Chapter 04-006
2004 -- H 5808
SUBSTITUTE B AS AMENDED
Enacted 04/14/04
A N A C T
RELATING
TO STATUTES AND STATUTORY CONSTRUCTION
Introduced
By: Representative Kenneth Carter
Date
Introduced: February 11, 2003
It
is enacted by the General Assembly as follows:
SECTION 1. Section 21-28.5-3 of the General Laws in Chapter 21-28.5 entitled “Sale of
Drug Paraphernalia” is hereby amended to read as follows:
21-28.5-3. Delivery of drug paraphernalia to a minor - Penalty. -- Any person
eighteen (18) years of age or over who violates § 21-28.5-2 by delivering drug paraphernalia to a
person under eighteen (18) years of age shall be subject to a fine not to exceed five thousand
dollars ($5,000) and or imprisonment not to
exceed five (5) years, or both.
SECTION 2. Chapter 42-17.1 of the General Laws entitled “Department of
Environmental Management” is hereby amended by adding thereto the following section:
42-17.1-15.1. Frederick J. Benson Pavilion. -- The pavilion building at Block Island
State Beach shall hereafter be named and known as the
Frederick J. Benson Pavilion.
SECTION 3. Section 31-41.1-4 of the General Laws in Chapter 31-41.1 entitled
“Adjudication of Traffic Offenses” is hereby amended to read as follows:
31-41.1-4. Schedule of violations. -- (a) The penalties for violations of the enumerated
sections, listed in numerical order, correspond to the fines described. However, those offenses for
which punishments which may vary according to the severity of the offense, or punishment which
require the violator to perform a service, shall be heard and decided by the traffic tribunal or
municipal court. The following violations may be handled administratively through the method
prescribed in this chapter. This list is not exclusive and jurisdiction may be conferred on the
traffic tribunal with regard to other violations.
VIOLATIONS SCHEDULE
* * *
31-22-22 (b) (a)
No child restraint 75.00
31-22-22 (c) (a)
Child restraint/seat belt but not in back seat any rear
seating position 75.00
31-22-22(e) (b),
(f) No seat belt - passenger 75.00
31-22-22(f) (g)
No seat belt - operator 75.00
* * *
31-28-7(b)(4) (d) Wrongful
use of handicapped parking placard 125.00 500.00
31-28-7 (d) (f)
Handicapped parking space violation:
First
offense 100.00
Second offense 175.00
Third offense and subsequent offenses 325.00
*
* *
SECTION 4. Section 31-22-22 of the General Laws in Chapter 31-22 entitled
“Miscellaneous Rules” is hereby amended to read as follows:
31-22-22. Safety belt use - Child restraint. -- (a) (1) Any person transporting a child
under the age of seven (7), less than fifty-four (54) inches in height and less than eighty (80)
pounds in a motor vehicle operated on the roadways, streets, or highways of this state, shall
transport the child in any rear seating position of the motor vehicle properly restrained in a child
restraint system approved by the United States Department of Transportation under Federal
Standard 213. If the child is under seven (7) years old but at least fifty-four (54) inches in height,
or at least eighty (80) pounds the child shall be properly wearing a safety belt and/or shoulder
harness approved by the Department of Transportation pursuant to Federal Standard 208 in any
rear seating position of the motor vehicle. For the purpose of this section, applying to all parts of
this section, 'rear seating position' means any seating positions located behind the driver and front
seat passenger. Under this subsection, a child must be properly restrained in the front seat if:
(i) The vehicle is not equipped with a back seat; or
(ii) All rear seating positions are being utilized by other children.
(2) In no event shall failure to wear a child restraint system or safety belt be considered as
contributory or comparative negligence, nor the failure to wear the child restraint system, seat belt
and/or shoulder harness be admissible as evidence in the trial of any civil action.
(b) (1) Any operator of a motor vehicle transporting a child between the ages of seven (7)
through twelve (12) in any seating position within a motor vehicle operated on the roadways,
streets, or highways of the state shall ensure that the passenger is properly wearing a safety belt
and/or shoulder harness system, as defined by Federal Standard 208.
(2) This subsection applies only to those motor vehicles required by federal law to have
safety belts.
(c) (1) Any person deemed in violation of subsection (a) of this section shall be issued a
citation. If the cited person presents proof of purchase of a federally approved child restraint
system under Standard 213 to the issuing police department within seven (7) days of issuance, the
department shall void the violation. If the individual fails to present proof of purchase, he or she
shall be required to appear for a hearing before the traffic tribunal, and shall be fined seventy-five
dollars ($75) for each offense, and it shall not be recorded on the person's driving record within
the rules and regulations governing chapter 41.1 of this title.
(2) Any person violating
subsection (b) of this section shall be fined fifty seventy-five
dollars ($50.00) ($75) for each offense. The
conviction shall not be recorded on that person's
driving record within the rules and regulations governing chapter 41.1 of this title.
(d) Notwithstanding the provisions of subsection (a) of this section, any person
transporting a child properly restrained in a federally approved child restraint system under
Federal Standard 213, but transporting the child in a place other than a rear seating position, in
violation of subsection (a) of this section, shall be subject only to the fine contained in
subdivision (c)(2) of this section.
(e) All fines collected for violations of this section shall be payable to the state of Rhode
Island. Fifty percent (50%) of the proceeds shall be shared with the municipality whose law
enforcement department issued the citation for the violations.
(f) (1) Any operator of a motor vehicle transporting a person thirteen (13) years of age
and older in any seating position of a motor vehicle operated on the roadways, streets or
highways of this state shall ensure that the person be properly wearing a safety belt and/or
shoulder harness system, as defined by Federal Motor Vehicle Safety Standard 208.
(2) The provisions of this subsection shall apply only to those motor vehicles required by
federal law to have safety belts.
(g) (1) Any person who is an operator of a motor vehicle shall be properly wearing a
safety belt and/or shoulder harness system as defined by Federal Motor Vehicle Safety Standard
208 while the vehicle is in operation on any of the roadways, streets, or highways of this state.
(2) The provisions of this subsection shall apply only to those motor vehicles required by federal
law to have safety belts.
(h) In no event shall failure to be properly restrained by a child restraint system or safety
belt be considered as negligence, nor the failure to be properly restrained by the child restraint
system or safety belt be admissible as evidence in the trial of any civil action.
(i) The provisions of subsections (b), (f) and (g) of this section shall not apply to a driver
or passenger of:
(1) A passenger motor vehicle manufactured before July 1, 1966;
(2) A passenger motor vehicle in which the driver or passenger possesses a written
verification from a licensed physician that the driver or passenger is unable to wear a safety seat
belt system for physical or medical reasons. The verification time period shall not exceed twelve
(12) months at which time a new verification may be issued;
(3) A passenger motor vehicle which is not required to be equipped with a safety seat belt
system under federal laws; or
(4) A passenger motor vehicle operated by a letter carrier of the United States Postal
Service while performing the duties of a letter carrier.
(j) A program of public information and education designed to educate the motoring
public to the benefits of wearing safety belt systems, shall be developed by the department of
transportation's governor's office on highway safety. The department of transportation's office on
highway safety, in cooperation with the department of health, shall study the effectiveness of the
implementation of this section and shall submit to the general assembly a report containing its
findings by July 1, 1999.
(k) Violations of subsections (f) and (g) of this section shall be considered secondary
offenses and no motor vehicle may be stopped by any state or municipal law enforcement agency
for failure of an operator or passenger to wear a safety belt system or for any violation of
subsections (f) or (g) of this section; provided, that a motor vehicle may be stopped for failure to
comply with the child restraint system as described in subsections (a) and (b) of this section.
(l) Any person violating subsection (f) or (g) of this section shall be fined seventy-five
dollars ($75.00). Any conviction for violating subsection (f) or (g) of this section shall not be
recorded on that person's driving record within the rules and regulations governing chapter 41.1
of this title.
SECTION 6. Section 21-31-6 of
the General Laws in Chapter 21-31 entitled “Rhode
Island Food, Drugs, and Cosmetics Act” is hereby amended to
read as follows:
21-31-6. Embargoed articles - Condemnation and destruction. -- (a) Whenever a
duly authorized agent of the director of health finds or has probable cause to believe that any
food, drug, device, or cosmetic is adulterated, or so misbranded as to be dangerous or fraudulent,
within the meaning of this chapter, the agent shall affix to that article a tag or other appropriate
marking, giving notice that the article is, or is suspected of being, adulterated or misbranded and
has been detained or embargoed, and warning all persons not to remove or dispose of the article
by sale or otherwise until permission for removal or disposal is given by the agent or the court. It
shall be unlawful for any person to remove or dispose of a detained or embargoed article by sale
or otherwise without permission.
(b) When an article detained or embargoed under subsection (a) of this section has been
found by the agent to be adulterated or misbranded, the agent shall petition the proper judge of
the court in whose jurisdiction the article is detained or
embargoed for a libel label for
condemnation of the article. When the agent has found that an article so detained or embargoed is
not adulterated or misbranded, he or she shall remove the tag or other marking.
(c) If the court finds that a detained or embargoed article is adulterated or misbranded, the
article shall, after entry of the decree, be destroyed at the expense of the claimant of the article,
under the supervision of the agent, and all court costs and fees, and storage and other proper
expenses, shall be taxed against the claimant of the article or the claimant's agent; provided, that
when the adulteration or misbranding can be corrected by proper labeling or processing of the
article, the court, after entry of the decree and after costs, fees, and expenses have been paid and a
good and sufficient bond, conditioned that the article shall be so labeled or processed, has been
executed, may by order direct that the article be delivered to the claimant of it for labeling or
processing under the supervision of an agent of the director of health. The expense of the
supervision shall be paid by the claimant. The article shall be returned to the claimant of the
article on representation to the court by the director of health that the article is no longer in
violation of this chapter, and that the expenses of the supervision have been paid.
(d) Whenever the director of health or any of the director's authorized agents shall find in
any room, building, vehicle of transportation, or other structure, any meat, sea food, poultry,
vegetable, fruit, or other perishable articles which are unsound, or contain any filthy,
decomposed, or putrid substance, or that may be poisonous or deleterious to health or otherwise
unsafe, it being hereby declared to be a nuisance, the director of health or the director's authorized
agent shall immediately condemn or destroy it, or in any other manner render it unsalable as
human food.
SECTION 7. Sections 5-20-12.1
and 5-20-23 of the General Laws in Chapter 5-20
entitled “Plumbers and Irrigators” are hereby amended to
read as follows:
5-20-12.1. Issuance of contractor master license. -- (a) There is created a class of
license which shall be known as a contractor master plumber. This license does not, in and of
itself, permit any holder of a license to individually engage in installation, maintenance, or repair
as described in this chapter, but may instead only be used in conjunction with a contractor's
license as described in § 5-20-12.
(b) No application for a license of a contractor master plumber shall be filed with the
department of labor and training, nor shall any applicant be permitted to take the examination for
a license, unless:
(1) The applicant possesses the requisite skill, expertise, education, experience, training,
and other qualities or qualifications to take an examination as the department of labor and
training, by the promulgation of regulations, may require.
(2) The application is accompanied by a test fee which equals the fee for a master
plumber as outlined in § 5-20-16.
(3) Upon passage of the contractor master examination as prepared and administered by
the department of labor and training upon recommendation and advice of the board, payment of a
license fee which equals the fee for a master plumber as outlined in § 5-20-23, as amended, shall
be required and the contractor master license shall be issued as provided in § 5-20-21.
(c) Applications must be filed with the department of labor and training at least fifteen
(15) days prior to the examination date.
(d) All applicants for
licensure as a contractor master are subject to the bonding
requirements set forth in § 5-20-18 .
5-20-23. Expiration and
renewal of licenses -- Penalties for violation of section. -- (a)
All licenses of master plumbers and master irrigators and
journeyperson plumbers or
journeyperson irrigators issued by the division of
professional regulation expire on the birthday of
the individual qualifying for the license and may be renewed
on or before that date for a period of
one year, upon payment of the appropriate renewal fee.,
and a bond as required by § 5-20-18.
(b) Any master plumber or master irrigator who fails to renew his or her license as
provided in subsection (a) of this section may be reinstated by the department on or after the
renewal date for a period of one year, upon payment of the current renewal fee of one hundred
twenty dollars ($120) plus outstanding license fees and a twelve dollar ($12.00) per month
administrative assessment fee for the delinquency period.
(c) Every certificate of license of a journeyperson plumber or journeyperson irrigator
issued by the department is renewed on or before the licensee's birthday next following the date
of issuance upon payment of a renewal fee of thirty six dollars ($36.00).
(d) Any journeyperson plumber or journeyperson irrigator who fails to renew his or her
license as provided in subsection (a) of this section may be reinstated by the department on or
after the renewal date for a period of one year upon payment of the current renewal fee of thirty
six dollars ($36.00) plus outstanding license fees and a twelve dollar ($12.00) per month
administrative assessment fee for the delinquency period.
(e) [Deleted by P.L. 2000, ch. 425, § 1.]
(f) [Deleted by P.L. 2000, ch. 425, § 1.]
(g) Notwithstanding any other
provisions of this chapter, any license issued under this
chapter which is not renewed within two (2) years of the
date of its expiration, is deemed to be
forfeited, and the person to whom the license has been
issued is required to make written
application for an examination prior to the issuance of a
new license.
SECTION 8. Section 9-20-5 of
the General Laws in Chapter 9-20 entitled “Decisions,
Special Findings and Assessment of Damages” is hereby
amended to read as follows:
9-20-5. Assumption of risk in use of off-road vehicles. -- (a) Notwithstanding the
provisions of § 9-20-4, in any legal action against the state or any political subdivision thereof, an
operator or passenger of: (1) a recreational vehicle as
defined in § 31-3.2-1(9) 31-3.2-1(8) or (2) a
snowmobile as defined in § 31-3.2-1(12) 31-3.2-1(11),
or (3) an all terrain vehicle (A.T.V.), or
(4) a motor vehicle primarily designed for use off public roads, shall while on state property
assume as a matter of law the risks inherent in such operation insofar as they are obvious and
necessary.
(b) The director of the department of environmental management shall post signs warning
operators and passengers that they assume the risk of injury while on state property. Provided,
however, that the lack of signs shall not be admissible in a suit for negligence.
SECTION 9. Sections 12-1-4 and
12-1-7 of the General Laws in Chapter 12-1 entitled
“Identification and Apprehension of Criminals” are hereby
amended to read as follows:
12-1-4. Division of criminal identification -- Chief and assistants. -- There shall be a
division of criminal identification in the department of the attorney general to be in charge of a
chief who shall be appointed by the attorney general to serve at the pleasure of the attorney
general, and who shall devote all of his or her time to the duties of his or her office. The chief
with the approval of the attorney general may appoint any assistants that he or she may deem
necessary to carry out the work of the division, within the limits of any appropriation made for
that purpose, and may with the approval of the attorney general discontinue the employment of
any assistants at any time. The chief shall perform the
functions required by §§ 12-1-5 -- 12-1-12
the provisions of this chapter. In addition to availability of records to law enforcement agencies
and officers, the records shall be made available to any attorney of record in any criminal action,
and any officials of businesses which are required by federal or state law or regulation to
effectuate a criminal background check of potential or prospective employees. The information
shall be confidential and shall be used only by the employer for the employee's application of
employment.
12-1-7. Criminal identification records -- Stolen property reports. -- It shall be the
duty of the attorney general to procure and file for record in the office of his or her department so
far as the same can be procured, fingerprints, plates, photos, outline pictures, descriptions,
information, and measurements of all persons who shall be or shall have been convicted of
felony, or imprisoned for violating any of the military, naval, or criminal laws of the United
States or of any state, and of all well-known and habitual criminals from wherever procurable.
The attorney general shall procure and keep on file in the office of the department, so far as they
can be procured, fingerprints, measurements, processes, operations, signalletic cards, plates,
photographs, outline pictures, measurements, and descriptions of any person who shall have been
or shall be confined in any penal institution of this state, taken in accordance with the system of
identification in use in any penal institution of this state. The attorney general shall also keep on
file in the office the reports of lost, stolen, found, pledged, or pawned property required to be
furnished to him or her. under the provisions of §
12-1-10.
SECTION 10. Section 23-1-3 of the
General Laws in Chapter 23-1 entitled “Department
of Health” is hereby amended to read as follows:
23-1-3. Maintenance of laboratories. -- (a) The director of health shall maintain
pathological, bacteriological, and chemical laboratories and shall select in accordance with law
qualified persons to conduct and supervise the pathological, bacteriological, and chemical
researches made in those laboratories.
