Chapter 395 |
2021 -- H 6428 Enacted 07/14/2021 |
A N A C T |
RELATING TO STATUTES AND STATUTORY CONSTRUCTION |
Introduced By: Representative Christopher R. Blazejewski |
Date Introduced: June 16, 2021 |
It is enacted by the General Assembly as follows: |
SECTION 1. Section 3-7-16.3 of the General Laws in Chapter 3-7 entitled "Retail |
Licenses" is hereby amended to read as follows: |
3-7-16.3. Class T legitimate theater license. |
(a) Legitimate theaters as defined in subsection (b) or subsection (c) may apply for a Class |
T license. The license authorizes the holder of the license to keep for sale and to sell beverages at |
retail in the place described in the license and to deliver those beverages for consumption on the |
premises where sold at the times when scheduled events relating to art, the legitimate theatre |
theater or community artistic experiences may be held on those premises and for a period of one |
hour prior to those events and one hour subsequent thereto, provided those events begin subsequent |
to twelve o'clock (12:00) noon. The licensed premises may contain a bar. A Class T license |
authorizes entertainment only in conformity with ordinances of the city or town where the facility |
is located on the licensed premises. Class T licenses shall only be issued by the local licensing |
authority. |
(b) "Legitimate theaters," for the purposes of this section, includes nonprofit, cultural |
organizations and for-profit historic theaters located in the city of Newport or the town of |
Burrillville whose primary purpose is to provide with a primary purpose of providing a support |
system to deliver and coordinate various arts activities for the benefit of the communities they the |
theaters serve or that provide live, regularly scheduled theatrical productions on a regular basis |
throughout the year and all events contributing toward the goal of providing quality artistic |
experiences for the community. |
(c) For purposes of this section, "legitimate theaters" shall also include facility management |
corporations that are contractually authorized to manage buildings owned or under the authority of |
the Rhode Island Convention Center Authority whose with a primary purpose is to provide of |
providing a support system to deliver and coordinate various arts activities for the benefit of the |
communities they the corporations serve or that provide live, regularly scheduled theatrical |
productions on a regular basis throughout the year and all events contributing toward the goal of |
providing quality artistic experiences for the community. |
SECTION 2. Section 15-8.1-402 of the General Laws in Chapter 15-8.1 entitled "Uniform |
Parentage Act [Effective January 1, 2021]" is hereby amended to read as follows: |
15-8.1-402. Challenge to presumed parent. [Effective January 1, 2021.] |
(a) Except as provided in subsection (b) of this section, a proceeding to challenge the |
parentage of an individual whose parentage is presumed under § 15-8.1-401, shall be commenced |
within two (2) years after the birth of the child. |
(b) A proceeding to challenge the parentage of an individual whose parentage is presumed |
under § 15-8.1-401, may be commenced two (2) years or more after the birth of the child in the |
following circumstances: |
(1) A presumed parent who is not the genetic parent of a child and who could not |
reasonably have known about the birth of the child may commence a proceeding under this section |
within two (2) years after learning of the child's birth. |
(2) An alleged genetic parent who did not know of the potential genetic parentage of a child |
and who could not reasonably have known on account of material misrepresentation or concealment |
may commence a proceeding under this section within two (2) years after discovering the potential |
genetic parentage. |
If the person is adjudicated to be the genetic parent of the child, the court may not |
disestablish a presumed parent. |
(3) Regarding a presumption under § 15-8.1-401(a)(4), another parent of the child may |
challenge a presumption of parentage if that parent openly held out the child as the presumptive |
parent's child due to duress, coercion, or threat of harm. Evidence of duress, coercion, or threat of |
harm may include whether within the prior ten (10) years, the person presumed to be a parent |
pursuant to § 15-8.1-401(a)(4), has been convicted of domestic assault, sexual assault, or sexual |
exploitation of the child or another parent of the child, was subject to a final abuse protection order |
pursuant to chapter 15 of title 15, because the person was found to have committed abuse against |
the child or another parent of the child, or was substantiated for abuse against the child or another |
parent of the child pursuant to § 11-9-5.3. |
(c) Challenges under this subsection section shall be addressed adjudicated pursuant to § |
15-8.1-206. |
SECTION 3. Section 15-8.1-603 of the General Laws in Chapter 15-8.1 entitled "Uniform |
Parentage Act [Effective January 1, 2021]" is hereby amended to read as follows: |
15-8.1-603. Authority to order or deny genetic testing. [Effective January 1, 2021.] |
(a) Except as otherwise provided in this chapter, in a proceeding pursuant to this chapter |
to determine parentage, the court shall order the child and any other individual to submit to genetic |
testing if a request for testing is supported by the sworn statement of a party: |
(1) Alleging a reasonable possibility that the individual is the child's genetic parent; or |
