisoned for not more than three (3) years, or both |
2 | fined and imprisoned. |
3 | (b) Whoever knowingly violates any provision of this chapter, or of regulations |
4 | prescribed thereunder, shall, in addition to any other penalty provided in this chapter, for each |
5 | such offense, be fined not more than five thousand dollars ($5,000) or imprisoned not more than |
6 | one year, or both. |
7 | (c) When determining the amount of a fine sought or imposed under this section, |
8 | evidence of mitigating factors, including history, severity, and intent, shall be considered. |
9 | SECTION 33. Section 45-9-6 of the General Laws in Chapter 45-9 entitled "Budget |
10 | Commissions" is hereby amended to read as follows: |
11 | 45-9-6. Composition of budget commission. -- (a) If a budget commission is established |
12 | under §§ 45-9-5 or 45-12-22.7, it shall consist of five (5) members: three (3) of whom shall be |
13 | designees of the director of revenue; one of whom shall be the elected chief executive officer of |
14 | the city; and one of whom shall be a council member of the town or city elected to serve on the |
15 | budget commission as chosen by a majority vote of said town or city council. In cities or towns in |
16 | which the elected chief executive officer for purposes of this chapter is the president of the city or |
17 | town council, one member shall be the appointed city or town manager or town administrator (or, |
18 | if none, the city or town chief financial officer) as the fifth member. For a fire district, it shall |
19 | consist of five (5) members: three (3) of the members of the budget commission shall be |
20 | designees of the director of revenue; one shall be the chairperson of the district's governing body; |
21 | and one shall be the fire chief of the district. The budget commission shall act by a majority vote |
22 | of all its members. The budget commission shall initiate and assure ensure the implementation |
23 | of appropriate measures to secure the financial stability of the city, town, or fire district. The |
24 | budget commission shall continue in existence until the director of revenue abolishes it. |
25 | The budget commission shall be subject to chapter 2 of title 36, "Access to Public |
26 | Records," and chapter 14 of title 36, "Code of Ethics". The budget commission shall be subject to |
27 | chapter 46 of title 42 "Open Meetings" when meeting to take action on the following matters: |
28 | (1) Levy and assessment of taxes; |
29 | (2) Rulemaking or suspension of rules; |
30 | (3) Adoption of a municipal or fire district budget; |
31 | (4) Approval of collective bargaining agreements and amendments to collective |
32 | bargaining agreements; and |
33 | (5) Making a determination under § 45-9-7 that the powers of the budget commission are |
34 | insufficient to restore fiscal stability to the city, town, or fire district. |
| LC003664/SUB A - Page 60 of 79 |
1 | (b) Action by the budget commission under this chapter shall constitute action by the |
2 | city, town, or fire district for all purposes under the general laws, under any special law, and |
3 | under the city, town, or fire district charter. |
4 | (c) Until the budget commission ceases to exist, no appropriation, borrowing |
5 | authorization, transfer, or other municipal or fire district spending authority, shall take effect until |
6 | approved by the budget commission. The budget commission shall approve all appropriations, |
7 | borrowing authorizations, transfers, and other municipal or fire district spending authorizations, |
8 | in whole or part. |
9 | (d) In addition to the authority and powers conferred elsewhere in this chapter, and |
10 | notwithstanding any city, town, or fire district charter provision, or local ordinance, or rule or |
11 | regulation to the contrary, the budget commission shall have the power to: |
12 | (1) Amend, formulate, and execute the annual municipal or fire district budget and |
13 | supplemental municipal or fire district budgets of the city, town, or fire district, including the |
14 | establishment, increase, or decrease of any appropriations and spending authority for all |
15 | departments, budget commissions, committees, agencies or other units of the city, town, or fire |
16 | district; provided, however, that notwithstanding §§ 16-2-9 and 16-2-18, this clause shall fully |
17 | apply to the school department and all school spending purposes; |
18 | (2) Implement and maintain uniform budget guidelines and procedures for all |
19 | departments; |
20 | (3) Amend, formulate and execute capital budgets, including to amend amending any |
21 | borrowing authorization, or finance financing or refinance refinancing of any debt in |
22 | accordance with the law; |
23 | (4) Amortize operational deficits in an amount as the director of revenue approves and |
24 | for a term not longer than five (5) years; |
25 | (5) Develop and maintain a uniform system for all financial planning and operations in |
26 | all departments, offices, boards, commissions, committees, agencies, or other units of the city's, |
27 | town's, or fire district's government; |
28 | (6) Review and approve or disapprove all proposed contracts for goods or services; |
29 | (7) Notwithstanding any general or special law to the contrary, establish, increase, or |
30 | decrease any fee, rate, or charge, for any service, license, permit, or other municipal or fire |
31 | district activity, otherwise within the authority of the city, town, or fire district; |
32 | (8) Appoint, remove, supervise, and control all city, town, or fire district employees and |
33 | have control over all personnel matters other than disciplinary matters; provided, that the budget |
34 | commission shall hold all existing powers to hire and fire and set the terms and conditions of |
| LC003664/SUB A - Page 61 of 79 |
1 | employment held by other employees or officers of the city, town, or fire district; provided, |
2 | further, that the budget commission shall have the authority to exercise all powers otherwise |
3 | available to a municipality or fire district regarding contractual obligations during a fiscal |
4 | emergency; provided, further, that no city, town, or fire district employee or officer shall hire, |
5 | fire, transfer, or alter the compensation or benefits of a city, town, or fire district employee except |
6 | with the written approval of the budget commission; and provided, further, that the budget |
7 | commission may delegate or otherwise assign these powers with the approval of the director of |
8 | revenue; |
9 | (9) Alter or eliminate the compensation and/or benefits of elected officials of the city, |
10 | town, or fire district to reflect the fiscal emergency and changes in the responsibilities of the |
11 | officials as provided by this chapter; |
12 | (10) Employ, retain, and supervise such managerial, professional, and clerical staff as are |