(b) The director of health is authorized to establish and modify fees by regulation for all
laboratory services provided by the department of health laboratory. The fees as established by
the director shall be related to the costs incurred in operating the laboratory and may include
administrative, personnel, equipment, supplies, overhead, and other related costs necessary to
develop and provide laboratory services. All fees collected under this section, except those fees in
subsections (f) through (h) shall be deposited as general revenues.
(c) The testing program for clinical tests designated by the director in regulation shall be
a covered benefit and shall be reimbursable by all health
insurers, as defined in § 27-38-6
[repealed] 27-38.2-2(1), providing health
insurance coverage in Rhode Island except for
supplemental policies which only provide coverage for specific diseases, hospital indemnity
Medicare supplements, or other supplemental policies. The charges for those testing programs
shall be borne by the hospitals or other licensed health care providers and facilities in the absence
of a third-party payor.
(d) All funds received under chapter 16.2 of this title shall be deposited as general
revenues.
(e) The provisions of §§ 45-13-7 through 45-13-10 shall not apply to this section.
(f) In addition to any other fine, assessment, penalty or forfeiture provided by law, the
traffic tribunal shall collect an assessment of one hundred dollars ($100) from each defendant
who is required to attend a special course on driver retraining, except from those who are ordered
to attend a special course on driving while intoxicated, described in § 31-27-2, by the traffic
tribunal.
(g) In addition to any other fine, assessment, penalty, or forfeiture provided by law, the
court or tribunal shall collect the sum of one hundred and eighteen dollars ($118) for each drug-
related charge from every defendant who is convicted after trial, or who enters a plea of guilty or
of nolo contendere, with respect to violations of the following chapters and/or sections of the
Rhode Island General Laws, which shall include but not be limited to: chapter 15 of title 7, 11-
23-2, 11-23-6, 11-25-23, chapter 28 of title 21, 21-28-4.01, 21-28-4.01.1, 21-28-4.01.2, 21-28-
4.02, 21-28-4.03, 21-28-4.04, 21-28-4.05, 21-28-4.06, 21-28-4.07, 21-28-4.07.1, 21-28-4.09, 21-
28-4.10, 21-28-4.11, 21-28-4.14, 21-28-4.15, 21-28-4.16, 21-28-4.17, 21-28-4.17.1, 21-28-4.19,
31-27-1.1, 31-27-2.2, 31-27-2.4, 31-27-2.6, chapter 22.2 of title 46, 46-22.2-3, 46-22.2-4, and 46-
22.2-5.
(h) In addition to any other fine, assessment, penalty, or forfeiture provided by law, the
court or tribunal shall collect the sum of one hundred dollars ($100) for each charge from every
defendant who is convicted after trial, or who enters a plea of guilty or of nolo contendere, with
respect to violations of the following chapters and/or sections of the Rhode Island General Laws,
which shall include but not be limited to: 11-5-1, 11-5-2, 11-5-2.1, 11-5-4, 11-5-5, 11-5-6, 11-5-
7, 11-5-8, 11-5-10, 11-5-10.1, 11-5-10.2, 11-5-10.3, 11-5-10.4, 11-5-11, 11-5-14, 11-5-14.1, 11-
8-1, 11-8-2.1, 11-8-2.2, 11-8-2.3, 11-8-2.4, 11-8-3, 11-8-4, 11-8-9, 11-23-1, 11-23-2.1, 11-23-3,
11-25-2, 11-25-3, 11-25-4, 11-26-1, 11-26-1.4, 11-29-1, 11-37-2, 11-37-4, 11-37-6, 11-37-8.1,
11-37-8.3, and 11-39-1.
(i) All fees collected in subsections (f) through (h) shall be placed in the general fund.
SECTION 11. Section 23-13-14 of the General Laws in Chapter 23-13 entitled
“Maternal and Child Health Services for Children with Special Health Care Needs”” is hereby
amended to read as follows:
23-13-14. Newborn screening program. -- (a) The physician attending a newborn child
shall cause that child to be subject to newborn screening tests for metabolic, endocrine, and
hemoglobinopathy disorders. The department of health shall make rules and regulations
pertaining to metabolic disease screening, diagnostic, and treatment services as accepted medical
practice shall indicate. The provisions of this section shall not apply if the parents of the child
object to the tests on the grounds that those tests conflict with their religious tenets and practices.
(b) In addition, the department of health is authorized to establish by rule and regulation a
reasonable fee structure for the newborn screening and disease control program, which includes
but is not limited to screening, diagnostic, and treatment services. The program shall be a covered
benefit and be reimbursable by all health insurers, as
defined in § 27-38-6 [repealed] 27-38.2-
2(1), providing health insurance coverage in Rhode Island except for supplemental policies which
only provide coverage for specific diseases, hospital indemnity Medicare supplements, or other
supplemental policies. The department of human services shall pay for the program where the
patient is eligible for medical assistance under the provisions of chapter 8 of title 40. The charges
for the program shall be borne by the hospitals or other health-care facilities where births occur in
the absence of a third-party payor. Nothing in this section shall preclude the hospital or health
care facility from billing the patient directly. Those fees shall be deposited into the general fund
as general revenues.
SECTION 12. Section 27-8.1-2.1
of the General Laws in Chapter 27-8.1 entitled
“Information Reporting and Immunity Relating to Fire Losses”
is hereby amended to read as
follows:
27-8.1-2.1. Statement to fire department concerning burned motor vehicle. -- (a)
Whenever a motor vehicle as defined in § 31-1-3(n) 31-1-3(p)
is burned, the owner of record of
the vehicle shall submit to the fire department for the city or town in which the vehicle is located
a statement signed under the penalties of perjury containing any information concerning the
burning of the vehicle that the state fire marshal or his or her designee shall require.
(b) The state fire marshal or his or her designee is empowered and directed to develop
and adopt an appropriate form upon which to enter the owner's statement, which form shall
contain the requisite information as provided in § 27-8.1-3.
SECTION 13. Section 27-43-7 of
the General Laws in Chapter 27-43 entitled “Captive
Insurance Companies” is hereby amended to read as follows:
27-43-7. Reinsurance. -- (a) Any captive insurance company may provide reinsurance
on risks ceded by any other insurer, provided, that the captive insurance company and the insurer
comply with the requirements established by regulations promulgated pursuant to this chapter.
(b) Any captive insurance company may reinsure its risks and take credit for reserves on
risk or on portions of risk ceded to reinsurers as provided
in §§ 27-1.1-1 -- 27-1.1-8 chapter 1.1 of
this title. Subsidiary captive insurance companies may take credit for reserves on risks or portions
of risk ceded to reinsurers not complying with §§
27-1.1-1 -- 27-1.1-8 chapter 1.1 of this title only
after obtaining the prior approval of the director. The director may require any other documents,
financial information or other evidence that the reinsurer will be able to provide adequate security
for its financial obligations. The commissioner may deny authorization or impose any limitations
on the activities of a reinsurer that, in his or her judgment, are necessary and proper to provide
adequate security for the ceding captive insurance company and for the protection and consequent
benefit of the public at large.
(c) For the purposes of this chapter, the insurance by a captive insurance company of any
workers' compensation qualified self-insured plan of its parent and affiliates shall be deemed to
be reinsurance.
SECTION 14. Section 31-5.2-1
of the General Laws in Chapter 31-5.2 entitled
“Consumer Enforcement of Motor Vehicle Warranties” is hereby
amended to read as follows:
31-5.2-1. Definitions. -- The following words and phrases, for the purposes of this
chapter, have the following meanings:
(1) “Consumer” means a buyer, other than for purposes of resale, of a motor vehicle, any
person to whom that motor vehicle is transferred for the same purposes during the duration of any
express or implied warranty applicable to that motor vehicle, and any other person entitled by the
terms of that warranty to enforce its obligations.
(2) “Dealer” means any person engaged in the business of selling, offering to sell,
soliciting, or advertising the sale of new motor vehicles.
(3) “Lease price” means the aggregate of:
(i) Lessor's actual purchase costs.
(ii) Collateral charges, if applicable.
(iii) Any fee paid to another to obtain the lease.
(iv) Any insurance or other costs expended by the lessor for the benefit of the lessee.
(v) An amount equal to state and local sales taxes not otherwise included as collateral
charges, paid by the lessor when the vehicle was initially purchased.
(vi) An amount equal to five percent (5%) of the lessor's actual purchase costs.
(4) “Lessee” means any consumer who leases a motor vehicle for one year or more
pursuant to a written lease agreement which provides that the lessee is responsible for repairs to
such motor vehicle or any consumer who leases a motor vehicle pursuant to a lease-purchase
agreement.
(5) “Lessee cost” means the aggregate deposit and rental payments previously paid to the
lessor for the leased vehicle.
(6) “Lessor” means a person who holds title to a motor vehicle leased to a lessee under a
written lease agreement or who holds the lessor's rights under such agreement.
(7) “Manufacturer” means any person, partnership, firm, association, corporation, or
trust, resident or nonresident, which is engaged in the business of manufacturing or assembling
new motor vehicles, or which is engaged in the business of importing new motor vehicles which
are manufactured or assembled outside of the United States.
(8) “Motor vehicle” or “vehicle” means an automobile, truck, motorcycle, or van having
a registered gross vehicle weight of less than ten thousand pounds (10,000 lbs.), sold, leased, or
replaced by a dealer or manufacturer, except that it shall not include a motorized camper as
defined in § 31-1-3(q) 31-1-3(m).
(9) “Nonconformity” means any specific or generic defect or malfunction, or any
concurrent combination of such defects or malfunctions, that substantially impairs the use, market
value, or safety of a motor vehicle.
(10) “Term of protection” means one year or fifteen thousand (15,000) miles of use from
the date of original delivery of a new motor vehicle to the consumer, whichever comes first; or, in
the case of a replacement vehicle provided by a manufacturer to a consumer under this chapter,
one year or fifteen thousand (15,000) miles from the date of delivery to the consumer of that
replacement vehicle, whichever comes first.
SECTION 15. Section 31-19.3-2
of the General Laws in Chapter 31-19.3 entitled
“Regulation of Rental of Motorized Bicycles and Motorized
Tricycles in New Shoreham” is
hereby amended to read as follows:
31-19.3-2. Definitions. -- As used in this chapter:
(1) “Motorized bicycles” has
the meaning set forth in § 31-1-3(j) 31-1-3(l).
(2) “Motorized tricycles” has
the meaning set forth in § 31-1-3(l) 31-1-3(n).
SECTION 16. Sections 31-22-11,
31-22-11.2, 31-22-11.3, 31-22-11.6, and 31-22-11.7 of
the General Laws in Chapter 31-22 entitled “Miscellaneous
Rules” are hereby amended to read as
follows:
31-22-11. Inspection of school buses. -- (a) The division of motor vehicles shall inspect
or cause to be inspected all school buses used for the transportation of school children as defined
in § 31-1-3(r) 31-1-3(v) at l east twice
throughout the year. Both of the inspections are to be done
at a state certified facility on a semiannual scheduled basis. These inspections will be known as
tear down inspections that will include pulling wheels at least once each year if the school bus is
equipped with drum brakes and any other work deemed necessary by the state employed or state
certified inspectors. Reports of the inspections shall be made in writing and shall be filed with the
inspection division of the department of administration, and the reports shall be available at no
cost for public inspection during usual business hours of the division.
(b) Upon receipt of the report, the inspection division shall immediately forward a copy
to the registered owner and to the superintendent and school committee of the school district for
which the school bus transports children.
31-22-11.2. Maintenance of
school buses. -- (a) All school buses, as defined in § 31-1-
3(r) 31-1-3(v), shall be maintained in a safe
operating condition through an approved systematic
preventive maintenance program. Defects which could create a hazard for riders or other road
users shall be corrected before the vehicle transports children.
(b) The maintenance program shall be adequate to provide the proper care of all the
equipment owned, leased, or contracted, and a written record shall be kept for all repairs
conducted on each bus. The records shall be retained for the life of each vehicle and shall transfer
with the vehicle when sold, and the record shall be available for inspection by the director of
inspections during normal business hours. Included in these records shall be a record of any
torque pressure as recommended by the manufacturer.
31-22-11.3. Random inspection of school buses. -- (a) The division of motor vehicles,
and state and local law enforcement officers, are authorized to stop and conduct a visual
inspection of any school bus as defined in § 31-1-3(r)
31-1-3(v), on public roads and highways
and in public and private parking areas. The random inspections shall be conducted at a time
when no school children are on the school bus. Nothing in this section shall preclude a law
enforcement officer from stopping a school bus which is transporting children for any visible
violation of applicable safety standards. Whenever a law enforcement officer stops a school bus,
he or she shall verify that the vehicle identification number (VIN) listed on the registration card is
the same as the VIN listed on the body of the bus.
(b) Any federal or state employee authorized to stop and inspect trucks on the highways
or roads of this state is authorized to conduct inspections of any school bus.
(c) Any school bus found to be in violation of applicable laws and/or regulations may be
immediately impounded, and notification shall be sent to the registered owner, the school
superintendent and the school committee for which the bus transports children. The bus shall not
be used to transport children until the violation is cured and the bus is inspected by a state
employed or state certified inspector.
31-22-11.6. Child care vehicles and school extra-curricular vehicles. -- (a) (1)
Pursuant to § 31-22-10, the division of motor vehicles is authorized to promulgate rules and
regulations concerning the type, construction, and equipment of motor vehicles used for the
transportation of children to and from child care facilities and to and from school sponsored
activities including athletics and extra-curricular activities.
(2) (i) For the purposes of
this section, “school bus”, as referred to in § 31-1-3(r) 31-1-
3(v), is defined as a vehicle which is used to carry children to or from school on school bound
routes at the outset of the children's school day and/or on home bound routes at the end of the
children's school day. For these routes, a school bus must be used regardless of the number of
students being transported.
(ii) For purposes of this section, “school extra-curricular vehicles” is defined as vehicles
designed to transport fewer than fifteen (15) students to and from school sponsored activities
including athletics, internships, work experiences, and extra-curricular activities where school
buses are not used because of the small number of students being transported.
(iii) For the purpose of this section, “child care vehicle” is defined as a motor vehicle
owned or leased by a licensed child care agency that does not exceed fifteen (15) passengers and
is being used to transport children from schools to child care facilities and/or from child care
facilities to schools. Two (2) door sedans shall not be considered child care vehicles or school
extra-curricular vehicles.
(b) The division of motor vehicles shall have the authority to suspend the registration of
any vehicle used for child care transportation or school extra-curricular transportation that does
not meet the following requirements:
(1) Seating. Adequate seating space for all passengers shall be provided. The maximum
seating capacity of a child care vehicle and school extra-curricular vehicle shall be fifteen (15)
persons, including the driver. No standing shall be permitted while the vehicle is in operation.
(2) Safety belts. Safety belts shall be required for all passengers riding in the child care
vehicle and school extra-curricular vehicle.
(3) Vehicle registration. All child care vehicles and school extra-curricular vehicles shall
be registered as public vehicles.
(4) Vehicle inspection. All child care vehicles and school extra-curricular vehicles shall
be inspected for excessive emissions and/or safety items according to a staggered appointment
schedule as determined by the director of administration, or his or her designee, and from time to
time thereafter as may be required, and the vehicle owner shall display upon the vehicle the
certificate of inspection and approval issued to the vehicle until the certificate shall expire.
(5) Inspector's rejection notice. The director of administration, or his or her designee,
may affix a notice of rejection to any vehicle that fails to pass the required inspection
requirements. The rejection notice shall not be destroyed or removed from the vehicle until the
vehicle has passed the inspection requirements, or its removal has been authorized by the director
of administration or his or her designee.
(6) Vehicle identification. (i) Any and all child care vehicles and school extra-curricular
vehicles must have the name of the child care organization conspicuously placed on the side of
the vehicle. The identification shall be required to possess two inch (2”) letters, and be
permanently affixed on the side of the vehicle.
(ii) Should any child care vehicle and school extra-curricular vehicle be a leased vehicle,
the vehicle shall forego the requirement of having the name of the child care facility or school
permanently affixed to the side of the vehicle, but instead may satisfy the identification
requirement by placing a magnetized sign naming the child care facility or school or any other
temporarily affixed apparatus; provided, that the temporary identification sign not be
interchanged, replaced, or modified to change the purpose or function of the child care vehicle
and school extra-curricular vehicle.