(2) Denying genetic parentage of the child and stating facts establishing a reasonable |
possibility that the individual is not a genetic parent. |
(b) Prior to a proceeding to establish genetic parentage and/or support in conformance with |
the state's obligations under Chapter Title IV, Part D of the federal Social Security Act, 42 U.S.C. |
§ 651 et seq., if the alleged genetic parent in response to a complaint supported by a sworn affidavit, |
filed by the office of child support services, denies parentage, the office of child support services |
shall have the authority to administratively order the parties to undergo genetic testing as described |
above, without the necessity of making application to the court, and the parties shall attend and |
submit to genetic testing under penalty of default. |
(c) The office of child support services may order genetic testing only if there is no |
presumed, acknowledged, or adjudicated parent of a child other than the individual who gave birth |
to the child. |
(d) The court or office of child support services shall not order in utero genetic testing. |
(e) If two (2) or more individuals are subject to court-ordered genetic testing, the court may |
order that testing be completed concurrently or sequentially. |
(f) Genetic testing of an individual who gave birth to a child is not a condition precedent |
to testing of the child and an individual whose genetic parentage of the child is being determined. |
If the individual who gave birth is unavailable or declines to submit to genetic testing, the court |
may order genetic testing of the child and each individual whose genetic parentage of the child is |
being adjudicated. |
(g) In a proceeding to adjudicate parentage of a child having an acknowledged, adjudicated, |
de facto, presumed parent or intended parent, the court may deny a motion seeking an order for |
genetic testing or deny admissibility of the test results at trial if it determines that: |
(1) The conduct of the parties estops a party from denying parentage; or |
(2) It would be an inequitable interference with the relationship between the child and an |
acknowledged, adjudicated, de facto, presumed, or intended parent, or would otherwise be contrary |
to the best interests of the child as provided in subsection (h) of this section. |
(h) In determining whether to deny a motion seeking an order for genetic testing under this |
chapter or a request for admission of such test results at trial, the court shall consider the best |
interests of the child, including the following factors, if relevant: |
(1) The length of time between the proceeding to adjudicate parentage and the time that a |
parent was placed on notice that genetic parentage is at issue; |
(2) The length of time during which the parent has assumed a parental role for the child; |
(3) The facts surrounding discovery that genetic parentage is at issue; |
(4) The nature of the relationship between the child and the parent; |
(5) The age of the child; |
(6) Any adverse effect on the child that may result if parentage is successfully disproved; |
(7) The nature of the relationship between the child and any alleged parent; |
(8) The extent to which the passage of time reduces the chances of establishing the |
parentage of another individual and a child support obligation in favor of the child; and |
(9) Any additional factors that may affect the equities arising from the disruption of the |
relationship between the child and the parent or the chance of an adverse effect on the child. |
SECTION 4. Section 16-21-3.1 of the General Laws in Chapter 16-21 entitled "Health and |
Safety of Pupils" is hereby amended to read as follows: |
16-21-3.1. Approval. |
(a) It shall be the duty of the superintendent of schools, private school official, or in the |
case of state operated schools, the responsibility of the director of the state operated school, to |
ensure that schools are not opened until notification is received from the aforementioned agencies |
mentioned in § 16-21-2 that the schools are in compliance with their respective codes. |
(b) Neglect by any superintendent, private school official, or the director of any state |
operated school to comply with the provisions of this section shall be a misdemeanor punishable |
by a fine of not exceeding five hundred dollars ($500). |
SECTION 5. Section 17-9.1-8 of the General Laws in Chapter 17-9.1 entitled "Registration |
of Voters" is hereby amended to read as follows: |
17-9.1-8. Registration at designated agencies. |
(a) Every person who is or may be by the next general election qualified to vote may |
register to vote when being discharged from incarceration or when applying for services or |
assistance at any of the following offices: |
(1) Any office in the state that provides public assistance; |
(2) At or through any offices in the state that provide state-funded programs primarily |
engaged in providing services to persons with disabilities; |
(3) At armed forces recruitment offices, subject to procedures developed by the state board |
in cooperation with the United States Department of Defense; |
(4) At or through the department of corrections; and |
(5) At any other agencies within the state that shall be determined by the state board. |
(b) Voter registration agencies designated by the state board may include, but are not |
limited to: |
(1) State or local government offices such as public libraries, public schools, offices of city |
and towns clerks (including marriage license bureaus), fishing and hunting license bureaus, |