13 | necessary to carry out its responsibilities; provided, however, that such employment, retention |
14 | and supervisory decisions are subject to the approval of the director of revenue; provided, further, |
15 | that the budget commission shall not be subject to chapter 2 of title 37 or chapter 55 of title 45 in |
16 | employing such staff; provided, further, that the budget commission, with the approval of the |
17 | director of revenue, shall have authority to set the compensation, terms, and conditions of |
18 | employment of its own staff; provided, further, that the city, town, or fire district shall annually |
19 | appropriate amounts sufficient for the compensation of personnel hired under this clause as |
20 | determined and fixed by the budget commission; provided, further, that, if the city, town, or fire |
21 | district fails to appropriate such amounts, the director of revenue shall direct the general treasurer |
22 | to deduct the necessary funds from the city's, town's, or fire district's distribution of state aid and |
23 | shall expend those funds directly for the benefit of the budget commission; |
24 | (11) Reorganize, consolidate, or abolish departments, commissions, authorities, boards, |
25 | offices, or functions of the city, town, or fire district, in whole or in part, and to establish such |
26 | new departments, commissions, authorities, boards, offices, or functions as it deems necessary, |
27 | and to transfer the duties, powers, functions and appropriations of one department, commission, |
28 | board, office, or other unit to another department, commission, authority, board, or office, and in |
29 | connection therewith, remove and appoint new members for any such commission, authority, |
30 | board, or department which appointees shall serve the remainder of any unexpired term of their |
31 | predecessor; |
32 | (12) Appoint, in consultation with the director of revenue, persons to fill vacancies on |
33 | any authority, board, committee, department, or office; |
34 | (13) Sell, lease, or otherwise transfer, real property and other assets of the city, town, or |
| LC003664/SUB A - Page 62 of 79 |
1 | fire district with the approval of the director of revenue; |
2 | (14) Purchase, lease, or otherwise acquire, property or other assets on behalf of the city, |
3 | town, or fire district with the approval of the director of revenue; |
4 | (15) Enter into contracts, including, but not limited to, contracts with other governmental |
5 | entities, and such other governmental entities are hereby authorized to enter into such contracts; |
6 | (16) Adopt rules and regulations governing the operation and administration of the city, |
7 | town, or fire district that permit the budget commission to effectively carry out this chapter under |
8 | § 42-35-3(b); |
9 | (17) Alter or rescind any action or decision of any municipal or fire district officer, |
10 | employee, board, authority, or commission within fourteen (14) days after receipt of notice of |
11 | such action or decision; |
12 | (18) Suspend, in consultation with the director of revenue, any rules and regulations of |
13 | the city, town, or fire district; |
14 | (19) Notwithstanding any other general law, special act, charter provision, or ordinance, |
15 | and in conformity with the reserved powers of the general assembly pursuant to Article XIII, |
16 | section 5 of the constitution of the state, a budget commission is authorized to issue bonds, notes, |
17 | or certificates of indebtedness to fund the deficit of a city, town, or fire district without regard to § |
18 | 45-12-22.4, to fund cash flow and to finance capital projects. Bonds, notes, or certificates of |
19 | indebtedness issued under authority of this chapter shall be general obligation bonds backed by |
20 | the full faith and credit and taxing power of the city, town, or fire district; provided, however, that |
21 | the budget commission may pledge future distributions of state aid for the purpose of retiring |
22 | such bonds, notes, or certificates of indebtedness. If any state aid is so pledged, the budget |
23 | commission shall execute on behalf of the city, town, or fire district a trust agreement with a |
24 | corporate trustee, which may be any bank or trust company having the powers of a trust company |
25 | within the state, and any state aid so pledged shall be paid by the general treasurer directly to the |
26 | trustee to be held in trust and applied to the payment of principal and interest on such bonds, |
27 | notes, or certificates of indebtedness; any earnings derived from the investment of such pledged |
28 | aid shall be applied as needed to the payment of that principal and interest and for trustee's fees |
29 | and related expenses, with any excess to be paid to the city, town, or fire district. Bonds, notes, or |
30 | certificates of indebtedness authorized under authority of this chapter shall be executed on behalf |
31 | of the city, town, or fire district by a member of the commission and, except as provided for in |
32 | this chapter, may be subject to the provisions of chapter 12 of title 45 so far as apt, or may be |
33 | subject to the provisions of any special bond act enacted authorizing the issuance of bonds of a |
34 | city, town, or fire district so far as apt; provided, however, that any bonds or notes issued for |
| LC003664/SUB A - Page 63 of 79 |
1 | school purposes must be approved by the general assembly in order to qualify for school housing |
2 | aid as set forth in chapter 7 of title 16; and |
3 | (20) Exercise all powers under the general laws and this chapter, or any special act, any |
4 | charter provision or ordinance that any elected official of the city, town, or fire district may |
5 | exercise, acting separately or jointly; provided, however, that with respect to any such exercise of |
6 | powers by the budget commission, the elected officials shall not rescind nor take any action |
7 | contrary to such action by the budget commission so long as the budget commission continues to |
8 | exist. |
9 | (21) Certify to the Rhode Island department of revenue the need to advance payments of |
10 | the state's basic education program under chapter 7 of title 16 in the amount determined by the |
11 | budget commission. Said amount shall be advanced, subject to approval of the director of the |
12 | department of revenue, notwithstanding any general or public law to the contrary. The director of |
13 | the department of revenue shall provide notice of any advance payments to the fiscal advisors of |
14 | the house and senate finance committees. The state general treasurer shall deduct the estimated |
15 | cost to the state's general fund resulting from any advance payments. |
16 | ARTICLE II--STATUTORY REENACTMENT |
17 | SECTION 34. Sections 1-3-4, 1-3-16, and 1-3-27 of the General Laws in Chapter 1-3 |
18 | entitled "Airport Zoning" are hereby amended to read as follows: |
19 | 1-3-4. Airport approach plans. -- The airport corporation shall formulate, adopt, and |