(7) Fire extinguisher. (i) The child care vehicle and school extra-curricular vehicle shall
be equipped with at least one pressurized, potassium bicarbonate base dry chemical-type fire
extinguisher, mounted in the manufacturer's extinguisher bracket, and located in the driver's
compartment in full view of and readily accessible to the driver. A pressure gauge shall be
mounted on the extinguisher so as to be easily read without removing the extinguisher from its
mounted position.
(ii) The fire extinguisher shall have a minimum capacity of not less than two and a half
pounds (2 1/2 lbs.) and be of a type approved by the Underwriters Laboratories, Inc., with a rating
of not less than ten (10) B:C. The operating mechanism shall be sealed with a type of seal that
will not interfere with use of the fire extinguisher.
(8) First-Aid kits. Every child care vehicle and school extra-curricular vehicle shall be
equipped with a first-aid kit mounted in an area accessible to the operator which consists of
bandages, sterile pads, adhesive tape, and Band-Aids for use in the administration of first-aid
treatment.
(9) School extra-curricular vehicles purchased after January 1, 2000 shall further comply
with regulations which the division of motor vehicles is authorized to promulgate which require
these vehicles to meet appropriate safety standards. The additional safety requirements of this
subsection shall, effective January 1, 2008, also apply to school extra-curricular vehicles in
service prior to January 1, 2000, which are still in service after January 1, 2008.
31-22-11.7. Unauthorized school bus entry. -- (a) Any person over eighteen (18) years
of age who enters a school bus as defined in § 31-1-3(r)
31-1-3(v) without prior authorization of
the driver or a school official, and who refuses to disembark after being ordered to do so by the
driver, shall be guilty of a misdemeanor.
(b) A school district may place a notice at the entrance of the school bus that warns
against the unauthorized entry or refusal to disembark prohibited by this section.
SECTION 17. Sections 31-23-42
and 31-23-42.1 of the General Laws in Chapter 31-23
entitled “Equipment and Accessories Generally” are hereby
amended to read as follows:
31-23-42. First-aid kit and heating equipment in school bus. -- Every school bus as
defined in § 31-1-3(r) 31-1-3(v) shall be
equipped with a first-aid kit containing those articles and
appliances generally included in an approved American Red Cross first-aid kit used in the
administration of first-aid treatment. Every school bus shall also be equipped with an operable
system for completely and adequately heating the bus while transporting children.
31-23-42.1. Special mirrors
on school buses. -- Every school bus as defined in § 31-1-
3(r) 31-1-3(v) shall be equipped with a system
of mirrors that will give the seated driver a view of
the roadway to each side of the bus, and the area immediately in front of the front bumper, in
accordance with the following specifications:
(1) At least seven and one-half inches (7 1/2”) of a thirty-inch (30”) long rod shall be
visible to the driver, either by direct view or by means of an indirect visibility system, when the
rod is placed upright on the ground at any point along a traverse line extending one foot from the
forward-most point of the bus and one foot from the length and width and rear of the bus.
(2) Every school bus owner shall maintain a measuring rod thirty inches (30”) in length
with distinctive identification marks located at seven and one-half inch (71/2”) intervals for
purposes of adjusting the system of mirrors required by this section in accordance with these
specifications.
(3) Other mirrors shall be located and adjustable so as to meet their intended minimum
requirements, and may be incorporated in the system of mirrors required by this section.
(4) Each school bus shall be equipped with at least two (2) flat-surfaced rectangular
exterior mirrors, one situated on each side of the bus forward of the operator and any entrance
door. The reflecting surface shall not be obscured and shall have a minimum reflective surface of
fifty square inches (50 sq. in.). The mirrors shall be firmly supported and adjustable, and shall
afford the driver a clear, stable, reflected view of the road surface at each side of the vehicle for a
continual distance beginning at a point not greater than two hundred feet (200') to the rear and
continuing to the horizon when measured on a straight and level road.
(5) Exterior mirror mounts shall include a wide-angle adjustable convex mirror to provide
a close-in field of vision to the operator. Each school bus shall be equipped with convex mirrors
that shall be mounted at the left front corner and the right front corner of the vehicle, sufficiently
adjustable to enable a seated operator to observe a reflection of the area in front of the bus where
children might stand or pass.
(6) Each school bus shall be equipped with interior mirrors that shall afford the driver a
view of the bus interior, emergency door, and the roadway to the immediate rear of the bus. Every
school bus with a seating capacity of sixteen (16) passengers or fewer shall have a convex rear
view mirror located near the right front corner, so as to provide the operator with a view of the
ground area at the entrance door when the door is not equipped with safety glass in the lower
portion of the door.
(7) Violations of this section are subject to fines enumerated in § 31-41.1-4.
SECTION 18. Section 31-24-54
of the General Laws in Chapter 31-24 entitled “Lighting
Equipment and Reflectors” is hereby amended to read as
follows:
31-24-54. Strobe lights on
school buses. -- All new school buses, as defined in § 31-1-
3(r) 31-1-3(v), shall at all times be equipped
with a rear-viewing, rear-mounted white flashing
strobe light, meeting the following requirements:
(1) A white flashing strobe light will be installed on the roof of a school bus; at a point
not to exceed one-third (1/3) the body length forward from the rear of the roof edge;
(2) The strobe light will have a single clear lens emitting light three hundred sixty (360)
degrees around its vertical axis and may not extend above the roof more than maximum legal
height;
(3) The light will not exceed nine inches (9”) in height or nine inches (9”) in diameter;
(4) A manual switch and a pilot light will be included to indicate when light is in
operation; and
(5) The strobe light will be wired to activate with the amber alternately flashing signal
lamps, continuing through the full loading or unloading cycle, with an override switch to allow
activation of the strobe at any time for use in inclement weather.
(6) Violations of this section are subject to fines enumerated in § 31-41.1-4.
SECTION 19. Section 31-25-26
of the General Laws in Chapter 31-25 entitled “Size,
Weight, and Load Limits” is hereby amended to read as
follows:
31-25-26. Prohibition of commercial vehicles by local authorities. -- Local authorities
with respect to highways under their jurisdiction may, by ordinance or resolution, prohibit the
operation of trucks or other commercial vehicles, or may impose limitations as to the weight of
those vehicles on designated highways, which prohibitions and limitations shall be designated by
appropriate signs placed on the highways. For the purposes of this section, a suburban vehicle, as
defined in § 31-1-3(s) 31-1-3(w), shall not be
deemed to be a truck or commercial vehicle.
SECTION 20. Section 42-56-20.2
of the General Laws in Chapter 42-56 entitled
“Corrections Department” is hereby amended to read as
follows:
42-56-20.2. Community confinement. -- (a) Persons subject to this section. Every
person who shall have been adjudged guilty of any crime after trial before a judge, a judge and
jury, or before a single judge entertaining the person's plea of nolo contendere or guilty to an
offense (“adjudged person”) and every person sentenced to imprisonment in the adult correctional
institutions (“sentenced person”) including those sentenced or imprisoned for civil contempt, and
every person awaiting trial at the adult correctional institutions (“detained person”) who meets the
criteria set forth in this section shall be subject to the terms of this section except:
(1) Any person who is unable to demonstrate that a permanent place of residence
(“eligible residence”) within this state is available to that person; or
(2) Any person who is unable to demonstrate that he or she will be regularly employed,
or enrolled in an educational or vocational training program within thirty (30) days following the
institution of community confinement; or
(3) (i) Any adjudged person or sentenced person or detained person who has been
convicted, within the five (5) years next preceding the date of the offense for which he or she is
currently so adjudged or sentenced or detained, of a violent felony.
A “violent felony” as used in this section shall mean any one of the following crimes or an
attempt to commit that crime: murder, manslaughter, sexual assault, mayhem, robbery, burglary,
assault with a dangerous weapon, assault or battery involving serious bodily injury, arson,
breaking and entering into a dwelling, child molestation, kidnapping, DWI resulting in death or
serious injury, driving to endanger resulting in death or serious injury.
(ii) Any person currently adjudged guilty of or sentenced for or detained on any capital
felony; or
(iii) Any person currently adjudged guilty of or sentenced for or detained on a felony
offense involving the use of force or violence against a person or persons.
These shall include, but are not limited to, those offenses listed in subsection (a)(3)(i); or
(iv) Any person currently adjudged guilty, sentenced, or detained for the sale, delivery, or
possession with intent to deliver a controlled substance in
violation of § 21-28-4.01(A)(2)(a) 21-
28-4.01(a)(4)(i) or possession of a certain enumerated quantity of a controlled substance in
violation of §§ 21-28-4.01.1 or 21-28-4.01.2.
(v) Any person currently adjudged guilty of or sentenced for or detained on an offense
involving the illegal possession of a firearm.
(b) Findings prior to sentencing to community confinement. In the case of adjudged
persons, if the judge intends to impose a sentence of community confinement, he or she shall first
make specific findings, based on evidence regarding the nature and circumstances of the offense
and the personal history, character, record, and propensities of the defendant which are relevant to
the sentencing determination, and these findings shall be placed on the record at the time of
sentencing. These findings shall include, but are not limited to:
(1) A finding that the person does not demonstrate a pattern of behavior indicating a
propensity for violent behavior;
(2) A finding that the person meets each of the eligibility criteria set forth in subsection
(a);
(3) A finding that simple probation is not an appropriate sentence;
(4) A finding that the interest of justice requires, for specific reasons, a sentence of non-
institutional confinement; and
(5) A finding that the person will not pose a risk to public safety if placed in community
confinement.
The facts supporting these findings shall be placed on the record, and shall be subject to
review on appeal.
(c) Community confinement.
(1) There shall be established within the department of corrections, a community
confinement program to serve that number of adjudged persons, sentenced persons and detainees,
that the director of the department of corrections (“director”) shall determine on or before July 1
of each year. Immediately upon that determination, the director shall notify the presiding justice
of the superior court of the number of adjudged persons, sentenced persons, and detainees that
can be accommodated in the community confinement program for the succeeding twelve (12)
months. One-half (1/2) of all persons sentenced to community confinement shall be adjudged
persons, and the balance shall be detainees and sentenced persons. The director shall provide to
the presiding justice of the superior court and the family court on the first day of each month a
report to set forth the number of adjudged persons, sentenced persons and detainees participating
in the community confinement program as of each reporting date. Notwithstanding any other
provision of this section, if on April 1 of any fiscal year less than one-half ( 1/2) of all persons
sentenced to community confinement shall be adjudged persons, then those available positions in
the community confinement program may be filled by sentenced persons or detainees in
accordance with the procedures set forth in subdivision (c)(2) of this section.
(2) In the case of inmates other than those classified to community confinement under
subsection (h), the director may make written application (“application”) to the sentencing judge
for an order (“order”) directing that a sentenced person or detainee be confined within an eligible
residence for a period of time, which in the case of a sentenced person, shall not exceed the term
of imprisonment. This application and order shall contain a recommendation for a program of
supervision and shall contain the findings set forth in subsections (b)(1), (2), (3), (4), and (5) and
facts supporting these findings. The application and order may contain a recommendation for the
use of electronic surveillance or monitoring devices. The hearing on this application shall be held
within ten (10) business days following the filing of this application. If the sentencing judge is
unavailable to hear and consider the application the presiding justice of the superior court shall
designate another judge to do so.
(3) In lieu of any sentence which may be otherwise imposed upon any person subject to
this section, the sentencing judge may cause an adjudged person to be confined within an eligible
residence for a period of time not to exceed the term of imprisonment otherwise authorized by the
statute the adjudged person has been adjudged guilty of violating.
(4) With authorization by the sentencing judge, or, in the case of sentenced persons
classified to community confinement under subsection (h) by the director of corrections, or in
accordance with the order, persons confined under the provisions of this chapter may be
permitted to exit the eligible residence in order to travel directly to and from their place of
employment or education or training and may be confined in other terms or conditions consistent
with the basic needs of that person that justice may demand including the right to exit the eligible
residence to which that person is confined for certain enumerated purposes such as religious
observation, medical and dental treatment, participation in an education or vocational training
program, and counseling, all as set forth in the order.
(d) Administration.
(1) Community confinement. The supervision of persons confined under the provisions
of this chapter shall be conducted by the director, or his or her designee.
(2) Intense surveillance. The application and order shall prescribe a program of intense
surveillance and supervision by the department of corrections. Persons confined under the
provisions of this section shall be subject to searches of their persons or of their property when
deemed necessary by the director, or his or her designee, in order to ensure the safety of the
community, supervisory personnel, the safety and welfare of that person and/or to ensure
compliance with the terms of that person's program of community confinement; provided,
however, that no surveillance, monitoring or search shall be done at manifestly unreasonable
times or places nor in a manner or by means that would be manifestly unreasonable under the
circumstances then present.
(3) The use of any electronic surveillance or monitoring device which is affixed to the
body of the person subject to supervision is expressly prohibited unless set forth in the application
and order or, in the case of sentenced persons classified to community confinement under
subsection (h), otherwise authorized by the director of corrections.
(4) Regulatory authority. The director shall have full power and authority to enforce any
of the provisions of this section by regulation, subject to the provisions of the Administrative
Procedures Act, chapter 35 of title 42. Notwithstanding any provision to the contrary, the
department of corrections may contract with private agencies to carry out the provisions of this
section. The civil liability of those agencies and their employees, acting within the scope of their
employment, and carrying out the provision of this section, shall be limited in the same manner
and dollar amount as if they were agencies or employees of the state.
(e) Violations. Any person confined pursuant to the provisions of this section, who is
found to be a violator of any of the terms and conditions imposed upon him or her according to
the order, or in the case of sentenced persons classified to community confinement under
subsection (h), otherwise authorized by the director of corrections, this section, or any rules,
regulations, or restrictions issued pursuant hereto shall be ineligible for parole, and shall serve the
balance of his or her sentence in a classification deemed appropriate by the director. If that
conduct constitutes a violation of § 11-25-2, the person, upon conviction, shall be subject to an
additional term of imprisonment of not less than one year and not more than twenty (20) years.
However, it shall be a defense to any alleged violation that the person was at the time of the
violation acting out of a necessary response to an emergency situation. An “emergency situation”
shall be construed to mean the avoidance by the defendant of death or of substantial personal
injury, as defined above, to him or herself or to others.
(f) Costs. Each person confined according to this section shall reimburse the state for the
costs or a reasonable portion thereof incurred by the state relating to the community confinement
of those persons. Costs shall be initially imposed by the sentencing judge or in the order and shall
be assessed by the director prior to the expiration of that person's sentence. Once assessed, those
costs shall become a lawful debt due and owing to the state by that person. Monies received under
this section shall be deposited as general funds.
(g) Severability. Every word, phrase, clause, section, subsection, and any of the
provisions of this section are hereby declared to be severable from the whole, and a declaration of
unenforceability or unconstitutionality of any portion of this section, by a judicial court of
competent jurisdiction, shall not affect the portions remaining.
(h) Sentenced persons approaching release. Notwithstanding the provisions set forth
within this section, any sentenced person committed under the direct care, custody, and control of
the adult correctional institutions, who is within six (6) months of the projected good time release
date, provided that the person shall have completed at least one-half (1/2) of the full term of
incarceration, or any person who is sentenced to a term of six (6) months or less of incarceration,
provided that the person shall have completed at least three-fourths (3/4) of the term of
incarceration, may in the discretion of the director of corrections be classified to community
confinement. This provision shall not apply to any person whose current sentence was imposed
upon conviction of murder, first degree sexual assault or first degree child molestation.
(i) Notification to police departments. The director, or his or her designee, shall notify the
appropriate police department when a sentenced, adjudged or detained person has been placed
into community confinement within that department's jurisdiction. That notice will include the
nature of the offense and the express terms and conditions of that person's confinement. That
notice shall also be given to the appropriate police department when a person in community
confinement within that department's jurisdiction is placed in escape status.
(j) No incarceration credit for persons awaiting trial. No detainee shall be given
incarceration credit by the director for time spent in community confinement while awaiting trial.
(k) No confinement in college or university housing facilities. Notwithstanding any
provision of the general laws to the contrary, no person eligible for community confinement shall
be placed in any college or university housing facility, including, but not limited to, dormitories,
fraternities or sororities. College or university housing facilities shall not be considered an
“eligible residence” for “community confinement.”