government revenue offices, unemployment compensation offices, and offices not described in |
subsection (a)(2) of this section that provide services to persons with disabilities; and |
(2) Federal and nongovernmental offices, with the agreement of those offices. |
(c)(1) Persons must be provided this opportunity to register to vote not only at the time of |
their original application for services, but also when filing any recertification, renewal, or for a |
change of address relating to those services. Agencies providing voter registration assistance must |
offer the same degree of assistance to individuals in completing a voter registration form as they |
offer to individuals in completing the agency's own forms, unless the applicant refuses the |
assistance. |
(2) Any person who provides voter registration assistance services in an agency is |
prohibited from: |
(i) Seeking to influence an applicant's party preference or party registration; |
(ii) Displaying any political preference or party allegiance; |
(iii) Making any statement or taking any action whose the purpose or effect of which is to |
discourage the applicant from registering to vote; or |
(iv) Making any statement or taking any action whose the purpose or effect of which is to |
lead the applicant to believe that a decision whether or not to register has any bearing on the |
availability of services or benefits or on discharge from incarceration. |
(d)(1) Those who decline to register to vote must do so in writing or by failing to check a |
box on a form containing the question: "If you are not registered to vote where you live now, would |
you like to apply to register to vote here today? yes or no." |
(2) The declination may be included in the agency application for services or on a separate |
form provided by the agency, subject to rules and regulations to be adopted by the state board. |
(3) No information regarding a person's declination to register to vote may be used for any |
purpose other than voter registration. If an individual does register to vote, the particular agency at |
which the applicant submits a voter registration application may not be publicly disclosed. |
(4) The declination form to be used at agencies providing public or publicly funded |
assistance shall also contain the following statements and information: |
(i) "Applying to register or declining to register to vote will not affect the amount of |
assistance that you will be provided by this agency"; or, for those forms made available by the |
department of corrections: "Applying to register or declining to register to vote will not affect your |
discharge from incarceration"; |
(ii) "If you do not check either box, you will be considered to have decided not to register |
to vote at this time." (with "yes" and "no" boxes being provided); |
(iii) "If you would like help filling out the voter registration application form, we will help |
you. The decision whether to seek or accept help is yours. You may fill out the application form in |
private"; |
(iv) "If you believe that someone has interfered with your right to register or to decline to |
register to vote, your right to privacy in deciding whether to register or in applying to register to |
vote, or your right to choose your own political party or other political preference, you may file a |
complaint with the State Board of Elections, 2000 Plainfield Pike, Cranston, Rhode Island 02921, |
(401) 222-2345"; |
(v) A statement that if the applicant declines to register to vote, his or her decision will |
remain confidential and be used only for voter registration purposes; and |
(vi) A statement that if the applicant does register to vote, information regarding the agency |
to which the application was submitted will remain confidential, to be used only for voter |
registration purposes. |
(e)(1) The registration form to be provided in these agencies shall be the mail registration |
form adopted by the state board. Unless the registrant refuses to permit the agency to transmit the |
form to the state board or local board where the applicant resides, the agency shall transmit the |
completed registration form to the state board or any local board. However, if the registrant refuses, |
the registrant may either mail the form to the state board or any local board or may provide for |
delivery of the form to the state board or any local board either in person or through a third party. |
It shall be the responsibility of all state or state-funded agencies to have available at all times a |
sufficient number of voter registration forms in order to carry out the provisions of this section. |
(2) Unless the applicant refuses to permit the agency to transmit the completed voter |
registration form to the state board or to a local board, the agency shall be required to transmit the |
registration form within ten (10) days after acceptance, or if accepted on the last day or within five |
(5) days before the last day to register for an election, within five (5) days of acceptance. |
(f) The department of corrections and each agency designated by the board to register |
persons to vote when applying for services or assistance shall report to the state board: |
(1) The number of persons applying for services and assistance or the number of persons |
discharged from incarceration following felony convictions who are eligible to vote; |
(2) The number of persons who have been registered to vote at that agency; |
(3) The number of forms that have been transmitted by the agency to the state or local |