20 | revise, when necessary, an airport airspace plan for each publicly owned airport in the state. Each |
21 | plan shall indicate the circumstances in under which structures and trees are, or would be, airport |
22 | hazards,; the area within which measures for the protection of the airport's navigable airspace, |
23 | including aerial approaches, should be taken,; and what the height limits and other objectives of |
24 | those measures should be. In adopting or revising any airspace plan, the airport corporation shall |
25 | consider, among other things, the character of flying operations expected to be conducted at the |
26 | airport,; the traffic pattern and regulations affecting flying operations at the airport,; the nature of |
27 | the terrain,; the height of existing structures and trees above the level of the airport,; and the |
28 | possibility of lowering or removing existing obstructions. The airport corporation may obtain and |
29 | consider the views of the agency of the federal government charged with the fostering of civil |
30 | aeronautics, as to the aerial approaches and other regulated airspace necessary to safe flying |
31 | operations at the airport. |
32 | 1-3-16. Obstruction markers. -- In granting any permit or variance under §§ 1-3-14 -- 1- |
33 | 3-16, the administrative agency or board of appeals may, if it deems the action advisable to |
34 | effectuate the purposes of this chapter and reasonable in the circumstances, condition the permit |
| LC003664/SUB A - Page 64 of 79 |
1 | or variance as to require the owner of the structure or tree in question to permit the political |
2 | subdivision, at its own expense, to install, operate, and maintain suitable obstruction markers and |
3 | obstruction lights thereon or the structure or trees. |
4 | 1-3-27. Judicial review. -- Any person or persons jointly or severally aggrieved by any |
5 | decision of the board of appeals, or any taxpayer, or any officer, department, board, or bureau of |
6 | the political subdivision, or the airports division, may appeal to the superior court in the manner |
7 | prescribed by § 45-24-20 45-24-63 and the provisions of that section shall in all respects be |
8 | applicable to the appeal. |
9 | SECTION 35. Section 2-3-10 of the General Laws in Chapter 2-3 entitled "Cooperative |
10 | Extension District Associations and the Rhode Island Agricultural Council" is hereby amended to |
11 | read as follows: |
12 | 2-3-10. Appropriations for general education purposes. -- The general assembly shall |
13 | annually appropriate any sum that it may deem necessary for the purpose of supporting the |
14 | program of the department of environmental management in its enlargement of cooperation with |
15 | agricultural organizations as exemplified by the Rhode Island agricultural council in the endeavor |
16 | to promote, encourage, and generally better rural living in Rhode Island; to encourage and |
17 | promote agriculture in this state and improve the state's agricultural interests; to hold meetings |
18 | throughout the state with discussions conducted by authorities from both within and without the |
19 | state; to make awards for outstanding agricultural contributions, and, in fine, to assist Rhode |
20 | Island agriculturalists in every way to overcome the problems which that confront them in the |
21 | agricultural field;. this This sum is to be expended under the direction of the director of the |
22 | department of environmental management with a committee of five (5) members of the Rhode |
23 | Island agricultural council appointed annually by the president of the council within thirty (30) |
24 | days after the annual meeting of the council;. the The committee is to act in an advisory capacity |
25 | and to assist in the formulation of plans and programs. |
26 | SECTION 36. Section 2-4-18 of the General Laws in Chapter 2-4 entitled "Soil |
27 | Conservation" is hereby amended to read as follows: |
28 | 2-4-18. Coastal resources management council and water resources board |
29 | unaffected. -- The provisions of this chapter notwithstanding, no provision of this chapter shall |
30 | be construed to take precedence over or acquire any of the powers delegated to the coastal |
31 | resources management council under the provisions of §§ 27-33-10, 27-33-11 § 46-23-6 and any |
32 | amendment to these sections and this section shall also apply to the state water resources board. |
33 | SECTION 37. Section 2-6-7 of the General Laws in Chapter 2-6 entitled "Rhode Island |
34 | Seed Act" is hereby amended to read as follows: |
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1 | 2-6-7. Duties and authority of the director of the department of environmental |
2 | management -- Appeal of stop sale order. -- (a) The duty of enforcing this chapter and carrying |
3 | out its provisions and requirements is vested in the director of the department of environmental |
4 | management. It is the duty of that officer, who may act through his or her authorized agents: |
5 | (1) To sample, inspect, make analysis of, and test agricultural and vegetable seeds |
6 | transported, sold, or offered or exposed for sale within the state for sowing purposes, at any time |
7 | and place and to any extent as he or she may deem necessary to determine whether those |
8 | agricultural or vegetable seeds are in compliance with the provisions of this chapter; to notify |
9 | promptly the person who transported, sold, offered, or exposed the seed for sale, or of any |
10 | violation; |
11 | (2) To prescribe and, after a public hearing following public notice, to adopt rules and |
12 | regulations governing the method of sampling, inspecting, analyzing, testing, and examining |
13 | agricultural and vegetable seed, and the tolerances to be followed in the administration of this |
14 | chapter, which shall be in general accord with officially prescribed practice in interstate |
15 | commerce, and any other rules and regulations that may be necessary to secure efficient |
16 | enforcement of this chapter; |
17 | (3) To prescribe and, after a public hearing following public notice, establish, add to, or |
18 | subtract from by regulations a prohibited and restricted noxious weed list; and |
19 | (4) To prescribe and, after a public hearing following public notice, to adopt rules and |
20 | regulations establishing reasonable standards of germination for vegetable seeds. |
21 | (b) For the purpose of carrying out the provisions of this chapter, the director, |
22 | individually or through his or her authorized agents, is authorized: |
23 | (1) To enter upon any public or private premises during regular business hours in order |
24 | to have access to seeds and the records connected with the premises subject to this chapter and |
25 | rules and regulations under this chapter, and any truck or other conveyor by land, water, or air at |
26 | any time when the conveyor is accessible, for the same purpose; |