SECTION 21. Section 42-66.2-9
of the General Laws in Chapter 42-66.2 entitled
“Pharmaceutical Assistance to the Elderly Act” is hereby
amended to read as follows:
42-66.2-9. Annual report. -- (a) The director shall submit an annual report to the
governor, the budget officer, the chairperson of the house finance committee, the chairperson of
the senate finance committee, and the chairperson of the
board of pharmacy as established by § 5-
19-2 [repealed] 5-19.1-4. The report shall
contain the number of consumers eligible for the
program, the number of consumers utilizing the program, an outline of and a report on the
educational outreach program, the number of appeals, an outline of problems encountered in the
administration of the program and suggested solution to the problems, and any recommendations
to enhance the program.
(b) The contractor shall submit an annual report to the governor, the budget officer, the
chairperson of the house finance committee, the chairperson of the senate finance committee, and
the board of pharmacy as established by § 5-19-2
[repealed] 5-19.1-4. The report shall contain
financial and utilization statistics as to drug use by therapeutic category, actuarial projections, an
outline of problems encountered in the administration of the program, and suggested solutions to
the problems and any recommendations to enhance the program.
(c) The first report pursuant to this section shall be submitted on or before January 15,
1986.
SECTION 22. Section
44-5-13.2.5 of the General Laws in Chapter 44-5 entitled “Levy
and Assessment of Local Taxes” is hereby amended to read as
follows:
44-5-13.2.5. Exemption for
residential improvements and alterations in the city of
Pawtucket. -- (a) The tax assessor of the city of
Pawtucket is authorized to grant an exemption
from real property taxation equal to any increase in
assessed valuation not exceeding fifteen
thousand dollars ($15,000) cumulatively resulting from
alterations and improvements made to
existing dwellings used for residential purposes and shall
include mobile and manufactured
homes. For the purpose of this section, “dwelling” has the
meaning defined in § 45-24.3-5(10).
“Mobile and Manufactured Home” has the meaning defined in § 31-44-1(i)
31-44-1(8). The
exemption is granted for three (3) years commencing with the
tax roll assessed as of the
assessment date which immediately follows the completion of
the alterations and improvements
or which next occurs eighteen (18) months after the date of
issuance of the building permit for the
alterations and improvements, whichever occurs first.
(b) In order to be eligible for exemption, the dwelling must be an existing residential
dwelling and be at least five (5) years of age at the time of issuance of the building permit for the
alterations and improvements, all real estate taxes and other assessments and fees assessed against
the dwelling must be paid up to date, and the dwelling must meet all minimum housing building
code and zoning requirements or the alterations and improvements must be that which will
improve the dwelling to meet code requirements. The tax assessor shall require a certificate from
the building inspector that the dwelling meets all minimum housing, building code and zoning
requirements and regulations including the number of dwelling units allowed. The certificate
from the building inspector shall be provided to the tax assessor at the time that the application
for an exemption is filed.
(c) The exemption provided for in this section is allowed only for owner-occupied
residential dwellings including up to five (5) units, including the owner-occupied unit, and
include owner-occupied residential condominium units. The exemption is not allowed for any
property used for professional or business use or other commercial or income-producing purposes
other than owner-occupied dwellings of five (5) units or less.
(d) Alterations and improvements which qualify for the exemption provided for in this
section include the following:
(1) Installations of additional plumbing facilities, electrical fixtures or re-wiring of the
electrical system, heating system, hot water system or the replacement of any of these items;
(2) Inside and outside painting or redecorating;
(3) Repairing, repointing or replacing existing masonry;
(4) Reshingling of or installation of siding on exterior walls;
(5) Replacing or repairing roofs, gutters, downspouts;
(6) Weather stripping, insulating or replacing of existing windows and sashes;
(7) Adding a bedroom, bathroom, recreation room, fireplace or garages;
(8) Converting basement into amusement or rumpus room;
(9) Enclosing open porches or breezeways;
(10) New basement or incinerator;
(11) Adding new fences or stone walls;
(12) Repairing or replacing or adding porches, steps, sidewalks or driveways;
(13) Adding any built-ins, kitchen cabinets or closets;
(14) Any other improvement, alteration, or addition which the city council may provide
for by ordinance which does not materially affect the character and use of the property and is of
such a nature that the property retains its basic structural design and is improved to a condition
comparable to similar structures and housing standards.
(e) An exemption will not be allowed if a building permit and/or zoning approval is
granted after the alteration or improvement is made. The following are not deemed to be
alterations and improvements which qualify for exemption under this section:
(1) Any increase in the number of dwelling units;
(2) The addition of recreational facilities including, but not limited to, swimming pool
and/or pool cabana, a tennis court or basketball court;
(3) Any change in connection with, or enabling the operation of a business or profession
from a residence;
(4) Any alteration or improvement which in the opinion of the tax assessor is of such a
nature that the property does not retain its basic structural design or that the character and use of
the property has changed;
(5) Any alteration or improvement made without a building permit issued by the building
inspector.
(f) No person is entitled to any exemption under this section without first filing an
application with the tax assessor on forms furnished by the tax assessor. The application requires
information as to cost, construction, ownership, occupancy, use and any other information
required by the tax assessor to determine compliance with the terms of this section. The tax
assessor may require the applicant to provide recipients and other evidence of the cost of the
alteration or improvement. The city council of the city of Pawtucket may, by ordinance, adopt
rules and regulations not inconsistent with this section concerning the exemption provided for
under this section, the manner and form of application for the exemption, the proof required for
the dwelling to be considered “owner-occupied” and the determination by the tax assessor of the
cost, valuation, and amount of exemption allowed for the alterations and improvements.
Applications for exemption must be filed by December 31 of the year in which the alterations and
improvements are completed and may be approved by the tax assessor prior to certification of the
subsequent tax roll.
(g) Any exemption under this section terminates upon the conveyance of the subject
property, except for a conveyance or transfer to a member of the immediate family of the owner
without consideration. For the purposes of this section, “member of the immediate family of the
owner” includes the owner's spouse, parents, children, grandchildren and brothers and sisters.
Any exemption terminates when this property subject to exemption is no longer owner-occupied
for residential purposes or if the original conditions and qualifications for the granting of the
exemption no longer exist. A person's residence for the purpose of this section is his or her fixed
and established domicile. The tax assessor may challenge a person's residency based upon the
criteria established in chapter 1 of title 17 relating to residency for voting purposes.
(h) Any person aggrieved by a decision of the tax assessor pursuant to this section has the
right to an appeal pursuant to the terms of this chapter to the city of Pawtucket board of tax
review.
(i) Notwithstanding the grant of an exemption under this section, the property is still
subject to any general revaluation on a city-wide basis. An owner of an owner-occupied dwelling
is allowed one exemption under this section during each revaluation period.
(j) No exemption is granted for alterations and improvements made pursuant to a building
permit issued prior to December 31, 1995.
(k) An exemption shall not be allowed if a building permit and/or zoning approval is
granted after the alteration or improvement is made.
SECTION 23. Section 44-34-2 of
the General Laws in Chapter 44-34 entitled “Excise on
Motor Vehicles and Trailers [Repealed Effective July 1,
2005] ” is hereby amended to read as
follows:
44-34-2. Assessment - Valuation
- Proration - Abatement and cancellation -
Exemptions from tax. [Repealed effective
July 1, 2005.] -- (a)
Except as provided in this
section, the tax assessors of each city and town shall
assess and levy in each calendar year on
every vehicle and trailer registered under chapter 3 of
title 31 for the privilege of the registration,
an excise measured by its value, as subsequently defined and
determined. For the purpose of this
excise, the uniform value of each vehicle is determined in
accordance with the regulations of the
vehicle value commission. Provided, that any vehicle which
is more than twenty-five (25) years
old, whether or not the vehicle is an antique motor car as
defined in § 31-1-3 subsection (f) 31-1-
3(a), is deemed to possess an average retail value of five
hundred dollars ($500). Provided,
further, that any vehicle more than twenty-five (25) years
old on June 16, 1987, whether or not
the vehicle is an antique motor car as defined in §
31-1-3(a), is deemed to have an average retail
value of five hundred dollars ($500) or its actual retail
value whichever is less. Provided, further,
that the minimum excise tax on any vehicle, if registered to
the same owner for a full year or
portion of the year, is not less than five dollars ($5.00)
unless the registration is transferred to one
or more additional vehicles or trailers, in which case the
minimum or combined excise taxes is
not less than five dollars ($5.00). Provided, further, that
beginning in fiscal year 2001 the assessor
may, but is not required to, issue minimum tax bills as
authorized by this section or any general or
public law. Beginning in fiscal year 2002 and thereafter,
the assessor shall not issue minimum tax
bills, notwithstanding any general or public law to the
contrary. The assessor may waive the
excise tax on any vehicle where the annual levy would be
less than five dollars ($5.00), provided,
however, that the state shall not provide reimbursement for
any waiver.
(b) Vehicle and trailer excises are prorated over the calendar year prior to the year in
which the excises are levied and billed, that year being referred to as the calendar year of
proration.
(c) The excise levy on every vehicle and trailer registered under chapter 3 of title 31 is
based on the ratio that the number of days the vehicle or trailer is registered is to the number of
days in the calendar year of proration.
(d) If during the calendar year of proration, the owner of a vehicle or trailer subject to the
excise moves permanently with his or her vehicle to another state and cancels his or her
registration in this state and returns the registration plates, the vehicle is exempt from excise for
the ensuing year.
(e) “Year of manufacture” as used in this section means the year used by the
manufacturer of the vehicle or trailer in connection with the designation by the manufacturer of
the model of the vehicle or trailer. Where the presumptive price of a vehicle or trailer is not
readily obtainable, or special equipment is installed on the vehicle or trailer, the tax assessor
prescribes the retail price to be used or the manner in which the retail price is determined.
(f) Nothing in this section shall be construed to prevent any city or town council from
granting an abatement, in whole or in part, when there is an error in the assessment of a tax, and
the tax assessors have certified to the fact, in writing, to the city or town council to cancel taxes
stating the nature of the error, the valuation of the vehicle or trailer, the amount of the tax
assessed and the name of the person to whom the vehicle or trailer was taxed.
(g) The city or town council may cancel, in whole or in part, an excise tax assessed to a
person who has died leaving no estate, or a person who has moved from the state, and the tax
collector or person acting in the capacity of tax collector certifies to the city or town council the
facts of the case.
(h) The excise imposed by this section does not apply to vehicles or trailers owned by the
state of Rhode Island or any of its political subdivisions, or to vehicles or trailers owned by a
corporation, association or other organization whose tangible personal property is exempt under §
44-3-3, subdivisions (1) -- (15), or to vehicles assessed and taxed under § 44-13-13, or those
owned by the United States government. Farm vehicles are exempt to the extent prescribed in §
44-5-42.
SECTION 24. Section 44-49-2 of
the General Laws in Chapter 44-49 entitled “Taxation
of Marijuana and Controlled Substances ” is hereby amended
to read as follows:
44-49-2. Definitions.
-- (a) “Controlled substance” means any drug or substance,
whether real or counterfeit, as defined in § 21-28-1.02(6)
21-28-1.02(7), that is held, possessed,
transported, transferred, sold, or offered to be sold in
violation of Rhode Island laws. “Controlled
substance” does not include marijuana.
(b) “Dealer” means a person who in violation of Rhode Island law manufactures,
produces, ships, transports, or imports into Rhode Island or in any manner acquires or possesses
more than 42 1/2 grams of marijuana, or seven (7) or more grams of any controlled substance, or
ten (10) or more dosage units of any controlled substance which is not sold by weight. A quantity
of marijuana or a controlled substance is measured by the weight of the substance whether pure or
impure or dilute, or by dosage units when the substance is not sold by weight, in the dealer's
possession. A quantity of a controlled substance is dilute if it consists of a detectable quantity of
pure controlled substance and any excipients or fillers.
(c) “Marijuana” means any
marijuana, whether real or counterfeit, as defined in § 21-28-
1.02(19) 21-28-1.02(26), that is held,
possessed, transported, transferred, sold, or offered to be
sold in violation of Rhode Island laws.
SECTION 25. Sections 15-5-5,
15-5-12, 15-5-16.1, and 15-5-22 of the General Laws in
Chapter 15-5 entitled “Divorce and Separation” are hereby
amended to read as follows:
15-5-5. Uncorroborated testimony of complainant. -- Whenever the act or acts giving
rise to the cause for divorce are such that in the
of a nature of things that the complaining party
could not ordinarily produce corroborating testimony, the court may, in its discretion, if it is
satisfied of the existence of the cause in question, the proof in other respects being satisfactory,
grant the divorce on the testimony of the complaining party alone.
15-5-12. Domicile and residence requirements. – (a) No complaint for divorce from
the bond of marriage shall be granted unless the plaintiff has been a domiciled inhabitant of this
state and has resided in this state for a period of one year next before the filing of the complaint;
provided, that if the defendant has been a domiciled inhabitant of this state and has resided in this
state for the period of one year next before the filing of the complaint, and is actually served with
process, the previous requirement of this
subsection as to domicile and residence on the part of
the plaintiff is deemed to have been satisfied and
fulfilled; provided, the residence and domicile
of any person immediately prior to the commencement of his or her active service as a member of
the armed forces or of the merchant marine of the United States, or immediately prior to his or
her absence from the state in the performance of services in connection with military operations
as defined in subsection (c), shall, for the purposes of this section, continue to be his or her
residence and domicile during the time of his or her service and for a period of thirty (30) days
thereafter. Testimony to prove domicile and residence may be received through the ex parte
affidavit of one witness.
(b) Wherever used in this section, every word importing the masculine gender only is
construed to extend to and include females as well as males.
(c) Wherever used in this section, the term 'services in connection with military
operations' is construed to include persons serving with the American Red Cross, the Society of
Friends, the Women's Auxiliary Service Pilots, and the United Service Organizations.
15-5-16.1. Assignment of property. -- (a) In addition to or in lieu of an order to pay
spousal support made pursuant to a complaint for divorce, the court may assign to either the
husband or wife a portion of the estate of the other. In determining the nature and value of the
property, if any, to be assigned, the court after hearing the witnesses, if any, of each party shall
consider the following:
(1) The length of the marriage;
(2) The conduct of the parties during the marriage;
(3) The contribution of each of the parties during the marriage in the acquisition,
preservation, or appreciation in value of their respective estates;
(4) The contribution and services of either party as a homemaker;
(5) The health and age of the parties;
(6) The amount and sources of income of each of the parties;
(7) The occupation and employability of each of the parties;
(8) The opportunity of each party for future acquisition of capital assets and income;
(9) The contribution by one party to the education, training, licensure, business, or
increased earning power of the other;
(10) The need of the custodial parent to occupy or own the marital residence and to use or
own its household effects, taking into account the best interests of the children of the marriage;
(11) Either party's wasteful dissipation of assets or any transfer or encumbrance of assets
made in contemplation of divorce without fair consideration; and
(12) Any factor which the court shall expressly find to be just and proper.
(b) The court may not assign property or an interest in the property held in the name of
one of the parties if the property was held by the party prior to the marriage, but may assign
income which has been derived from the property during the term of the marriage, and the court
may assign the appreciation of value from the date of the marriage of property or an interest in it
which was held in the name of one party prior to the marriage which increased in value as a result
of the efforts of either spouse during the marriage. The court also shall not assign property or an
interest in the property which has been transferred to one of the parties by inheritance before,
during, or after the term of the marriage. The court shall not assign property or an interest in the
property which has been transferred to one of the parties by gift from a third party before, during,
or after the term of the marriage.
(c) The assignment of property, if any, to be made shall precede the award of alimony,
since the needs of each party will be affected by the assignment of property, and once made in a
final decree shall be final, subject only to any right of appeal which the parties may have. Any
assignment made by the family court shall be regarded as a judgment for debt so that suit may be
brought or execution may issue on the debt for the property due and undelivered, or the amount
due and unpaid to be shown by affidavits of the person entitled to the property and the attorney of
record of the person, the executions to run against the goods and chattels of the husband and wife,
as the case may be; and the court may make all necessary orders and decrees concerning the suits
or executions.
15-5-22. Trial required -
Collusion. --No divorce from the bond of marriage
shall be granted solely upon default nor solely upon
admissions by the pleadings, nor
except upon trial before the court in open session; nor
shall the divorce be granted where
the court is satisfied that there has been any collusion or
corrupt conduct by the parties, or
either of them, in regard to the proceedings to obtain the
divorce.