board; and |
(4) The number of persons who have declined to register to vote at that agency. Reports to |
the state board by each designated agency shall be on a quarterly basis. |
(g) Any person who has fully and correctly completed an application to register to vote at |
a designated agency is presumed to be registered as of the date of the acceptance of the registration |
by the designated agency, subject to verification of the registration by the state board or any local |
board as provided in § 17-9.1-25. |
(h) If a voter registration agency which is primarily engaged in providing services to |
persons with disabilities provides those services at the person's home, the agency shall provide the |
voter registration services authorized by this section at the person's home. |
(i) The state board of elections shall have the authority to adopt regulations to implement |
and administer the provisions of this section, including all registrations taken at designated |
agencies. |
(j) In cases where the findings required by § 17-6-1.2(a)(4) have been made, transmission |
shall be made by electronic means as prescribed by the secretary of state, and shall be in an |
electronic form compatible with the voter registration system maintained by the secretary of state. |
SECTION 6. Section 27-2.4-16 of the General Laws in Chapter 27-2.4 entitled "Producer |
Licensing Act" is hereby amended to read as follows: |
27-2.4-16. Notification to insurance commissioner of termination. |
(a) Termination for cause. An insurer or authorized representative of the insurer that |
terminates the employment contract or other insurance business relationship with an insurance |
producer shall notify the insurance commissioner within thirty (30) days following the effective |
date of the termination, using a format prescribed by the insurance commissioner, if the reason for |
termination is one of the reasons set forth in § 27-2.4-14 or the insurer has knowledge the insurance |
producer was found by a court, government body, or self-regulatory organization authorized by law |
to have engaged in any of the activities in § 27-2.4-14. Upon the written request of the insurance |
commissioner, the insurer shall provide additional information, documents, records or other data |
pertaining to the termination or activity of the insurance producer. |
(b) Ongoing notification requirement. The insurer or the authorized representative of the |
insurer shall promptly notify the insurance commissioner in a format acceptable to the insurance |
commissioner if, upon further review or investigation, the insurer discovers additional information |
that would have been reportable to the insurance commissioner in accordance with subsection (a) |
of this section had the insurer then known of its existence. |
(c) Copy of notification to be provided to the insurance producer. |
(1) Within fifteen (15) days after making the notification required by subsections (a), |
and (b) of this section and (c), the insurer shall mail a copy of the notification to the insurance |
producer at his or her last known address. If the insurance producer is terminated for cause |
for any of the reasons listed in § 27-2.4-14, the insurer shall provide a copy of the notification |
to the insurance producer at his or her last known address by certified mail, return receipt |
requested, postage prepaid or by overnight delivery using a nationally recognized carrier. |
(2) Within thirty (30) days after the insurance producer has received the original or |
additional notification, the insurance producer may file written comments concerning the substance |
of the notification with the insurance commissioner. The insurance producer shall, by the same |
means, simultaneously send a copy of the comments to the reporting insurer, and the comments |
shall become a part of the insurance commissioner's file and accompany every copy of a report |
distributed or disclosed for any reason about the insurance producer as permitted under subsection |
(e) of this section. |
(d) Immunities. |
(1) In the absence of actual malice, an insurer, the authorized representative of the insurer, |
an insurance producer, the insurance commissioner, or an organization of which the insurance |
commissioner is a member and that compiles the information and makes it available to other |
insurance commissioners or regulatory or law enforcement agencies shall not be subject to civil |
liability, except as provided in this section, and a civil cause of action of any nature shall not arise |
against these entities or their respective agents or employees, except as provided in this section, as |
a result of any statement or information required by or provided pursuant to this section or any |
information relating to any statement that may be requested in writing by the insurance |
commissioner, from an insurer or insurance producer; or a statement by a terminating insurer or |
insurance producer to an insurer or insurance producer limited solely and exclusively to whether a |
termination for cause under subsection (a) of this section was reported to the insurance |
commissioner, provided that the propriety of any termination for cause under subsection (a) of this |
section is certified in writing by an officer or authorized representative of the insurer or insurance |
producer terminating the relationship. |
(2) In any action brought against a person that may have immunity under this chapter for |
making any statement required by this section or providing any information relating to any |