27 | (2) To issue and enforce a written or printed "stop sale" order to the owner or custodian |
28 | of any lot of agricultural or vegetable seed which that the director finds is in violation of any of |
29 | the provisions of this chapter or rules and regulations promulgated under this chapter,. that That |
30 | order shall prohibit further sale, processing, and movement of the seed, except on approval of the |
31 | director, until the director has evidence that the law has been complied with, and the director has |
32 | issued a release from the "stop sale" order of the seed; provided, that in respect to seed which |
33 | that has been denied sale, processing, and movement as provided in this paragraph, the owner or |
34 | custodian of the seed has the right to appeal from the order to a court of competent jurisdiction in |
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1 | the locality in which the seeds are found, praying for a judgment as to the justification of the |
2 | order and for the discharge of the seeds from the order prohibiting the sale, processing, and |
3 | movement in accordance with the findings of the court. The provisions of this paragraph shall not |
4 | be construed as limiting the right of the director to proceed as authorized by other sections of this |
5 | chapter; |
6 | (3) To establish and maintain or make provisions for seed-testing facilities, to employ |
7 | qualified persons, and to incur any expenses that may be necessary to comply with these |
8 | provisions; |
9 | (4) To make or provide for making purity and germination tests of seed for farmers and |
10 | dealers on request; to prescribe rules and regulations governing that testing; and to fix and collect |
11 | charges for the tests made. Fees shall be accounted for in any manner that the state legislature |
12 | may prescribe; |
13 | (5) To cooperate with the United States department Department of agriculture |
14 | Agriculture and other agencies in seed law enforcement. |
15 | SECTION 38. Section 2-7-3 of the General Laws in Chapter 2-7 entitled "Commercial |
16 | Fertilizer" is hereby amended to read as follows: |
17 | 2-7-3. Definitions. -- When used in this chapter: |
18 | (1) "Bulk fertilizer" means a commercial fertilizer distributed in non-package form. |
19 | (2) "Brand" means a term, design, or trademark used in connection with one or several |
20 | grades of commercial fertilizer. |
21 | (3) "Commercial fertilizer" means any substance containing one or more recognized plant |
22 | nutrient(s) which that is used for its plant nutrient content and which that is designed for use or |
23 | claimed to have value in promoting plant growth, except unmanipulated animal and vegetable |
24 | manures, marl, lime, limestone, wood ashes and gypsum, and other products exempted by |
25 | regulation of the director. |
26 | (4) "Director" means director of the department of environmental management or his or |
27 | her authorized agent. |
28 | (5) "Distributor" means any person who imports, consigns, manufactures, produces, |
29 | compounds, mixes, or blends commercial fertilizer, or who offers for sale, sells, barters, or |
30 | otherwise supplies commercial fertilizer in this state. |
31 | (6) "Fertilizer material" means a commercial fertilizer which that either: |
32 | (i) Contains important quantities of no more than one of the primary plant nutrients |
33 | (nitrogen, phosphoric acid, and potash),; or |
34 | (ii) Has approximately eighty-five percent (85%) of its plant nutrient content present in |
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1 | the forms of a single chemical compound,; or |
2 | (iii) Is derived from a plant or animal residue or by-product or a natural, material deposit |
3 | which that has been processed in a way that its content or primary plant nutrients has not been |
4 | materially changed except by purification and concentration. |
5 | (7) "Guaranteed analysis" means: |
6 | (i) Until the director prescribes the alternative form of guaranteed analysis in accordance |
7 | with the provisions of subdivision (7)(ii) of this section, the term "guaranteed analysis" shall |
8 | mean the minimum percentage of plant nutrients claimed in the following order and form: |
9 | (A) Total Nitrogen (N) ............ percent |
10 | Available Phosphoric Acid (P2O5) ............ percent |
11 | Soluble Potash (K2O) ............ percent |
12 | (B) For unacidulated mineral phosphatic materials and basic slag, bone, tankage, and |
13 | other organic phosphate materials, the total phosphoric acid and/or degree or fineness may also be |
14 | guaranteed. |
15 | (C) Guarantees for plant nutrients, other than nitrogen, phosphorus, and potassium, may |
16 | be permitted or required by regulation of the director. The guarantees for these other nutrients |
17 | shall be expressed in the form of the element. The sources of these other nutrients (oxides, salt, |
18 | chelates, etc.) may be required to be stated on the application for registration and may be included |
19 | as a parenthetical statement on the label. Other beneficial substances or compounds, determinable |
20 | by laboratory methods, also may be guaranteed by permission of the director, and with the advice |
21 | of the dean of the college of resource development College of the Environment and Life |
22 | Sciences at the University of Rhode Island. When any plant nutrients or other substances or |
23 | compounds are guaranteed, they shall be subject to inspection and analysis in accord with the |
24 | methods and regulations prescribed by the director. |
25 | (D) Potential basicity or acidity expressed in terms of calcium carbonate equivalent in |
26 | multiples of one hundred (100) pounds per ton, when required by regulation. |
27 | (ii) When the director finds, after a public hearing following due notice, that the |
28 | requirement for expressing the guaranteed analysis of phosphorus and potassium in elemental |
29 | form would not impose an economic hardship on distributors and users of fertilizer by reason of |
30 | conflicting labeling requirements among the states, the director may require, by regulation, that |
31 | the "guaranteed analysis" shall be in the following form: |
32 | Total Nitrogen (N) ............ percent |
33 | Available Phosphorus (P) ............ percent |
34 | Soluble Potassium (K) ............ percent |
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1 | Provided, however, that the effective date of the regulation shall be not less than six (6) |
2 | months following the issuance of this regulation and provided further, that for a period of two (2) |
3 | years following the effective date of the regulation, the equivalent of phosphorus and potassium |
4 | may also be shown in the form of phosphoric acid and potash; provided, however, that after the |
5 | effective date of a regulation issued under the provisions of this section, requiring that |
6 | phosphorus and potassium shall constitute the grade. |