SECTION 26. Section 15-10-1 of the General Laws in Chapter 15-10 entitled “Support
of Parents” is hereby amended to read as follows:
15-10-1. Penalty for
unreasonable neglect of destitute parents. -- (a) Any person,
above the age of eighteen (18) years, who unreasonably
neglects or refuses to provide for the
support and maintenance of his or her parent, whether father
or mother, residing in this state,
when his or her parent through misfortune, and without fault
of his or her own, is destitute and
unable by reason of old age, infirmity, or illness to
support and maintain himself or herself, shall
be punished by a fine not exceeding two hundred dollars
($200), or by imprisonment for not more
than one year, or by both a fine and imprisonment.
(b) No neglect or refusal
shall be deemed unreasonable as to a child who, shall not during
his or her minority, have been was not reasonably
supported by the parent, if the parent was
charged with the duty to do so, nor as to any child who,
being one of two (2) or more children,
has made proper and reasonable contribution toward the
support of his or her destitute parent.
SECTION 27. Section
15-15-1 of the General Laws in Chapter 15-15 entitled
“Domestic Abuse Prevention” is hereby amended to read as
follows:
15-15-1. Definitions.
-- As used in this chapter:
(1) 'Courts' means the family
court;
(2) 'Domestic abuse' means the
occurrence of one or more of the following acts between
present or former family members, parents, stepparents, or
persons who are or have been in a
substantive dating or engagement relationship within the past
one year in which at least one of the
persons is a minor:
(i) Attempting to cause or
causing physical harm;
(ii) Placing another in fear
of imminent serious physical harm; or
(iii) Causing another to
engage involuntarily in sexual relations by force, threat of force,
or duress;
(3) 'Parents' means persons
who together are the legal parents of one or more children,
regardless of their marital status or whether they have
lived together at any time;
(4) 'Present or former family
member' means the spouse, former spouse, minor children,
stepchildren, or persons who are related by blood or
marriage; and
(5) 'Substantive dating' or
'engagement relationship' means a significant and
personal/intimate relationship which shall be adjudged by
the court's consideration of the
following factors:
(i) The length of time of the
relationship;
(ii) The type of relationship;
and
(iii) The frequency of
interaction between the parties.
SECTION 28. Section 15-2-2 of the General Laws in Chapter 15-2 entitled “Marriage
Licenses” is hereby repealed in its entirety.
15-2-2. Waiting period
not required of female immigrants. -- So much of § 15-2-1 as
requires that a woman, who is not a
resident of this state, shall obtain a marriage license at least
five (5) days previous to her marriage,
shall not apply to female immigrants arriving in any port
in the state from a foreign country, but
any such female immigrant may obtain a license to marry
at any time previous to her marriage.
SECTION 29. Section 15-7-8 of
the General Laws in Chapter 15-7 entitled “Adoption of
Children” is hereby amended to read as follows:
15-7-8. Notice to parents – Notice when no parent living or when parent in mental
institution. -- (a) The notice required in § 15-7-7 shall be as follows: If a parent does not consent
in writing to the adoption of his or her child, the court shall order a copy of the petition and order
that copy to be served on him or her, personally, if found in the state; and if not, notice of the
pendency of the petition for adoption shall be published once in a newspaper that the court
specifies. Similar notice shall also be published whenever a child has no living parent.
(b) Whenever a parent is confined in any asylum, hospital, or institution for mental
illness, whether the asylum, hospital, or institution be
situated within or without out of the state,
the court shall order a copy of the petition and order that copy, subsequently referred to as the
notice, to be served on him or her personally, which notice, if to be served within the state, shall
be served by an officer authorized by law to serve citations; but if the notice is to be served
outside of the state, it may be served by any disinterested person, who shall make return, upon
oath, that he or she has made service of the notice, the manner in which, the time when, and the
place where the service was made; provided, that before any officer or disinterested person shall
make service of the notice, he or she shall apply to the physician in charge of the asylum,
hospital, or institution where the person upon whom the notice to be served is confined, and if the
physician shall return, upon oath, on the back of the notice, that in his or her opinion service of
the notice upon the person will be injurious to his mental health, the officer or person charged
with the service shall leave a copy of the notice, with the physician's return address on it, with the
keeper of the asylum, hospital, or institution and shall return the notice, with a statement of his or
her actions regarding the notice, to the court without further service; and upon return being made
in either case, the court, having first appointed a guardian ad litem for the parent, may proceed to
act upon the petition and order.
SECTION 30. Section 28-7-4 of the General Laws in Chapter 28-7 entitled “Labor
Relations Act” is hereby amended to read as follows:
28-7-4. Labor relations
board — Creation — Appointment, qualifications, terms,
and removal of members. -- There is created in the department of
labor and training a board to
be known as the Rhode Island state labor relations board,
composed of seven (7) members
appointed by the governor, by and with the advice and
consent of the senate. Each member of the
board, at the time of appointment, shall be a citizen of the
United States, a resident of the state of
Rhode Island, and a qualified elector in the state. Three
(3) members of the board shall be
representatives of labor, three (3) members shall represent
management, including at least one
representative of local government, and one member shall be
a representative of the public
generally. No member of the board during this period of
service shall hold any other public
office. The members of the board are appointed for terms of
six (6) years each, except that any
individual chosen to fill a vacancy is appointed for the
unexpired term of the member whom the
newly appointed member succeeds. The governor shall
designate one member to serve as
chairperson of the board. Any member of the board may be
removed by the governor for
inefficiency, neglect of duty, misconduct, or malfeasance in
office, and for no other cause, after
being given a copy of the charges and an opportunity to be
publicly heard in person or by
counsel. The existing five (5) member board shall cease
to exist August 6, 1996 and shall be
replaced by the seven (7) member board,
created herein.
SECTION 31. Sections 15-8-11
and 15-8-16 of the General Laws in Chapter 15-8
entitled “Uniform Law on Paternity” are hereby amended to
read as follows:
15-8-11. Parentage tests. -- (a) In a proceeding under this chapter before trial, the court,
upon application made by or on behalf of any party to the action, and supported by sworn
affidavit, or on its own motion, shall order that the mother, child, alleged father, and any other
party to the action submit to blood or tissue typing tests which may include, but are not limited to,
tests of red cell antigens, red cell isoenzymes, human leukocyte antigens, serum proteins, DNA
and other genetic testing, to determine whether the alleged father is likely to be, or is not, the
father of the child. The sworn affidavit must include a statement alleging paternity and setting
forth facts establishing a reasonable possibility of sexual contact during the probable period of
conception or a statement denying paternity and setting forth facts establishing a reasonable
possibility of the nonexistence of sexual contact during the probable period of conception. In a
proceeding to establish paternity and/or support brought pursuant to the Rhode Island state plan
for child and spousal support enforcement, in conformance with title IV, part D of the federal
Social Security Act, 42 U.S.C. § 651 et seq., if the alleged father denies paternity in response to a
paternity complaint and provides a sworn affidavit as provided in this section, the division of
taxation within the department of administration shall have the authority to administratively order
the parties to attend a blood or tissue typing testing
test and schedule blood or tissue typing
testing for the parties, of the type described in
this section, without the necessity of making
application to the court, and the parties shall attend and submit to a blood or tissue typing test
under penalty of default in accordance with § 15-8-18.1.
(b) A blood or tissue typing test shall be made by a person the court determines is
qualified as an examiner of blood or tissue types.
(c) The court shall fix or approve the compensation of any expert at a reasonable amount,
and may direct the compensation to be paid by the state, or by any other party to the case, or by
both, in the proportions and at the times the court prescribes, and that, after payment by a party,
all or part or none of the payment shall be taxed as costs in the action. Before the making of a
blood or tissue typing test, the court may order any part or all of the compensation paid in
advance.
(d) The result of a blood or tissue typing test and, if a determination of exclusion of
paternity cannot be made, a calculation of the probability of paternity made by a person the court
determines is qualified as an examiner of blood or tissue types based on the result of a blood or
tissue typing test shall be admissible in evidence in the trial of the case. A written report of the
test results, including a calculation of the probability of paternity or a determination of exclusion
of paternity, prepared by the qualified expert conducting the test, or by a qualified expert under
whose supervision or direction the test and analysis have been performed, certified by an affidavit
duly subscribed and sworn to by him or her before a notary public, may be introduced into
evidence without the need for foundation testimony or other proof of authenticity or accuracy and
without the necessity of calling the expert as a witness, unless an objection challenging the test
procedures or results has been filed within ten (10) days before any hearing at which the results
may be introduced into evidence and a cash bond posted with the registry of the family court in
an amount sufficient to cover the costs of the qualified expert to appear and testify.
(e) If the results of the blood or tissue typing tests admitted into evidence establish a
ninety-seven percent (97%) or greater probability of inclusion that a party is the biological father
of the child, then that probability shall constitute a conclusive presumption of paternity.
(f) Any reference to 'blood test' in this chapter shall mean blood or tissue typing test.
15-8-16. Civil action. -- (a) An action under this chapter is a civil action governed by
the rules of civil procedure. The mother of the child and the alleged father are competent to testify
and may be compelled to testify.
(b) Upon refusal of any witness, including a party, to testify under oath or produce
evidence, the court may order him or her to testify under oath and produce evidence concerning
all relevant facts. If the refusal is upon the ground that this, his or her testimony or evidence,
might tend to incriminate him or her, the court may grant him or her immunity from all criminal
liability on account of the testimony or evidence that he or she is required to produce. An order
granting immunity bars prosecution of the witness for any offenses shown in whole or in part by
testimony or evidence that he or she is required to produce, except for perjury committed in his
testimony. The refusal of a witness, who has been granted immunity, to obey an order to testify or
produce evidence is a civil contempt of court.
(c) Testimony of a physician concerning the medical circumstances of the pregnancy and
the condition and characteristics of the child upon birth is not privileged.
(d) Testimony relating to sexual access to the mother by an unidentified man at any time
or by an identified man at a time other than the probable time of conception of the child is
inadmissible in evidence, unless offered by the mother.
(e) In an action against an alleged father, evidence offered by him with respect to a man
who is not subject to the jurisdiction of the court concerning his sexual intercourse with the
mother at or about the probable time of conception of the child is admissible in evidence only if
he has undergone and made available to the court blood or tissue typing tests, the results of which
do not exclude the possibility of his paternity of the child. A man who is identified and is subject
to the jurisdiction of the court shall be made a defendant in the action.
SECTION 32. Sections
28-12-3.2, and 28-12-5 of the General Laws in Chapter 28-12
entitled “Minimum Wages” are hereby amended to read as
follows:
28-12-3.2. Wages for failure to furnish shift work. -- An employer, who requests or
permits any employee to report for duty at the beginning of a work shift, and does not furnish at
least three (3) hours work is not furnished on that
shift, shall pay the employee not less than three
(3) times the regular hourly rate. In the event that an employee reports for duty at the beginning
of a work shift and the employer offers no work for him or her to perform, the employer shall pay
the employee not less than three (3) times the regular hourly rate.
28-12-5. Employees
receiving gratuities - Incentive-based wages - Certain employees
of nonprofit entities. -- (a) Every employer shall pay to each
of his or her employees who are
engaged in any work or employment in which gratuities have
customarily and usually constituted
a part of his or her weekly income the rate as provided by
§§ 28-12-3 and 28-12-3.1.
(b) Allowance for gratuities as part of the hourly wage rate for restaurants, hotels, and
other industries except taxicabs and limited public motor vehicles shall be an amount equal to the
applicable minimum wage rates as provided by §§ 28-12-3 and 28-12-3.1, less two dollars and
eighty-nine cents ($2.89) per hour. Gratuities means voluntary monetary compensation received
directly or indirectly by the employee for services
rendered. In the case of taxicabs and limited
public vehicles, the allowance for gratuities as part of
the minimum rates as provided in § 28-12-3
shall not exceed twenty-five cents (25›) per hour until
December 31, 1996.
(c) Each employer desiring to deduct from wages paid to an employee for gratuities as
part of the minimum wage rates as provided in §§ 28-12-3 and 28-12-3.1 shall provide substantial
evidence that the amount is as set out in the formula in subsection (b), however, the cash wage
shall not be less than two dollars and eighty-nine cents ($2.89) per hour. The director of labor and
training shall notify employers concerning what type of proof will be accepted as substantial
evidence for the purpose of this subsection. Employees involved are entitled to a hearing on the
question of the amount of deduction if they desire.
(d) In cases where wages are figured by the employer on an incentive basis in a manner
that an employee of reasonable average ability earns at least the minimum wage established by §§
28-12-3 and 28-12-3.1, it will be assumed that the employer has complied with this statute. It is of
no concern to the director of labor and training how the employer arrives at its wage scale as long
as it is not unreasonable in its demands on the employee.
(e) Where, in the case of the employment of a full-time student who has not attained his
or her nineteenth (19th) birthday, engaged in the activities of a nonprofit association or
corporation, the aims and objectives of which are of a religious, educational, librarial, or
community service nature, and the employer-employee relationship does exist, the employer shall
pay to each of these employees wages at a rate of not less than ninety percent (90%) of the
minimum wage as specified in § 28-12-3. In case of any conflict between provisions of this
section and those of § 28-12-3.1, the provisions of § 28-12-3.1 govern.
SECTION 33. Sections 15-16-2
and 15-16-10 of the General Laws in Chapter 15-16
entitled “Income Withholding” are hereby amended to read as
follows:
15-16-2. Definitions. -- For purposes of this chapter, except as may otherwise be required
by the context:
(1) “Agency” means either the court or agency of any other jurisdiction with income
withholding functions similar to those of the department of administration, division of taxation,
child support enforcement defined in this chapter, including the issuance and enforcement of
support orders.
(2) “Child” means any child, whether above or below the age of majority, with respect to
whom a support order exists.
(3) “CSE system” means the Rhode Island family court/department of administration,
division of taxation, child support computer enforcement system, which system maintains the
official record of support orders and arrearages of all support orders entered in accordance with
applicable administrative orders issued by the Rhode Island family court.
(4) “Court” means the Rhode Island family court and, when the context requires, means
either the court or agency of any other jurisdiction with functions similar to those defined in this
chapter, including the issuance and enforcement of support orders.
(5) “Department” means the division of taxation, within the department of administration.
(6) “Income” includes amounts paid or payable by a payor who is subject to the
jurisdiction of this state to an obligor as:
(i) Compensation paid or payable for personal services whether denominated as wages,
salary, commission, bonus, or otherwise, whether taxable or not taxable and specifically including
periodic payments pursuant to pension or retirement programs or insurance policies of any type;
or
(ii) Benefit payments or other similar compensation paid or payable to the obligor by or
through a department, agency, or political subdivision of the state or federal government or by an
insurance company, including unemployment compensation benefits, workers’ compensation
benefits, and temporary disability benefits, except where garnishment or attachment of benefit
payments is prohibited by federal law.
(7) “Income withholding order” means an order to withhold income of an obligor to pay
support, arrearages, and fees, if any, authorized under this chapter, whether the order is issued by
the department and filed with the clerk of the family court, or whether the order is issued by the
family court as provided for in this chapter or whether the order is issued by a court or agency of
another jurisdiction.
(8) “Jurisdiction” means any state or political subdivision, territory or possession of the
United States, the District of Columbia, and the Commonwealth of Puerto Rico.
(9) “Magistrate” means a magistrate of the family court pursuant to § 8-10-3.1.
(10) “Obligee” means any person or entity which is entitled to receive support under an
order of support and includes an agency of another jurisdiction to which a person has assigned his
or her right to support.
(11) “Obligor” means any person required to make payments under the terms of a support
order for a child, spouse, or former spouse.
(12) “State plan” means the Rhode Island state plan for child and spousal support
established in accordance with title IV, part D, § 454 of the federal Social Security Act, 42 U.S.C.
§ 654, which plan includes, but is not limited to, the establishment and enforcement of support
orders on behalf of a person, whether residing in this state or another jurisdiction, who is: (i)
receiving public assistance pursuant to part A of title IV of the federal Social Security Act, 42
U.S.C. § 601 et seq.; (ii) receiving foster care maintenance payments pursuant to part E of title IV
of the federal Social Security Act, 42 U.S.C. § 670 et seq.; or (iii) not receiving aid to families
with dependent children nor foster care maintenance payments but who files an application for
support enforcement services with the Rhode Island department of administration, division of
taxation, child support enforcement or any authorized title IV, part D agency of another
jurisdiction.