statement that may be requested by the insurance commissioner, the party bringing the action shall |
plead specifically in any allegation that subdivision (d)(1) of this section does not apply because |
the person making the statement or providing the information did so with actual malice. |
(3) This chapter shall not abrogate or modify any existing statutory or common law |
privileges or immunities. |
(e) Confidentiality. |
(1) Any documents, materials or other information in the control or possession of the |
department that is furnished by an insurer, insurance producer or an employee or agent of the |
insurer or insurance producer acting on behalf of the insurer or insurance producer, or obtained by |
the insurance commissioner in an investigation pursuant to this section, shall be confidential by law |
and privileged, shall not be subject to chapter 2 of title 38, shall not be subject to subpoena, and |
shall not be subject to discovery or admissible in evidence in any private civil action. The insurance |
commissioner is authorized to use the documents, materials or other information in the furtherance |
of any regulatory or legal action brought as a part of the insurance commissioner's duties. |
(2) Neither the insurance commissioner nor any person who received documents, materials |
or other information while acting under the authority of the insurance commissioner shall be |
permitted or required to testify in any private civil action concerning any confidential documents, |
materials, or information subject to this chapter. |
(3) In order to assist in the performance of the insurance commissioner's duties under this |
chapter, the insurance commissioner: |
(i) May share documents, materials or other information, including the confidential and |
privileged documents, materials or information subject to this chapter, with other state, federal, and |
international regulatory agencies, with the NAIC, its affiliates or subsidiaries, and with state, |
federal, and international law enforcement authorities, provided that the recipient agrees to |
maintain the confidentiality and privileged status of the document, material or other information; |
(ii) May receive documents, materials or information, including confidential and privileged |
documents, materials or information, from the NAIC, its affiliates or subsidiaries and from |
regulatory and law enforcement officials of other foreign or domestic jurisdictions, and shall |
maintain as confidential or privileged any document, material or information received with notice |
or the understanding that it is confidential or privileged under the laws of the jurisdiction that is the |
source of the document, material or information; |
(iii) May enter into agreements governing sharing and use of information consistent with |
this subsection; |
(iv) No waiver of any applicable privilege or claim of confidentiality in the documents, |
materials, or information shall occur as a result of disclosure to the commissioner under this section |
or as a result of sharing as authorized in this chapter; |
(v) Nothing in this chapter shall prohibit the insurance commissioner from releasing final, |
adjudicated actions including for cause terminations that are open to public inspection pursuant to |
chapter 2 of title 38 to a database or other clearinghouse service maintained by the NAIC, its |
affiliates or subsidiaries; and |
(vi) If the department releases to an unauthorized third party any documents, materials or |
other information provided to the department pursuant to this section, then the department shall be |
subject to a fine not to exceed one thousand dollars ($1,000) after a hearing on this violation brought |
in the Superior Court. |
(f) Penalties for failing to report. An insurer, the authorized representative of the insurer, |
or insurance producer that fails to report as required under the provisions of this section or that is |
found to have reported with actual malice by a court of competent jurisdiction may, after notice |
and hearing, have its license or certificate of authority suspended or revoked and may be fined in |
accordance with § 42-14-16. |
SECTION 7. Sections 27-74-4, 27-74-5, 27-74-8 and 27-74-13 of the General Laws in |
Chapter 27-74 entitled "Discount Medical Plan Organization Act" are hereby amended to read as |
follows: |
27-74-4. Applicability and scope. |
(a) This chapter applies to all discount medical plan organizations doing business in or |
from this state. |
(b) A discount medical plan organization that is a licensed health insurer or health |
maintenance organization or a nonprofit hospital and medical service corporation is not required to |
obtain a certificate of registration under § 27-73-5 27-74-5, except that any of its affiliates that |
operate as a discount medical plan organization in this state shall obtain a certificate of registration |
under § 27-73-5 27-74-5 and comply with all other provisions of this act; but such health insurer, |
health maintenance organization or nonprofit hospital and medical service corporation is required |
to comply with §§ 27-73-8 27-74-8, 27-73-9 27-74-9, 27-73-10 27-74-10, and 27-73-11 27-74-11 |
and report, in the form and manner as the commissioner may require, any of the information |
described in § 27-73-13 27-74-13 that is not otherwise already reported. |
27-74-5. Registration requirements. |
(a) Before doing business in or from this state as a discount medical plan organization, a |