7 | (8) "Grade" means the percentage of total nitrogen, available phosphorus or phosphoric |
8 | acid, and soluble potassium or soluble potash stated in whole numbers in the same terms, order, |
9 | and percentages as in the guaranteed analysis. Specialty fertilizers may be guaranteed in |
10 | fractional units of less than one percent (1%) of total nitrogen, available phosphorus or |
11 | phosphoric acid, and soluble potassium or soluble potash; provided, that fertilizer materials, bone |
12 | meal, manures, and similar raw materials may be guaranteed in fractional units. |
13 | (9) "Investigational allowance" means an allowance for variations inherent in the taking, |
14 | preparation and analysis of an official sample of commercial fertilizer. |
15 | (10) "Label" means the display of all written, printed, or graphic matter upon the |
16 | immediate container or statement accompanying a commercial fertilizer. |
17 | (11) "Labeling" means all written, printed, or graphic matter, upon or accompanying any |
18 | commercial fertilizer, or advertisements, brochures, posters, television, and radio announcements |
19 | used in promoting the sale of commercial fertilizers. |
20 | (12) "Mixed fertilizer" means a commercial fertilizer containing any combination or |
21 | mixture of fertilizer materials. |
22 | (13) "Official sample" means any sample of commercial fertilizer taken by the director or |
23 | his or her agent and designated as "official" by the director. |
24 | (14) "Percent" or "percentage" means the percentage by weight. |
25 | (15) "Person" includes individual, partnership, association, firm, and corporation. |
26 | (16) "Registrant" means the person who registers commercial fertilizer under the |
27 | provisions of this chapter. |
28 | (17) "Specialty fertilizer" means a commercial fertilizer distributed primarily for non- |
29 | farm use, such as home gardens, lawns, shrubbery, flowers, golf courses, municipal parks, |
30 | cemeteries, greenhouses, and nurseries. |
31 | (18) "Ton" means a net weight of two thousand (2,000) pounds avoirdupois. |
32 | SECTION 39. Sections 2-11-2 and 2-11-5 of the General Laws in Chapter 2-11 entitled |
33 | "Forest Fire Personnel" are hereby amended to read as follows: |
34 | 2-11-2. Designation of fire chief, senior officer, and forest fire district. -- The local |
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1 | chief shall be elected, appointed, or designated by the procedure established and within the |
2 | framework spelled out in the fire company or fire district, city or town charter, by-laws, |
3 | constitution, or any other existing format for appointment of a fire chief. The fire chief's term of |
4 | office is recognized as that which is spelled out in the fire company or fire district, city or town |
5 | charter, by-laws, constitution, or any other existing format for such term of appointment. The fire |
6 | chief elected, appointed, or designated shall forthwith notify the director of the department of |
7 | enviromental environmental management of the election, appointment, or designation and shall |
8 | further notify the director of his or her specific forest fire district and jurisdiction,. and the The |
9 | director may then enter into agreements with each fire chief and fire company to provide |
10 | assistance and to accept assistance in the prevention and control of forest fires and enforcement of |
11 | forest fire laws which that may include training of personnel. It is the responsibility of the city or |
12 | town council to appoint a qualified resident to forest fire chief and to designate a forest fire |
13 | company for any portion of the city or town not protected by an existing fire chief and fire |
14 | company. If the city or town council of any city or town shall fail to appoint a fire chief as |
15 | required by this section, the director of the department of environmental management shall |
16 | appoint some qualified resident of the city or town to act as fire chief until an appointment shall |
17 | be made by the city or town council, as provided in this section. In any fire company or fire |
18 | district, the fire chief shall establish and define his or her forest fire district and jurisdiction and |
19 | shall designate a qualified resident of each district to serve as authorized senior officer. Any |
20 | designated senior officer shall serve during at the pleasure of the fire chief by whom he or she |
21 | was designated. A fire chief shall notify the director of the department of environmental |
22 | management of each authorized senior officer designated by him or her, and of each removal |
23 | from designation by him or her, forthwith upon the designation or removal. |
24 | 2-11-5. Reports of fires. -- Within two (2) weeks after any forest fire, the local fire chief |
25 | of the local fire district in which the fire occurs shall mail a report of the fire to the director of the |
26 | department of environmental management, using the printed form furnished for that purpose. In |
27 | case any local fire chief fails to make the report as required by this section, or the local fire chief |
28 | fails to transmit a copy of the itemized account, as provided in § 2-11-6, the fire department or |
29 | fire district shall not receive from the state the payment due under § 2-11-6 on account of the |
30 | extinguishing of the fire for extinguishing the fire. |
31 | SECTION 40. Section 2-20-19 and 2-20-28 of the General Laws in Chapter 2-20 entitled |
32 | "Lumber Surveys" is hereby amended to read as follows: |
33 | 2-20-19. Marking of measure. -- In the survey of all boards, planks, joists and timber, |
34 | the contents of this lumber in board measure shall be marked on this lumber in plain and durable |
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1 | numbers, and all other marks, if not correct, shall be erased,. and in In marking the contents of |
2 | any lumber, the board measure marks commonly used in marking boards shall only be used. |
3 | SECTION 41. Section 2-22-16 of the General Laws in Chapter 2-22 entitled "Soil |
4 | Amendments" is hereby amended to read as follows: |
5 | 2-22-16. Quality assurance funds. -- All funds received by the department under this |
6 | chapter shall be deposited into the feed and fertilizer quality testing fund established under § 2-7- |
7 | 6(d)(a) and used for the express purpose of testing and assuring the soil amendment. |
8 | SECTION 42. Section 3-5-23 of the General Laws in Chapter 3-5 entitled "Licenses |
9 | Generally" is hereby amended to read as follows: |
10 | 3-5-23. Revocation of license for criminal offenses or disorderly conditions -- Action |
11 | on bond. -- (a) If any licensed person is convicted of violating any of the provisions of this title, |
12 | or of chapters 6, 10, 34, 40 or 45 of title 11, or §§ 11-2-1, 11-9-13, 11-9-15, 11-11-5, 11-11-6, 11- |
13 | 18-2 -- 11-18-4, 11-20-1, 11-20-2, 11-23-4, 11-30-1 -- 11-30-11, 11-31-1 or 11-37-2 -- 11-37-4, |