(13) “Support order” means a
judgment, decree of or order, whether temporary, final, or
subject to modification, issued by the family court, by the division of taxation within the
department of administration under § 15-16-7 or by a court or agency of another jurisdiction, for
the benefit of a child, a spouse, or a former spouse, which provides for monetary support, health
care, arrearages, or reimbursement, and may include related costs and fees, interest, income
withholding, attorney’s fees, and other relief.
(14) “Tribunal” means a court, administrative agency, or quasi-judicial entity authorized
to establish, enforce, or modify support orders or to determine parentage.
(15) “Withholding agent” means any person, firm, partnership, corporation, association,
trust, federal or state agency, department, or political subdivision, paying or obligated to pay
income, as defined in this chapter, to an obligor.
(16) “Remittee”, as used in this section, means the division of taxation, child support
enforcement or its designee, authorized to receive wage withholding, including an agency
designated by another state to receive income withholding pursuant to chapter 23.1 of title 15.
Remittee does not include an individual obligee/custodial parent.
15-16-10. Duties and liabilities of withholding agent. -- (a) An income withholding
agent shall remit to the clerk of the family court, or any other remittee as directed in the income
withholding order, except as provided in subsection (i), all
amounts withheld from the income of
an obligor within seven (7) days of the date the income was paid or payable to the obligor, and
the income withholding agent shall specify the date and amount of each withholding included in
the remittance, the social security number of the obligor, the child support account number, the
employee's name, and any other information as required if electronic transfer is utilized. The
withholding agent may combine withheld amounts from two (2) or more obligors into a single
payment, provided that the withholding agent separately identifies the individual obligors and the
amount attributable to each obligor.
(b) An income withholding agent may deduct a fee of two dollars ($2.00) from the
obligor's remaining income for each payment made pursuant to an income withholding order
under this chapter.
(c) The income withholding agent must notify the department, in writing, of the
termination of the obligor's employment within ten (10) days of the termination. Notice shall
include the last known address of the obligor and the name and address of the obligor's new
employer, if known.
(d) Any withholding agent failing to comply with any of the requirements of this chapter
may be punished by the family court or its magistrate for civil contempt. The court or its
magistrate shall first afford the withholding agent a reasonable opportunity to purge itself of the
contempt.
(e) Any withholding agent who shall fail or refuse to deliver income pursuant to an
income withholding order issued under this chapter, when the withholding agent has had in its
possession the income, shall be personally liable for the amount of the income which the
withholding agent failed or refused to deliver, together with costs, interest, and reasonable
attorney's fees.
(f) Any withholding agent who dismisses, demotes, disciplines, refuses to hire, or in any
way penalizes an obligor on account of any income withholding order issued under this chapter
shall be liable to the obligor for all damages, together with costs, interest thereon, and reasonable
attorney's fees resulting from the action, and shall be subject to a fine not to exceed one hundred
dollars ($100.00). The withholding agent shall be required to make full restitution to the
aggrieved obligor, including reinstatements and back pay.
(g) A withholding agent may be enjoined by a court of competent jurisdiction from
continuing any action in violation of this chapter.
(h) Compliance by a withholding agent with an income withholding order issued under
this chapter operates as a discharge of the withholding agent's liability to the obligor as to that
portion of the obligor's income so affected.
(i)
[Deleted
by P.L. 1997, ch. 170, § 6.]
SECTION 34. Section 15-18-5 of
the General Laws in Chapter 15-18 entitled
“Commission on Child Support” is hereby amended to read as
follows:
15-18-5. Reports and
recommendations. -- The commission shall report to the general
assembly on or before March 15, 1994, and shall
report at least every two (2) years thereafter its
findings and the results of its studies, and shall make such
recommendations to the general
assembly as it deems advisable.
SECTION 35. Section 15-21-4 of
the General Laws in Chapter 15-21 entitled “Child
Support Lien Act” is hereby amended to read as follows:
15-21-4. Notice of lien. --
(a) To perfect a lien with respect to real property, the
department shall file a notice of lien with the recorder of
deeds for the city or town in which the
property is located. The recorder of deeds shall index the
notice of intent under the name of the
obligor in the grantors index. The filing of a notice of
intent of the lien or of a waiver or release of
the lien shall be received and registered or recorded
without payment of a fee.
(b) To perfect a child support
lien with respect to personal property, the department shall
file a notice of lien with the secretary of state's office,
the administrator of the division of motor
vehicles, or any other office or agency within the state
responsible for the filing or recording of
liens. The filing of a notice of intent of the lien or of a
waiver or release of the lien shall be
received and registered or recorded without payment of a
fee.
(c) If any obligor against
whom a notice of intent to create a child support enforcement
lien has been filed according to this section:
(1) Fails to request a hearing
within the time frame provided;
(2) Fails to appear; or
(3) Neglects or refuses to pay
the sum due after the expiration of thirty (30) days after a
hearing is conducted by the department pursuant to §
15-21-3, at which the determination is made
the obligor parent is in arrears.
(d) The notice of intent as
filed shall be deemed and operate as a lien which is perfected
by the department by the filing of a notice of lien. The
notice of lien shall specify the property to
be attached and the amount of the arrearage due and shall be
filed in the office or city or town
where the notice of intent was originally filed.
(e) The lien shall have
priority over all subsequent liens or other encumbrances, subject
to the provisions of § 6A-9-312 6A-9-322 and with
the exception of any lien for taxes. A child
support lien that has been perfected shall encumber after
acquired personal property or proceeds.
(f) If the collection of any
unpaid child support will be jeopardized by delay or exigent
circumstances, as defined by rules promulgated by the
director, the department may apply to the
family court for an order to restrain the obligor parent
from encumbering, moving, selling, or in
any way transferring any real or personal property which may
be subject to the provisions of this
section.
(g) The lien shall expire upon
either termination of a current child support obligation and
payment in full of unpaid child support or release of the
lien by the department. In any event, a
lien under this chapter shall not expire until satisfied and
discharged. Expiration of the lien shall
not terminate the underlying order or judgment of child
support. The department may issue a full
or partial waiver or partial release or full discharge of
any lien imposed under this section and
shall file the waiver, release, or discharge without fee in
the city or town or office where the
original lien was filed within ten (10) days of the
obligor's compliance with this section. The
waiver or release or partial release or full discharge shall
be conclusive evidence that the lien
upon the property covered by the waiver or release is
extinguished.
[See § 12-1-15 of the General
Laws.]
SECTION 36. Sections
44-3-31.2, and 44-3-34 of the General Laws in Chapter 44-3
entitled “Property Subject to Taxation” are hereby amended
to read as follows:
44-3-31.2. Special property
tax consideration for designated properties in
Providence. -- (a) The city of Providence may by
ordinance provide special tax consideration for
designated properties on the landmark list as part of the
mill restoration program and in the arts
and entertainment district in the city of Providence.
(b) Upon enactment, [June
14, 2002], Property taxes levied on eligible properties as of
December 31, 2000 shall reflect adapted tax considerations.
Owners of eligible properties are
required to begin renovations by December 31, 2005 in order
to qualify for continued tax
considerations. Properties that fail to meet this deadline
will be required retroactively to pay the
difference between their actual tax payments and what they
would have paid if ineligible for the
specified tax considerations.
(c) Eligible properties shall be taxable properties located on the landmark list approved
by ordinance in the city of Providence and shall be eligible if certified by the city building
inspector as in need of substantial rehabilitation.
(d) Tax benefits for eligible properties shall be transferable to new owners or tenants, but
the life of the tax consideration shall not be extended.
(e) “Substantial rehabilitation” means rehabilitation that adheres to the applicable
building and fire codes, extends to all occupiable floors of the building, and equals at least fifty
percent (50%) of the current replacement value of the structure, as certified by the city building
inspector.
(f) Nothing in this section shall be construed to diminish the authority of any body to
review and approve the construction plans for overall appearance or historical preservation
standards.
(g) During the period of eligibility, the city of Providence shall also be authorized to use
special consideration in taxing tangible property located in businesses in eligible properties. For
the ten (10) year period, the rate of thirty-three dollars and forty-four cents ($33.44) shall be
applied annually to tangible property value, as it is determined and may change from year to year.
This consideration shall apply to all taxable businesses occupying eligible properties during the
period of eligibility, regardless of when they first occupied the property.
44-3-34. Homeowner
exemption — City of Central Falls. -- (a) [As amended by P.L.
1995, ch. 249, § 1.] The city council of the city of Central Falls,
may, by ordinance, provide that
the property of each person who is a domiciled resident of
the city of Central Falls and which
property is the principal residence of that person is exempt
from taxation as follows: single-
family dwellings not to exceed ten fifteen
thousand dollars ($10,000) ($15,000) of assessed
valuation; two (2) family dwellings not to exceed five
thousand dollars ($5,000) of assessed
valuation; three (3) through eight (8) family dwellings and
commercial units not to exceed three
thousand dollars ($3,000) of assessed valuation. The
exemption is applied to residential property
and includes property with up to a total of eight (8)
residential units and may include one
commercial or professional use unit as part of the total of eight
(8) assessed units; provided, that
the person entitled to the exemption has presented to the
city tax assessors, on or before the last
day on which sworn statements may be filed with the
assessors for the year for which exemption
is claimed. That person is entitled to the exemption as long
as his or her legal residence remains
unchanged.
(a) [As amended by P.L.
1995, ch. 302, § 1.] The city council of the city of Central Falls,
may, by ordinance, provide that the
property of each person who is a domiciled resident of the
city of Central Falls and the property is
the principal residence of that person is exempt from
taxation not to exceed fifteen thousand
dollars ($15,000) of assessed valuation; provided, that the
person entitled to the exemption has
presented to the city tax assessors, on or before the last day
on which sworn statements may be filed
with the assessors for the year for which exemption is
claimed. That person is entitled to the
exemption as long as his or her legal residence remains
unchanged.
(b) Each person upon application for exemption shall provide by means of a sworn
statement to the assessor clear and convincing evidence to establish his or her legal residence at
the property subject to the exemption.
(c) In the event that the property subject to the exemption should be sold or otherwise
transferred during the year for which the exemption is claimed to a person who does not qualify
for the exemption, the exemption is deemed void and the seller or transferor is liable to the city
for reimbursement of any tax benefit received as a result of the exemption.
(d) The city council of the city of Central Falls shall, by ordinance, establish rules and
regulations governing the acceptance of evidence of residence.
SECTION 37. Section 44-3-18 of
the General Laws in Chapter 44-3 entitled “Property
Subject to Taxation” is hereby repealed in its entirety.
44-3-18. Valuation of
cogeneration and solar and/or wind energy systems. -- (a)(1)
For the purposes of this section:
(i) “Cogeneration system”
means a facility which generates electricity and steam or other
useful forms of energy which are used for
commercial, industrial, heating, or cooling purposes;
and not primarily engaged in the generation
or sale of electric power, other than the power
generated at the cogeneration facility.
(ii) “Solar and/or wind
energy equipment” means collectors, controls, energy storage
devices, pumps, heat exchangers, windmills, or other
hardware or equipment necessary to the
process by which solar radiation or wind is received and
converted into another form, such as
thermal, electrical, or chemical energy.
(iii) “Solar and/or wind
energy system” means an arrangement or combination of solar
and/or wind energy equipment designed to provide heating,
cooling, hot water, or mechanical,
chemical, or electrical energy by the collection and
storage of solar and/or wind energy, including
insulated double glazing, or insulation to the extent
that the materials exceed the energy
efficiency standards that may be required by law. Solar
and/or wind energy systems do not
include pipes, controls, or other equipment which are
part of the conventional heating, cooling, or
energy distribution system of a building.
(2) When components serve
dual functions as parts of the building structure, as well as
parts of the solar and/or wind energy
equipment system, the components are considered solar
and/or wind energy equipment in the
amount that the cost of the components is increased to
enable their use as parts of the solar
and/or wind energy system.
(b) Cogeneration and solar
and/or wind energy systems in an existing or newly
constructed residential or nonresidential
building are assessed at no more than the value of the
conventional heating, cooling, or energy
production capacity that would otherwise be necessary
to install in the building.
(c) The provisions of this
section shall expire and are hereby repealed July 1, 2000.
SECTION 38. Section 42-8-24 of the General Laws in Chapter 42-8 entitled
“Department of State” is hereby amended to read as follows:
42-8-24. Permanent
commission on government information. -- (a) Creation. There
is hereby created a permanent state commission on government
information.
(b) Composition. The commission shall consist of ten (10) members: one of whom shall
be the governor, or designee; one of whom shall be the secretary of state, or designee; one of
whom shall be from the house of representatives, to be appointed by the speaker; one to be
appointed jointly by the minority leaders of the house and senate; one of whom shall be from the
senate, to be appointed by the president of the senate; one of whom shall be the director of state
library services, or designee; four (4) of whom shall be public members, one to be appointed by
the governor, one to be appointed by the secretary of state, one to be appointed by the speaker of
the house of representatives, and one to be appointed by the president of the senate.
(c) Purpose. The purpose of said commission shall be to develop and recommend to the
general assembly and the secretary of state the implementation of government information
systems that are readily accessible to the public, coordinate information exchanges between state
agencies and develop training programs for state employees in the use of new technologies.
(d) Election of chairperson.
The commission will meet no later than September 1, 1992
and elect a chairperson from its members.
(e) Compensation. The members shall receive no compensation for their service.
(f) Facilitation of purposes. All departments and agencies of the state shall provide any
advice, information, documentation and records as the commission deems necessary to facilitate
the purposes of this section.
SECTION 39. Section 42-8.1-5
of the General Laws in Chapter 42-8 entitled “State
Archives” is hereby amended to read as follows:
42-8.1-5. Duties and
responsibilities. -- (1) The state archivist under the direction of the
secretary of state shall be responsible for the proper
administration of public records of permanent
historical or other value. It shall be his or her duty to
determine and direct the administrative and
technical procedures of the division. He or she shall study
the problems of preservation and
disposition of records as defined in this chapter and based
on such study shall formulate and put
into effect, to the extent authorized by law, within the
division or otherwise, such programs as he
or she deems advisable or necessary for public records of
permanent historical or other value by
agencies of the state or political subdivisions thereof.
(2) The state archives shall reserve and administer such records as shall be transferred to
its custody, and to accept, arrange, and preserve them, according to approved archival practices
and to permit them at reasonable times and under the supervision of the division to be inspected,
examined and copied; provided that any record placed in the keeping of the division under special
terms or conditions restricting their use shall be made accessible only in accordance with such
terms and conditions.
(3) The state archivist shall
cooperate with and assist insofar as practicable, state
institutions, departments, agencies, the counties, municipalities and individuals engaged in
activities in the field of state archives,
manuscripts, and to accept from any person any papers,
books, records and similar materials which in the judgment of the division warrant preservation in
the state archives.
(4) Except as otherwise expressly provided by law, the state archivist may delegate any
of the functions of the archivist to such officers and employees of the division as the archivist
may deem to be necessary or appropriate. A delegation of the functions by the archivist shall not
relieve the archivist of responsibility for the administration of such functions.
(5) The secretary of state may organize the division he or she finds necessary or
appropriate.
(6) The secretary of state may establish advisory committees to provide advice with
respect to any function of the archivist or the division. Members of any such committee shall
serve without compensation.
(7) The state archivist shall advise and consult with interested federal, state and local
agencies with a view to obtaining their advice and assistance in carrying out the purposes of this
chapter.
(8) The state archivist shall provide a public research room where, under policies
established by the division, the materials in the state archives may be studied.
(9) The state archivist shall conduct, promote, and encourage research in Rhode Island
history, government, and culture, and to maintain a program of information, assistance,
coordination, and guidance for public officials, educational institutions, libraries, the scholarly
community, and the general public engaged in such research.
(10) The state archivist, with the approval of the secretary of state, shall cooperate with
and, insofar as practicable, assist agencies, libraries, institutions, and individuals in projects
designed to preserve original source materials relating to the state history, government, and
culture, and to prepare and publish, in cooperation with the public records administration,
handbooks, guides, indexes, and other literature directed toward encouraging the preservation and
use of the state’s documentary resources.
(11) The state archivist shall serve as a member of the coordinating council for state
library, archival and information services.