person shall obtain a certificate of registration from the commissioner to operate as a discount |
medical plan organization. |
(b) Each application for a certificate of registration to operate as a discount medical plan |
organization: |
(1) Shall be in a form prescribed by the commissioner and verified by an officer or |
authorized representative of the applicant; |
(2) Shall be accompanied by a fee of two hundred fifty dollars ($250) payable to the State |
of Rhode Island; |
(3) Shall include information on whether: |
(i) A previous application for a certificate of registration, license or permit to operate as a |
medical discount plan has been denied, revoked, suspended or terminated for cause in any |
jurisdiction (including Rhode Island); and |
(ii) The applicant is under investigation for or the subject of any pending action or has been |
found in violation of a statue statute or regulation in any jurisdiction (including Rhode Island) |
within the previous five (5) years; |
(4) Shall include information, as the commissioner may require, that permits the |
commissioner, after reviewing all of the information submitted pursuant to this subsection, to make |
a determination that the applicant: |
(i) Is financially responsible; |
(ii) Has adequate expertise or experience to operate a discount medical plan organization; |
and |
(iii) Is of good character. |
(c) After the receipt of an application filed pursuant to this section, the commissioner shall |
review the application and notify the applicant of any deficiencies in the application. |
(d) Within ninety (90) days after the date of receipt of a completed application, the |
commissioner shall: |
(1) Issue a certificate of registration if the commissioner is satisfied that the applicant has |
met the requirements of this chapter and any regulations promulgated thereunder; or |
(2) Disapprove the application and state the ground(s) for disapproval. The commissioner |
shall notify the applicant in writing specifically stating the ground(s) for the disapproval. Upon |
such notification, the applicant may, within thirty (30) days, request a hearing on the matter to be |
conducted in accordance with the "Administrative Procedures act," chapter 35 of title 42. |
(e) Prior to issuance of a certificate of registration by the commissioner, each discount |
medical plan organization shall establish an Internet website in order to conform to the |
requirements of subsection 27-73-9(f) § 27-74-9(f). |
(f) A registration is effective for two (2) years, unless prior to its expiration it is renewed |
in accordance with this section or suspended or revoked. At least ninety (90) days before a |
certificate of registration expires, the discount medical plan organization shall submit a renewal |
application form and the renewal fee. The commissioner shall renew the certificate of registration |
of each holder that meets the requirements of this chapter and any regulations promulgated |
thereunder and pays the renewal fee. The renewal application shall be substantially the same as an |
original application and the renewal fee shall be two hundred fifty dollars ($250) payable to the |
State of Rhode Island. |
(g) The commissioner may suspend the authority of a discount medical plan organization |
to enroll new members or refuse to renew or revoke a discount medical plan organization's |
certificate of registration if the commissioner finds that any of the following conditions exist: |
(1) The discount medical plan organization is not operating in compliance with this chapter |
and any regulations promulgated thereunder; |
(2) The discount medical plan organization has advertised, merchandised or attempted to |
merchandise its services in such a manner as to misrepresent its services or capacity for service or |
has engaged in deceptive, misleading or unfair practices with respect to advertising or |
merchandising; |
(3) The discount medical plan organization is not fulfilling its obligations as a discount |
medical plan organization; or |
(4) The continued operation of the discount medical plan organization would be hazardous |
to its members. |
(h) If the commissioner has cause to believe that grounds for the nonrenewal, suspension |
or revocation of a certificate of registration exists, the commissioner shall notify the discount |
medical plan organization in writing specifically stating the ground(s) for the refusal to renew or |
suspension or revocation. Upon such notification, the discount medical plan may, within thirty (30) |
days, request a hearing on the matter to be conducted in accordance with the "Administrative |
Procedures act," chapter 35 of title 42. |
(i) When the certificate of registration of a discount medical plan organization is |
nonrenewed, surrendered or revoked, the discount medical plan organization shall proceed, |
immediately following the effective date of the order of revocation or, in the case of a nonrenewal, |
the date of expiration of the certificate of registration, to wind up its affairs transacted under the |
certificate of registration. The discount medical plan organization shall not engage in any further |
advertising, solicitation, collecting of fees or renewal of contracts. The commissioner may, in his |
or her sole discretion and upon a showing of good cause, in the case of a registration of a discount |
medical plan organization that has been revoked or nonrenewed by the commissioner, allow the |
discount medical plan organization to continue to operate under any conditions and restrictions |