14 | or pleads guilty or nolo contendere to any complaint or indictment under any of these provisions, |
15 | or if his or her license is revoked, his or her bond shall be put in suit by the town or city treasurer |
16 | of the city or town where the bond is given, and by due process of law, the penal sum of the bond |
17 | shall be recovered for the use of the town or city. |
18 | (b) If any licensed person permits the house or place where he or she is licensed to sell |
19 | beverages under the provisions of this title to become disorderly as to annoy and disturb the |
20 | persons inhabiting or residing in the neighborhood, or permits any gambling or unlawful gaming |
21 | to be carried on in the neighborhood, or permits any of the laws of this state to be violated in the |
22 | neighborhood, in addition to any punishment or penalties that may be prescribed by statute for |
23 | that offense, he or she may be summoned before the board, body, or official which that issued |
24 | his or her license and before the department, when he or she and the witnesses for and against |
25 | him or her may be heard. If it appears to the satisfaction of the board, body, or official hearing the |
26 | charges that the licensee has violated any of the provisions of this title or has permitted any of the |
27 | things listed in this section, then the board, body, or official may suspend or revoke the license or |
28 | enter another order. |
29 | (c) In case the license is revoked, the licensed person after the revocation shall cease to |
30 | have any authority under the license and shall be disqualified from holding any of the licenses |
31 | provided for in this title for a period of five (5) years following the revocation. |
32 | (d) The revocation of a license shall not interfere with, or prejudice the right of, recovery |
33 | upon the licensee's bond for the full amount of the bond. |
34 | SECTION 43. Section 3-6-13 of the General Laws in Chapter 3-6 entitled |
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1 | "Manufacturing and Wholesale Licenses" is hereby amended to read as follows: |
2 | 3-6-13. License bonds to state. -- As conditions precedent to the issuance by the |
3 | department of any manufacturer's license, rectifier's license, wholesaler's Class A license, |
4 | wholesaler's Class B license, and wholesaler's Class C license under the provisions of this |
5 | chapter, the person applying for a license shall give bond to the general treasurer of the state in a |
6 | penal sum in the amount that the department of business regulation requests with at least two (2) |
7 | resident sureties satisfactory to the department of business regulation, or a surety company |
8 | authorized to do business in this state as surety, which bond shall be on condition that the licensee |
9 | will not violate, or suffer to be violated, on any licensed premises under his or her control any of |
10 | the provisions of this chapter or of chapter 5 of this title or of chapters 10, 34, 40 or 45 of title 11 |
11 | or §§ 11-2-1, 11-9-13, 11-9-15, 11-11-5, 11-11-6, 11-18-2 -- 11-18-4, 11-20-1, 11-20-2, 11-23-4, |
12 | 11-31-1 or 11-37-2 -- 11-37-4 and on condition that the licensee will pay all costs and damages |
13 | incurred by any violation of any of those chapters or sections, and shall also pay to the division of |
14 | taxation the license fee required by this chapter. |
15 | SECTION 44. Section 3-7-7.6 of the General Laws in Chapter 3-7 entitled "Retail |
16 | Licenses" is hereby amended to read as follows: |
17 | 3-7-7.6. Casino license -- Class B-C. -- (a) A Class B-C license shall be issued only to a |
18 | holder of a gaming and entertainment license that is authorized to operate twenty-four (24) hours |
19 | a day. |
20 | (b) The license authorizes the holder to keep for sale and sell beverages, including beer |
21 | in cans, at retail at the place described and to deliver them for consumption on the premises or |
22 | place where sold. It also authorizes the charging of an admission to events at the gaming and |
23 | entertainment facility. |
24 | (c) The license authorizes the holder to sell and serve alcoholic beverages between the |
25 | hours of six o'clock (6:00) a.m. and two o'clock (2:00) a.m. on Fridays, Saturdays, and nights |
26 | before federal and state legally recognized holidays. The fee for a Class B-C license shall be two |
27 | thousand five hundred dollars ($2,500). |
28 | (d) The applicant for a Class B-C license shall submit the following to its host |
29 | municipality: |
30 | (1) The applicant holds a valid and enforceable Class B-V license that is in good |
31 | standing. |
32 | (2) The applicant is a licensed gaming and entertainment establishment that is authorized |
33 | to operate twenty-four (24) hours a day. |
34 | (3) The applicant provides a twenty-four-hour (24) security plan to the chief of police or |
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1 | other appropriate law enforcement official for the host municipality. |
2 | (4) The security plan shall set forth a protocol for communication with the host |
3 | municipality's police department and for updating the plan, as necessary. |
4 | (e) In the event that the host municipality grants a Class B-C license, the licensee shall |
5 | exchange its existing Class B-V license for the Class B-C license. |
6 | (f) Upon receipt of the proper permits from the local licensing board, holders of Class B- |
7 | C licenses are permitted to have dances, entertainment, and food service within the licensed |
8 | premises to be conducted during the hours permitted for sale and service of alcoholic beverages. |
9 | (g) A holder of a Class B-C license, upon approval of the department of business |
10 | regulations and the local licensing board, may undertake promotional events related to the |
11 | service of alcoholic beverages that may be otherwise prohibited serve alcoholic beverages as |
12 | part of an event that may not be specifically set forth in § 3-7-26(c). The holder of the Class |
13 | B-C license must secure approval for any such promotional event first from the department of |
14 | business regulation liquor control administration and then from the local licensing board upon |
15 | establishing a specific security protocol for the event. |
16 | (h) Notwithstanding any provisions in the department of business regulation liquor |
17 | control administration regulations, rule 18, it shall be lawful for the holder of a Class B-C license |
18 | to permit the consumption of alcoholic beverages at any time as long as the subject alcoholic |
19 | beverage was purchased during legal service hours. |
20 | (i) To the extent that there is no conflict with the provisions of § 3-7-7.6, the provisions |
21 | of § 3-7-7 shall apply to a holder of a Class B-C license. |
22 | SECTION 45. Section 3-13-1 of the General Laws in Chapter 3-13 entitled "Malt |
23 | Beverage Supplier-Wholesaler Agreements" is hereby amended to read as follows: |