(12) The state archivist shall submit to the general assembly, as part of the annual report
for the state archives, a yearly preservation plan for addressing the preservation needs and
objectives for the division to be accomplished during the coming year. This report will include a
review of past preservation initiatives within the department as well as the projected cost(s) for
new initiatives.
(13) The state archivist shall
submit a disaster preparedness plan for the state archives. on
or before January 1, 1993. The plan will be placed on
file with the secretary of state, department
of state library services, and the general assembly and will be updated annually.
SECTION 40. Section 42-9-4 of
the General Laws in Chapter 42-9 entitled “Department
of Attorney General” is hereby amended to read as follows:
42-9-4. Prosecution of
offenses. -- (a) The attorney general shall draw and present all
informations and indictments, or other legal or equitable
process, against any offenders, as by law
required, and diligently, by a due course of law or equity,
prosecute them to final judgment and
execution.
(b) The duty of the attorney general under this section shall include the duty to prosecute
all charges of violations of §§ 31-27-2.1, 31-27-2.3, and/or 31-27-2.5, jurisdiction over the
adjudication of which is conferred upon the administrative
adjudication court traffic tribunal
under chapter 43 41.1 of title 31.
SECTION 41. Section 15-2-11 of
the General Laws in Chapter 15-2 entitled “Marriage
Licenses” is hereby amended to read as follows:
15-2-11. Consent and procedure required for license to minors and persons under
guardianship. -- (a) No minor or person under the control of a parent or guardian is allowed to
give and subscribe to the information provided for in §§ 15-2-1 - 15-2-10, or to receive the
license provided for in them, unless the consent in writing of the parent or guardian, given in the
presence of the town or city clerk or any clerk employed in that office, has been first obtained;
provided, that proof is submitted that the minor, if a female, has attained the age of sixteen (16)
years; and provided, further, that this information may be given and subscribed to by a minor, if a
female, who has attained the age of sixteen (16) years, residing in this state upon the consent in
writing of the director of public welfare of the town or city in which the minor resides, is given in
the presence of the town or city clerk or any clerk employed in that office. In addition to the
preceding requirements in subsection (a), no
license shall be issued to any minor, if a female
under the age of sixteen (16) years, and if a male under the age of eighteen (18) years, unless and
until the following requirements have been complied with, and the town or city clerk is directed
in writing to issue the license by the family court.
(b) The town or city clerk, upon receiving information provided for in §§ 15-2-1 - 15-2-
10, shall immediately transmit a certified copy of the information to the family court. The court
shall immediately transmit a copy of the information, together with a written request for a
complete investigation of and a report upon the advisability of the issuance of the license, to the
state department of human services. The department, shall, within fifteen (15) days after the
receipt of the information, the request, and the report file in the court its complete report in
writing.
(c) The court shall then conduct a hearing in chambers to determine the advisability of
the issuance of the license and notifies the town or city clerk of its determination. The court has
the power to summon at the hearing those persons that it may deem advisable.
(d) The court also files the report and a notation of its determination in the office of the
clerk of the court, but any papers filed at the office of the clerk shall not be matters of public
record and may be examined only upon the written authorization of the court.
(e) During the pendency of the proceedings, the court shall exercise the authority of a
guardian in respect to the minor or minors involved.
SECTION 42. Sections 15-3-5
and 15-3-14 of the General Laws in Chapter 15-3 entitled
“Solemnization of Marriages” are hereby amended to read as
follows:
15-3-5. Officials empowered to join persons in marriage. -- Every ordained clergy or
elder in good standing, every justice of the supreme court, superior court, family court, workers'
compensation court, district court or administrative
adjudication court traffic tribunal, the clerk of
the supreme court, every clerk or general chief clerk of a superior court, family court, district
court, or administrative adjudication court traffic
tribunal, magistrates, special or general
magistrates of the superior court, family court or ,
traffic tribunal or district court, administrators
of the workers' compensation court, every former justice or judge and former administrator of
these courts and every former chief clerk of the district court, and every former clerk or general
chief clerk of a superior court may join persons in marriage in any city or town in this state; and
every justice and every former justice of the municipal courts of the cities and towns in this state
and of the police court of the town of Johnston and every probate judge may join persons in
marriage in any city or town in this state, and wardens of the town of New Shoreham may join
persons in marriage in New Shoreham.
15-3-14. Neglect of duty by person performing ceremony. -- Every minister, elder,
justice, warden, or other person authorized to join persons in marriage, including those authorized
to join in marriage according to the Jewish religion, who fails to perform any of the duties
devolved upon him or her by this chapter, shall be fined not exceeding one hundred dollars ($100
with the exception of the penalties for the violations contained in §§ 15-3-10, 15-3-11, 15-3-15
and 15-3-16.
SECTION 43. Section 28-5-14 of
the General Laws in Chapter 28-5 entitled “Fair
Employment Practices” is hereby amended to read as follows:
28-5-14. Educational program. -- In order to eliminate prejudice among the various
ethnic groups in this state and to further good will among those groups, the commission and the
state department of elementary and secondary education are jointly directed to prepare a
comprehensive educational program, designed for the students of the public schools of this state
and for all other residents, calculated to emphasize the origin of prejudice based on race or color,
religion, sex, sexual orientation, gender identity or expression, disability, age, or country of
ancestral origin, its harmful effects, and its incompatibility with American principles of equality
and fair play.
SECTION 44. Sections 28-5.1-4,
28-5.1-8, and 28-5.1-14 of the General Laws in
Chapter 28-5.1 entitled “Equal Opportunity and Affirmative
Action” are hereby amended to read
as follows:
28-5.1-4. Employment policies for state employees. -- Each appointing authority shall
review the recruitment, appointment,
assignment, upgrading, and promotion policies and
activities for state employees without regard to race, color, religion, sex, sexual orientation,
gender identity or expression, age, national origin, or disability. All appointing authorities shall
hire and promote employees without discrimination. Special attention shall be given to the parity
of classes of employees doing similar work and the training of supervisory personnel in equal
opportunity/affirmative action principles and procedures. Annually, each appointing authority
shall include in its budget presentation those necessary programs, goals and objectives that will
improve the equal opportunity aspects of their department's employment policies. Each
appointing authority shall make a monthly report to the state equal opportunity office on persons
hired, disciplined, terminated, promoted, transferred, and vacancies occurring within their
department.
28-5.1-8. Education, training, and apprenticeship programs. -- (a) All educational
programs and activities of state agencies, or in which state agencies participate, shall be open to
all qualified persons without regard to race, color, religion, sex, sexual orientation, gender
identity or expression, age, national origin, or disability. These programs shall be conducted to
encourage the fullest development of the interests, aptitudes, skills, and capacities of all
participants.
(b) Those state agencies responsible for educational programs and activities shall take
positive steps to insure that all programs are free from either conscious or inadvertent bias, and
shall make quarterly reports to the state equal opportunity office with regard to the number of
persons being served and to the extent to which the goals of the chapter are being met by the
programs.
(c) Expansion of training opportunities shall also be encouraged with a view toward
involving larger numbers of participants from those segments of the labor force where the need
for upgrading levels of skill is greatest.
. 28-5.1-14. State licensing and regulatory agencies. -- State agencies shall not
discriminate by considering race, color, religion, sex, sexual orientation, gender, identity or
expression, age, national origin, or disability in granting, denying, or revoking a license or
charter, nor shall any person, corporation, or business firm which is licensed or chartered by the
state unlawfully discriminate against or segregate any person on these grounds. All businesses
licensed or chartered by the state shall operate on a nondiscriminatory basis, according to equal
employment treatment and access to their services to all persons, except unless otherwise
exempted by the laws of the state. Any licensee, charter holder, or retail sales permit holder who
fails to comply with this policy is subject to such disciplinary action that is consistent with the
legal authority and rules and regulations of the appropriate licensing or regulatory agency. State
agencies which have the authority to grant, deny, or revoke licenses or charters will cooperate
with the state equal opportunity office to prevent any person, corporation, or business firm from
discriminating because of race, color, religion, sex, sexual orientation, gender, identity or
expression, age, national origin, or disability or from participating in any practice which may
have a disparate effect on any protected class within the population. The state equal opportunity
office shall monitor the equal employment opportunity activities and affirmative action plans of
all these organizations
SECTION 45. Section 17-15-32 of the General Laws in Chapter 17-15 entitled “Primary
Elections” is hereby repealed in its entirety.
17-15-32. Contents of
certificate of nomination. -- Any certificate of nomination issued
by the state board or any local board shall
state such facts as are required for its acceptance by §
17-17-1.
SECTION 46. Section 28-35-10
of the General Laws in Chapter 28-35 entitled
“Workers’ Compensation -- Procedure” is hereby amended to
read as follows:
28-35-10. Duplicates of
documents furnished to employee — Inadmissibility of
documents when copies not furnished. -- Where an employer, his or her
insurer, or the agents
or independent contractors of either obtains from an injured
employee any paper, document,
report, statement, or agreement, including hospital records,
nurses' notes, personnel records,
reports, or statements by forepersons or any other
supervisory employees at the injured
employee's place of employment, whether signed or unsigned,
and regardless of the mode of
obtaining it, concerning compensation, the injured employee
shall receive an exact duplicate
original copy of that paper, document, report, statement, or
agreement, including hospital records,
nurses' notes, personnel records, reports, or statements by
forepersons or any other supervisory
employees at the injured employee's place of employment
which shall be signed by an authorized
agent or the employer or his or her insurer. The paper,
document, report, statement, or agreement,
including hospital records, nurses' notes, personnel
records, reports, or statements by forepersons
or any other supervisory employees at the injured employee's
place of employment, shall be
furnished to the employee at the time it is obtained, and a
copy is also furnished to the employee's
attorney immediately upon request by that attorney. If a
copy of a paper, document, report,
statement, or agreement, including hospital records, nurses'
notes, personnel records, reports, or
statements by forepersons or any other supervisory employees
at the injured employee's place of
employment is not furnished strictly in accordance with this
section, anything nothing contained
in them it cannot may be used by
an employer or his or her insurer or attorney for direct or cross-
examination of the employee; and the individual obtaining it
may not testify in any proceeding
and the paper, document, report, statement, or agreement,
including hospital records, nurses'
notes, personnel records, reports, or statements by
forepersons or any other supervisory
employees at the injured employee's place of employment are
inadmissible in any proceeding if
objection by the employee to its admission is made.
SECTION 47. Section 17-21.1-3
of the General Laws in Chapter 17-21.1 entitled
“Registration and Voting in Federal Elections by Citizens
Residing Outside the United States” is
hereby amended to read as follows:
17-21.1-3. Procedure on
registration. -- Every person qualified to vote, but who by
reason of his or her absence is absent from
the state, as provided in § 17-21.1-2, and desiring to
register pursuant to the provisions of this chapter, shall do so in the following manner:
(1) The person shall make application in writing to the local board in the city or town in
which that person was last domiciled in this state for the form necessary to register.
(2) (i) The local board shall proceed to furnish the applicant with a registration form and
affidavit form as provided in this section.
(ii) The following, in addition to any direction that may be printed, stamped, or written on
it by direction of the local board, shall be substantially the form of affidavit to be subscribed to by
the person:
Affidavit of Absentee Voter Upon Registration
I, __________________________, say that I or my parents have been domiciled at No.
________ Street in the city or town of ____________ in the state of Rhode Island; that I am
presently residing outside of the United States at
__________________________________________________;
(state foreign address) that I am a citizen of the United States; that I do not maintain a domicile
nor am I registered to vote and will not vote in any other state or election district of a state or
territory or in any territory or possession of the United States; that I have a valid passport or card
of identity and registration issued under the authority of the secretary of state of the United States;
that I desire to register to permit me to vote in all elections for president, vice-president,
presidential elector, member of the United States senate, and member of the United States house
of representatives.
_________________________________
(sign full name on this line)
Sworn to by or affirmed before me this ______ day of _______________, 20____.
_______________________________
Consular officer of the United States or
person authorized to administer oaths
in place of attestation
(Affix official seal or certificate of authority.)
(Consular officer or other officer, authorized by law of place of attestation to administer an
oath, must administer the above.)
(3) When the registration form and affidavit are correctly completed and returned to the
local board together with any proof of citizenship that may be required by law, the person shall be
deemed to have completed his or her registration and the registration card shall be filed in the
same manner as other original registration cards, except the cards shall be maintained separately
and shall refer only to eligibility to vote for federal officers, as provided by this chapter.
SECTION 48. Section 17-27-1 of the General Laws in Chapter 17-27 entitled “Reporting
of Political Contributions by State Vendors“ is hereby amended to read as follows:
17-27-1. Definitions.
-- As used in this chapter:
(1) "Aggregate amount" means the total of all contributions made to a particular general
officer, candidate for general office, or political party within the time period set forth;
(2) "Business entity" means a sole proprietorship, partnership, firm, corporation, holding
company, joint stock company, receivership, trust, or any other entity recognized in law through
which business for profit is conducted;
(3) "Contribution" means a transfer of money, paid personal services, or other thing of
value reportable under the terms of chapter 25 of this title;
(4) "Executive officer" means any person who is appointed or elected as an officer of a
business entity by either the incorporators, stockholders, or directors of the business entity who is
in charge of a principal business unit, division, or function of the business entity, or participates
or has authority to participate other than in the capacity of a director in major policymaking
functions of the business entity or who is actively engaged in soliciting business from the state or
conducting, other than in ministerial capacity, business with the state; provided, however, that
officers of the business entity who are located outside the state, are not residents of the state, and
do not participate in the business of the business entity within this state shall be exempted from
the requirements of this chapter;
(5) "Goods or services" shall not include services provided to a state agency by (i) any
public utility company, or (ii) a federal or state banking institution or other depository institution
solely in connection with depository accounts held by the institution on behalf of a state agency;
(6) "State agency" means a branch, department, division, agency, commission, board,
office, bureau, or authority of the government of the state of Rhode Island;
(7)(i) "State vendor" means:
(A) (i) A
a person or business entity that sells goods or provides services to any
state
agency,
(B) (ii) A
a person or business entity which has an ownership interest of ten (10%)
percent or more in a business entity that sells goods or provides services to any state agency, or
(C) (iii) A
a person who is an executive officer of a business entity that sells
goods or
provides services to any state agency,
(D) (iv) The
the spouse or minor child of a person qualifying as a state vendor under
the
terms of items (i), (ii) or (iii) herein subparagraphs
(A, (B) or (C) of this paragraph, unless the
spouse works for a vendor in competition for state business with the reporting business entity, or
(E) (v) A
a business of the business entity that is a parent or subsidiary of a
business
entity that sells goods or provides services to any state
agency.;
(ii) “State vender”
does but shall not mean: (A) a municipality, (B) a
corporation
established pursuant to Section 501(c)(3) of the Internal
Revenue Code, 26 U.S.C. § 501(c)(3), of
the Internal Revenue Code corporation, (C) a
hospital, (D) a state or federal agency, or (E) a
person receiving reimbursement for an approved state expense. The director of administration is
authorized to provide as a public record a list of further exemptions consistent with the purposes
of this chapter.
SECTION 49. Section 18-13-18
of the General Laws in Chapter 18-13 entitled “Rhode
Island Uniform Custodial Trust Act” is hereby amended to
read as follows:
18-13-18. Methods and forms for creating custodial trusts. -- (a) If a transaction,
including a declaration with respect to or a transfer of specific property, otherwise satisfies
applicable law, the criteria of § 18-13-2 are satisfied by:
(1) The execution and either delivery to the custodial trustee or recording of an
instrument in substantially the following form:
TRANSFER UNDER THE RHODE ISLAND
UNIFORM CUSTODIAL TRUST ACT
I, ______________________________________ (name of transferor or name and
representative capacity if a fiduciary), transfer to ____________________________ (name of
trustee other than transferor), as custodial trustee for ____________________________ (name of
beneficiary) as beneficiary and ____________________________ as distributee on termination
of the trust in absence of direction by the beneficiary under the Rhode Island Uniform Custodial
Trust Act, the following:
(insert a description of the custodial trust property legally sufficient to identify and transfer each
item of property.)
Dated: ______________
____________________________
(Signature)
or
(2) The execution and the recording or giving notice of its execution to the beneficiary of
an instrument in substantially the following form:
DECLARATION OF TRUST UNDER THE RHODE ISLAND
UNIFORM CUSTODIAL TRUST ACT
I, ____________________________ (name of owner of property), declare that henceforth I
hold as custodial trustee for ______________ (name of beneficiary other than transferor) as
beneficiary and ______________ as distributee on termination of the trust in absence of direction
by the beneficiary under the Rhode Island Uniform Custodial Trust Act, the following: (Insert a
description of the custodial trust property legally sufficient to identify and transfer each item of
property.)