24 | 3-13-1. Definitions. -- As used in this chapter: |
25 | (1) "Agreement" means any contract, agreement, or arrangement, whether expressed or |
26 | implied, whether oral or written, for a definite or indefinite period between a supplier and a |
27 | wholesaler pursuant to which a wholesaler has the right to purchase, resell, and distribute any or |
28 | all brands of malt beverages offered by the supplier. The agreement between a supplier and a |
29 | wholesaler is not considered a franchise relationship. |
30 | (2) "Good cause" means the failure by any party to an agreement, without reasonable |
31 | excuse and justification, to comply substantially with a reasonable requirement imposed by either |
32 | party. |
33 | (3) "Malt Beverage" means the same as defined in chapter 1 of this title. |
34 | (4) "Person" means a natural person, partnership, trust, agency, corporation, division of a |
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1 | corporation, or other form of business enterprise. Person also includes heirs, assigns, personal |
2 | representatives, and guardians. |
3 | (5) "Supplier" means any person engaged in business as a brewer, manufacturer, |
4 | importer, master wholesaler, broker, or agent of malt beverages which who enters into an |
5 | agreement with any wholesaler in this state to distribute any or all of its brands of malt beverages, |
6 | and any successor-in-interest to that entity with respect to the agreement. The term supplier does |
7 | not refer to any brewer licensed under § 3-6-1. |
8 | (6) "Territory" or "sales territory" means the geographic area of primary sales |
9 | responsibility designated by an agreement between a wholesaler and supplier for any brand or |
10 | brands of the supplier. |
11 | (7) "This act" means this chapter which that has the short title and may be cited as the |
12 | "Beer Industry Fair Dealing Law". |
13 | (8) "Wholesaler" means any person licensed to import, or cause to be imported, into this |
14 | state, or to purchase, or cause to be purchased, in this state, malt beverages for resale or |
15 | distribution to retailers licensed in this state, and any successor-in-interest to that entity. |
16 | SECTION 46. Section 4-9-1of the General Laws in Chapter 4-9 entitled "Biological |
17 | Products" is hereby amended to read as follows: |
18 | 4-9-1. Products to be labeled. -- All biological products as defined under the Virus- |
19 | Serum-Toxin Act 21 USC 151-159 et seq., biological products used for the testing or |
20 | immunizing of animals sold, given away, or used within the state, shall bear a label, stating the |
21 | name, and address of the person, firm, or institution making it, and the date of its expiration, and |
22 | comply with all other provisions of the Virus-Serum-Toxin Act 21 USC 151-159 et seq. |
23 | SECTION 47. Section 4-13-1.3 of the General Laws in Chapter 4-13 entitled "Dogs" is |
24 | hereby amended to read as follows: |
25 | 4-13-1.3. Rabies control board. -- (a) There shall be a rabies control board consisting of |
26 | seven (7) people as follows: |
27 | (1) The director of the Rhode Island department of environmental management, or his or |
28 | her designee; |
29 | (2) The director of the Rhode Island department of health, or his or her designee; |
30 | (3) A Rhode Island licensed veterinarian, appointed by the governor, who is a member of |
31 | the Rhode Island vVeterinary mMedical aAssociation; |
32 | (4) A livestock farmer, appointed by the governor, who is a member of the Rhode Island |
33 | fFarm bBureau; |
34 | (5) A member of a recognized Rhode Island humane group (such as the Rhode Island |
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1 | sSociety for pPrevention of cCruelty to aAnimals), appointed by the governor; |
2 | (6) The state veterinarian, who shall serve as chairperson; |
3 | (7) A member of the Rhode Island aAnimal cControl aAssociation, appointed by the |
4 | governor. |
5 | (b) All appointments made under this section after the effective date of this act [April |
6 | 20, 2006] shall be subject to the advice and consent of the senate. The members of the board shall |
7 | serve without compensation. The board members from the departments of health and |
8 | environmental management shall serve at the discretion of their directors. The state veterinarian |
9 | shall serve without term. Nongovernmental members shall serve for a period of three (3) years |
10 | and reappointments shall be made by the governor with the advice and consent of the senate. |
11 | (c) Vacancies for citizen members shall be filled by appointment, in the same manner as |
12 | the original appointment, for the unexpired term only. Four (4) members of the board shall |
13 | constitute a quorum. |
14 | (d) Members of the board shall be removable by the governor pursuant to § 36-1-7 of the |
15 | general laws and for cause only,. and rRemoval solely for partisan or personal reasons unrelated |
16 | to capacity or fitness for the office shall be unlawful. |
17 | (e) The board may elect from among its members such other officers as they deem |
18 | necessary. |
19 | (f) The director of the department of environmental management shall direct staff to |
20 | support the board within the constraints of available resources. |
21 | (g) Within ninety (90) days after the end of each fiscal year, the board shall approve and |
22 | submit an annual report to the governor, the speaker of the house of representatives, the president |
23 | of the senate, and the secretary of state of its activities during that fiscal year. The report shall |
24 | provide: an operating statement summarizing meetings or hearings held, including meeting |
25 | minutes, subjects addressed, decisions rendered, rules or regulations promulgated, studies |
26 | conducted, policies and plans developed, approved or modified, and programs administered or |
27 | initiated; a consolidated financial statement of all funds received and expended, including the |
28 | source of the funds, a listing of any staff supported by these funds, a summary of any clerical, |
29 | administrative, or technical support received; a summary of performance during the previous |
30 | fiscal year including accomplishments, shortcomings, and remedies; a synopsis of any legal |
31 | matters related to the authority of the board; a summary of any training courses held pursuant to |
32 | subsection (h) 4-13-1.3(i); a briefing on anticipated activities in the upcoming fiscal year; and |
33 | findings and recommendations for improvements. The report shall be posted electronically as |
34 | prescribed in § 42-20-8.2. The director of the department of administration shall be responsible |
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1 | for the enforcement of this provision. |
2 | (h) Newly appointed and qualified members and new designees of ex officio members of |
3 | the board are required to complete a training course within six (6) months of their qualification or |
4 | designation. The course shall be developed by the chair of the board, approved by the board, and |
5 | conducted by the chair of the board. The board may approve the use of any board or staff |
6 | members or other individuals to assist with training. The course shall include instruction in the |
7 | following areas: chapters 4-13, 42-46, 36-14 and 38-2 13 of title 4, 46 of title 42, 14 of title 36 |
8 | and 2 of title 38; and the board's rules and regulations. The director of the department of |
9 | administration shall, within ninety (90) days of the effective date of this act [April 20, 2006] |
10 | prepare and disseminate training materials relating to the provisions of chapters 42-46, 36-14 and |
11 | 38-2 46 of title 42, 14 of title 36 and 2 of title 38. |
12 | SECTION 48. Section 4-13.1-11 of the General Laws in Chapter 4-13.1 entitled |
13 | "Regulation of Vicious Dogs" are hereby amended to read as follows: |
14 | 4-13.1-11. Determination of a vicious dog. -- (a) In the event that the dog officer or law |
15 | enforcement officer has probable cause to believe that a dog is vicious, the chief dog officer, or |
16 | his or her immediate supervisor, or the chief of police, or his or her designee, is empowered to |
17 | convene a hearing for the purpose of determining whether or not the dog in question should be |
18 | declared vicious. The dog officer or chief of police shall conduct, or cause to be conducted, an |
19 | investigation and shall notify the owner or keeper of the dog that a hearing will be held, at which |
20 | time he or she may have the opportunity to present evidence why the dog should not be declared |
21 | vicious. The hearing shall be held promptly within no less than five (5), nor more than ten (10), |
22 | days after service of notice upon the owner or keeper of the dog. while said notice shall be |
23 | served upon the owner. The hearing shall be informal and shall be open to the public. The |
24 | hearing shall be conducted by a panel of three (3) persons which that shall consist of the chief of |
25 | police, or his or her designee, the executive director of the society Society for the prevention |
26 | Prevention of cruelty Cruelty to animals Animals (S.P.C.A.), or his or her designee,; and a |
27 | person chosen by the chief of police and the executive director of the S.P.C.A. All members of |
28 | the panel shall have one vote in making a determination whether or not the dog in question is |
29 | vicious. Hearing officers shall have immunity. |
30 | (b) After the hearing, the owner or keeper of the dog shall be notified in writing of the |
31 | determination. If a determination is made that the dog is vicious, the owner or keeper shall |
32 | comply with this chapter in accordance with a time schedule established by the dog officer or |
33 | chief of police, but in no case more than thirty (30) days subsequent to the date of the |
34 | determination. If the owner or keeper of the dog contests the determination, he or she may, within |
| LC003664/SUB A - Page 76 of 79 |
1 | five (5) days of that determination, bring a petition in the district court within the judicial district |
2 | where the dog is owned or kept, praying that the court conduct its own hearing on whether or not |
3 | the dog should be declared vicious. After service of notice upon the dog officer, the court shall |
4 | conduct a hearing de novo and make its own determination as to viciousness. The hearing shall be |
5 | conducted within seven (7) days of the service of the notice upon the dog officer or law |
6 | enforcement officer involved. The issue shall be decided upon the preponderance of the evidence. |
7 | If the court rules the dog to be vicious, the court may establish a time schedule to insure ensure |
8 | compliance with this chapter, but in no case more than thirty (30) days subsequent to the date of |
9 | the court's determination. If the owner has not complied with the provisions of this chapter at the |
10 | end of thirty (30) days from the written notification that the dog is vicious, the dog may be |
11 | euthanized. |
12 | (c) The court may decide all issues for or against the owner or keeper of the dog |
13 | regardless of the fact that the owner or keeper fails to appear at the hearing. |
14 | (d) The determination of the district court shall be final and conclusive upon all parties. |
15 | The dog officer or any law enforcement officer shall have the right to convene a hearing under |
16 | this section for any subsequent actions of the dog. |
17 | (e) In the event that the dog officer or law enforcement officer has probable cause to |
18 | believe that the dog in question is vicious and may pose a threat of serious harm to human beings |
19 | or other domestic animals, the dog officer or law enforcement officer may seize and impound the |
20 | dog pending the hearings. |
21 | The owner or keeper of the dog is liable to the city or town where the dog is impounded |
22 | for the costs and expenses of keeping the dog. The city or town council may establish by |
23 | ordinance a schedule of those costs and expenses. |
24 | SECTION 49. Section 4-20-5 of the General Laws in Chapter 4-20 entitled "Rodeo |
25 | Animals and Livestock" is hereby amended to read as follows: |
26 | 4-20-5. Duties of veterinarian in charge. -- The appointed veterinarian, once appointed |
27 | to oversee any rodeo, has shall have access to the complete site of any activity involving animals |
28 | to be employed in the event. The veterinarian has shall have complete authority over the |
29 | treatment and use of any animal which that becomes injured in this event. The veterinarian has |
30 | shall have the right to declare any animal unfit for use in any this such event and his or her |
31 | decision shall be final after that decision has been communicated to the person in charge, as |
32 | communicated to the animal control officer in § 4-20-2. |
33 | SECTION 50. Article II of this act shall take effect on December 31,2016. The remaining |
34 | portions of this act shall take effect upon passage. |
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LC003664/SUB A | |
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| LC003664/SUB A - Page 78 of 79 |
EXPLANATION | |
BY THE LEGISLATIVE COUNCIL | |
OF | |
A N A C T | |
RELATING TO STATUTES AND STATUTORY CONSTRUCTION -- 2015 | |
*** | |
1 | This act would make a number of technical amendments to the general laws, prepared at |
2 | the recommendation of the Law Revision Office. Article I of the act includes the statutory |
3 | construction bill. Article II of the act contains reenactments of selected general laws. |
4 | Article II of this act would take effect on December 31, 2016. The remaining portions of |
5 | this act would take effect upon passage. |
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LC003664/SUB A | |
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| LC003664/SUB A - Page 79 of 79 |