Dated: ______________
____________________________
(Signature)
(b) Customary methods of transferring or evidencing ownership of property may be used
to create a custodial trust, including any of the following:
(1) Registration of a security in the name of a trust company, an adult other than the
transferor, or the transferor if the beneficiary if is
other than the transferor, designated in
substance "as custodial trustee for ______________ (name of beneficiary) under the Rhode
Island Uniform Custodial Trust Act";
(2) Delivery of a certificated security, or a document necessary for the transfer of an
uncertificated security, together with any necessary endorsement, to an adult other than the
transferor or to a trust company as custodial trustee, accompanied by an instrument in
substantially the form prescribed in subsection (a)(1);
(3) Payment of money or transfer of a security held in the name of a broker or a financial
institution or its nominee to a broker or financial institution for credit to an account in the name of
a trust company, an adult other than the transferor, or the transferor if the beneficiary is other than
the transferor, designated in substance: "as custodial trustee for ________________________
(name of beneficiary) under the Rhode Island Uniform Custodial Trust Act";
(4) Registration of ownership of a life or endowment insurance policy or annuity
contract with the issuer in the name of a trust company, an adult other than the transferor, or the
transferor if the beneficiary is other than the transferor, designated substance: "as custodial trustee
for ________________________ (name of beneficiary) under the Rhode Island Uniform
Custodial Trust Act";
(5) Delivery of a written assignment to an adult other than the transferor or to a trust
company whose name in the assignment is designed in substance by the words: "as custodial
trustee for ________________________ (name of beneficiary) under the Rhode Island Uniform
Custodial Trust Act";
(6) Irrevocable exercise of a power of appointment, pursuant to its terms, in favor of a
trust company, an adult other than the donee of the power, or the donee who holds the power if
the beneficiary is other than the donee, whose name in the appointment is designated in
substance: "as custodial trustee for ________________________ (name of beneficiary) under the
Rhode Island Uniform Custodial Trust Act";
(7) Delivery of a written notification or assignment of a right to future payment under a
contract to an obligor which transfers the right under the contract to a trust company, an adult
other than the transferor, or the transferor if the beneficiary is other than the transferor, whose
name in the notification or assignment is designated in substance: "as custodial trustee for
________________________ (name of beneficiary) under the Rhode Island Uniform Custodial
Trust Act";
(8) Execution, delivery, and recordation of a conveyance of an interest in real property in
the name of a trust company, an adult other than the transferor, or the transferor if the beneficiary
is other than the transferor, designated in substance: "as custodial trustee for
________________________ (name of beneficiary) under the Rhode Island Uniform Custodial
Trust Act";
(9) Issuance of a certificate
of title by an agency of a state or of the United States which
evidences title to tangible personal property:
(i) Issued in the name of a
trust company, an adult other the transferor, or the transferor
if the beneficiary is other than the transferor, designated
in substance: "as custodial trustee for
________________________ (name of beneficiary) under the
Rhode Island Uniform Custodial
Trust Act"; or
(ii) Delivered to a trust
company or an adult other than the transferor or endorsed by the
transferor to that person, designated in substance: "as
custodial trustee for
________________________ (name of beneficiary) under the
Rhode Island Uniform Custodial
Trust Act".
(10) Execution and delivery
of an instrument of gift to a trust company or an adult other
than the transferor, designated in substance: "as
custodial trustee for
________________________ (name of beneficiary) under the
Rhode Island Uniform Custodial
Trust Act".
SECTION 50. Section 28-41-16
of the General Laws in Chapter 28-41 entitled
“Temporary Disability Insurance – Benefits” is hereby
amended to read as follows:
28-41-16. Determination of
claim. -- (a) Upon the filing of a claim, the director shall
promptly examine the claim and on the basis of facts found
by the director and records
maintained by the department, the claim is determined to be
valid or invalid. If the claim is
determined to be valid, the director will promptly notify
the claimant as to the week with respect
to which benefits commence, the weekly benefit amount
payable, and the maximum duration of
the benefits. If the claim is determined to be invalid, the
director shall likewise notify the claimant
and any other interested parties of that determination and
the reasons therefor. If the processing of
the claim is delayed for any reason, the director shall
notify the claimant, in writing, within three
(3) weeks of the date the application for benefits is filed
of the reason for the delay. Unless the
claimant or any other interested party, within fifteen (15)
days, requests a hearing before the
board of review, the determination with reference to the
claim is final. except that However, for
good cause shown the fifteen (15) day period may be extended
after notification by the director
has been mailed to his or her last known address, as
provided in this section, requests a hearing
before the board of review, the determination with
reference to the claim is final; provided, that at
any time within one year from the date of a monetary
determination, the director, upon request of
the claimant or on his or her own motion, may reconsider his
or her determination if he or she
finds that an error in computation or identity has occurred
in connection with the determination or
that additional wages pertinent to the claimant's status
have become available, or if that
determination has been made as a result of a nondisclosure
or misrepresentation of a material fact.
(b) If an appeal is filed,
benefits with respect to the period prior to the final decision, if it
is found that those benefits are payable, will be paid only
after the decision; provided, that if an
appeal tribunal affirms a decision of the director, or the
board of review affirms a decision of an
appeal tribunal allowing benefits, those benefits will be
paid regardless of any appeal which may
thereafter be taken.
SECTION 51. Section 28-51-2 of
the General Laws in Chapter 28-51 entitled “ Sexual
Harassment, Education and Training in the Workplace” is
hereby amended to read as follows:
28-51-2. Adoption of
workplace policy and statement. -- (a) All employers and
employment agencies shall promote a workplace free of sexual
harassment.
(b) Every employer shall:
(1) Adopt a policy against
sexual harassment which includes:
(i) A statement that sexual
harassment in the workplace is unlawful;
(ii) A statement that it is
unlawful to retaliate against an employee for filing a complaint
of sexual harassment or for cooperating in an investigation
of a complaint for sexual harassment;
(iii) A description and
examples of sexual harassment;
(iv) A statement of the range
of consequences for employees who are found to have
committed sexual harassment;
(v) A description of the
process for filing internal complaints about sexual harassment
and the work addresses and telephone numbers of the person
or persons to whom complaints
should be made; and
(vi) The identity of the
appropriate state and federal employment discrimination
enforcement agencies, and directions as to how to contact
those agencies.
(2) Provide to all employees a
written copy of the employer's policy against sexual
harassment; provided, that a new employee shall be provided
such a copy at the time of his or her
employment.
(c)
Employers are encouraged to conduct an education and training program for new
employees and members, within one year of commencement of
employment or membership,
which includes at a minimum the information set forth in
this section. Employers are encouraged
to conduct additional training for new supervisory and
managerial employees within one year of
commencement of employment which shall include at a minimum
the information set forth in
subsection (b), the specific responsibilities of supervisory
and managerial employees and the
methods that these employees should take to ensure immediate
and appropriate corrective action
in addressing sexual harassment complaints. Employers and
appropriate state agencies are
encouraged to cooperate in making education and training
available.
(d) Employers shall provide
copies of their written policies on sexual harassment to all
employees upon their request on or before September 1,
1997.
(e) Employers shall be
required to maintain copies of their written policies on sexual
harassment at their business premises, and copies of the
policies shall be made available to any
state or federal employment discrimination enforcement agency upon request.
SECTION 52.
Section 17-19-27 of the General Laws in Chapter 17-19 entitled "Conduct
of Election and Voting Equipment, and
Supplies" is hereby amended to read as follows:
17-19-27.
Affidavit as to identity of voter challenged -- Penalty for false affidavit. --
(a) Whenever the identity of any person offering
to vote is challenged at the polling place, that
person shall be permitted to vote only upon
making and filing with the warden an affidavit in
substantially the following form:
Under the penalty
prescribed by law I hereby make affidavit that I am
________________________________________ (here
insert name) whose name
appears upon the
voting list certified for use at the polling place in voting district
______________ of the city (or town) of
________________, senatorial district
________________, representative district
________________, on the ________________ day
of ______________ A.D. 20______, and that the
above name under which I offer to vote is my
own name.
________________________________
(Signature)
Subscribed and
sworn to on this ________________________________ day of
____________________________________ A.D.
20______, before me
________________________________
Warden
Witness:
________________________________
(b) Any person
required to sign the above mentioned affidavit described in
subsection (a)
of this section shall step out of line
so that others may vote and the warden shall at that time fill
out the affidavit and a copy and permit that
person to read and sign it and shall administer the
oath as required under this section, for which
purpose every warden is empowered to administer,
and to attest it with his or her signature in
proof of the administration of the oath. The designated
election official appointed on behalf of the
opposite political party to that of the warden shall
witness the voter's signature and shall sign his
or her own name in the appropriate space. The
original shall be retained by the warden and the
copy shall be handed to the voter, who shall
immediately be permitted to vote.
(c) At the
closing of the polls, the warden shall seal up the affidavits and cause them to
be delivered to the local board together with
the voting lists.
(d) Every person
who makes a false affidavit under this section is guilty of a felony.
SECTION 53.
Section 18-14-5 of the General Laws in Chapter 18-14 entitled "Uniform
Testamentary Additions to Trusts Act" is
hereby repealed.
18-14-5.
Short title. -- This chapter may be cited as the "Uniform
Testamentary
Additions to Trusts Act (1991)".
SECTION 54.
Section 17-4-2 of the General Laws in Chapter 17-4 entitled "Federal
Elective Officers" is hereby amended to
read as follows:
17-4-2. Territory
in first and second congressional districts. -- [This section is set
out
as it appears in P.L. 2002, ch. 4. However, the
director of law revision of the joint committee on
legislative services anticipates several
substantive changes that will require further legislative
action. Section 22-11-3.4 precludes the
presentation of these expected changes, as such action
would exceed the authority granted.]
(a) First
district. - (1) The first congressional district shall consist of all of that
part of the
towns of: Burrillville; North Smithfield;
Smithfield; Lincoln; Cumberland; North Providence;
Barrington; Warren; Bristol; Portsmouth;
Tiverton; Little Compton; Middletown; and Jamestown,
and the cities of: Woonsocket; Central Falls;
Pawtucket; East Providence; and Newport.
(2) The first
congressional district shall also consist of all of that part of the city of
Providence bounded by a line beginning at the
intersection of Longwood Avenue and the
Providence-North Providence boundary line;
thence northeasterly and southeasterly along the
Providence-North Providence boundary line to the
Providence-Pawtucket boundary line; thence
southeasterly along the Providence-Pawtucket
boundary line to the Providence-East Providence
boundary line; thence southwesterly along the
Providence-East Providence boundary line to the
Providence River; thence northwesterly through
the Providence River to Steeple Street; thence
northeasterly along Steeple Street to North Main
Street; thence northerly on North Main Street to
Hewes Street; thence southwesterly on Hewes
Street to Stevens Street; thence northwesterly on
Stevens Street to Charles Street; thence
continuing northwesterly on Charles Street to Interstate
Route 95; thence southwesterly on Interstate Route
95 to the former New York, New Haven and
Hartford Railroad (hereinafter simply "New
York New Haven and Hartford Railroad"); thence
southwesterly on New York New Haven and Hartford
Railroad to a line extended westerly to
Francis Street; thence westerly along that line
(boundary line between census blocks
440070008001022 and 440070008001021) to a line
extended southwesterly and westerly to
Promenade Street; thence southwesterly and
westerly along that line (boundary line between
census blocks 440070008001025 and
440070008001026) thence westerly to Promenade Street;
thence continuing westerly on Promenade Street
to Interstate Route 95; thence southerly on
Interstate Route 95 to Providence Place; thence
westerly on Providence Place to Harris Avenue;
continuing westerly on Harris Avenue to Dean
Street; thence northerly on Dean Street to Pleasant
Valley Parkway; thence northwesterly on Pleasant
Valley Parkway to Raymond Street; thence
continuing northwesterly on Chalkstone Avenue;
thence westerly on Chalkstone Avenue to
Samoset Avenue; thence northerly on Samoset
Avenue to Alden Street; thence westerly on Alden
Street to Victoria Street; thence northerly on
Victoria Street to Galileo Avenue; thence
northeasterly on Galileo Avenue to Standish
Avenue; thence northerly on Standish Avenue to
Metropolitan Road; thence westerly on
Metropolitan Road to Mount Pleasant Avenue; thence
northerly on Mount Pleasant Avenue to Old Road;
thence easterly on Old Road to Smith Street;
thence southeasterly on Smith Street to Academy
Avenue; thence northerly on Academy Avenue
to Walton Street; thence westerly on Walton
Street to Enfield Avenue; thence northerly on
Enfield Avenue to Isabella Avenue; thence
westerly on Isabella Avenue to Modena Avenue;
thence southerly on Modena Avenue to Lotus
Place; thence westerly on Lotus Place to Gentian
Avenue; thence northerly on Gentian Avenue to
Isabella Avenue; thence westerly on Isabella
Avenue to Longwood Avenue; thence northerly on
Longwood Avenue to the point of origin.
(b) Second
district. - (1) The second congressional district shall consist of all of the
towns of: Glocester; Foster; Scituate; Johnston;
Coventry; West Warwick; West Greenwich; East
Greenwich; Exeter; North Kingstown; Narragansett;
New Shoreham; South Kingstown;
Charlestown; Richmond; Hopkinton; and Westerly,
and the cities of: Cranston and Warwick.
(2) The second
congressional district shall also consist of all of that part of the city of
Providence not included in the first
congressional district.
SECTION 55.
Section 28-5-26 of the General Laws in Chapter 28-5 entitled "Fair
Employment Practices" is hereby amended to
read as follows:
28-5-26.
Modification of findings or orders. -- Until a transcript of the record
in a case
is filed in a court as provided in this
chapter section 28-5-29, the commission may at any time,
upon reasonable notice and in a manner that it
deems proper, modify or set aside in whole or in
part any of its findings or orders.
SECTION 56.
Section 31-28-7.1 of the General Laws in Chapter 31-28 entitled "Parking
Facilities and Privileges" is hereby
amended to read as follows:
31-28-7.1.
Motor vehicle placards for group care facilities, government agencies,
nonprofit organizations, or companies serving
people with disabilities. -- (a) Upon
application to the division of motor vehicles,
any group care facility, government agency, non-
profit organizations, or company that provides
services to persons with disabilities shall be issued
one or more portable motor vehicle placards as
described in section 31-28-7(a) and (b).
(b) The applicant
shall provide to the division of motor vehicles proof that the applicant
is a bona fide group care facility, government
agency, non-profit organization or company
providing services to persons with disabilities
as defined in section 31-28-7(h).
(c) The division
of motor vehicles shall not issue more than ten (10) placards to any one
facility. The number of placards to be issued
shall be determined by the division of motor
vehicles based upon the number of persons served
by the facility and the frequency with which
the staff of the facility must transport the
clients or patients of the facility.
(d) The placards
shall be used only by agents or employees of the facility and only when
transporting persons with disabilities who are
clients or patients of the facility. The placard is to
be hung from the rear view mirror as to be seen
through the front and rear windshield of the
motor vehicle.
(e) A person
other than an agent or employee of the facility to which the placard was
issued, or an agent or employee of the facility
not engaged in transporting clients or patients of
the facility, who uses the parking privilege
placards for his or her own purposes, shall be fined
one hundred dollars ($100) one hundred and
twenty-five dollars ($125) for each violation. A
facility that allows the unauthorized use of the
placards may be subject to revocation of the use of
the placard by the division of motor vehicles.
SECTION 57.
Section 44-1-30 of the General Laws in Chapter 44-1 entitled "State Tax
Officials" is hereby amended to read as
follows:
44-1-30. Report
by the tax administrator to the speaker of the house of
representatives. --
The tax administrator shall periodically report to the speaker of the house of
representatives on the adequacy of the estate
tax exemption, the marital deduction, and the
orphan's deduction provided in chapter 22 of
title 44 in light of changing economic conditions
and on the trends in death taxation at both the
federal and state levels. The reports are due, first,
on January 31, 1985 and on January 31st of each
fifth (5th) year thereafter. after 1985.
SECTION 58. This
act shall take effect upon passage.
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LC01980/SUB
B
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