established by the commissioner, pending the outcome of a hearing requested pursuant to |
subsection (h) of this section. |
(j) The commissioner shall, in an order suspending the authority of the discount medical |
plan organization to enroll new members, specify the period during which the suspension is to be |
in effect and the conditions, if any, that must be met by the discount medical plan organization prior |
to reinstatement of its certificate of registration to enroll members. The commissioner may rescind |
or modify the order of suspension prior to the expiration of the suspension period. The certificate |
of registration of a discount medical plan organization shall not be reinstated unless requested by |
the discount medical plan organization. The commissioner shall not grant the request for |
reinstatement if the commissioner finds that the circumstances for which the suspension occurred |
still exist or are likely to recur. |
(k) In lieu of suspending or revoking a discount medical plan organization's certificate of |
registration, whenever the discount medical plan organization has been found to have violated any |
provision of this chapter, the commissioner may: |
(1) Issue and cause to be served upon the organization charged with the violation a copy of |
the findings and an order requiring the organization to immediately cease and desist from engaging |
in the act or practice that constitutes the violation; and |
(2) Impose any penalty provided for under § 42-14-16. |
(l) Each registered discount medical plan organization shall notify the commissioner |
immediately whenever the discount medical plan organization's certificate of registration, or other |
form of authority, to operate as a discount medical plan organization in another jurisdiction is |
suspended, revoked or nonrenewed in that state. |
(m) A provider who provides discounts to his or her own patients without any cost or fee |
of any kind to the patient is not required to obtain and maintain a certificate of registration under |
this chapter as a discount medical plan organization. |
27-74-8. Charges and fees -- Refund requirements -- Bundling of services. |
(a) A discount medical plan organization may charge a periodic charge as well as a |
reasonable one-time processing fee for a discount medical plan. |
(b) If a member cancels his or her membership in the discount medical plan organization |
within the first thirty (30) days after the date of receipt of the written document for the discount |
medical plan described in § 27-73-11(e) 27-74-11(e), the member shall receive a reimbursement |
of all periodic charges and the amount of any one-time processing fee that exceeds twenty dollars |
($20.00) upon return of the discount medical plan card to the discount medical plan organization. |
(c) Cancellation occurs when notice of cancellation is given to the discount medical plan |
organization. Notice of cancellation is deemed given when delivered by hand or deposited in a |
mailbox, properly addressed and postage prepaid to the mailing address of the discount medical |
plan organization or emailed to the email address of the discount medical plan organization. |
(d) A discount medical plan organization shall return any periodic charge charged or |
collected after the member has returned the discount medical plan card or given the discount |
medical plan organization notice of cancellation. |
(e) If the discount medical plan organization cancels a membership for any reason other |
than nonpayment of charges by the member, the discount medical plan organization shall make a |
pro rata reimbursement of all periodic charges to the member. |
(f) When a marketer or discount medical plan organization sells a discount medical plan in |
conjunction with any other products, the marketer or discount medical plan organization shall: |
(1) Provide the charges for each discount medical plan in writing to the member; or |
(2) Reimburse the member for all periodic charges for the discount medical plan and all |
periodic charges for any other product if the member cancels his or her membership in accordance |
with this section. |
(g) Any discount medical plan organization that is a health carrier that provides a discount |
medical plan product that is incidental to the insured product is not subject to this section. |
27-74-13. Annual reports. |
(a) If the information required in subsection (b) of this section is not provided at the time |
of renewal of a certificate of registration under § 27-73-5 27-74-5, a discount medical plan |
organization shall file an annual report with the commissioner in the form prescribed by the |
commissioner, within three (3) months after the end of each fiscal year. |
(b) The report shall include: |
(1) If different from the initial application for a certificate of registration or at the time of |
renewal of a certificate of registration or the last annual report, as appropriate, a list of the names |
and residence addresses of all persons responsible for the conduct of the organization's affairs, |
together with a disclosure of the extent and nature of any contracts or arrangements with these |
persons and the discount medical plan organization, including any possible conflicts of interest; |
(2) The number of discount medical plan members in the state; and |
(3) Any other information relating to the performance of the discount medical plan |
organization that may be required by the commissioner. |
(c) Any discount medical plan organization that fails to file an annual report in the form |
and within the time required by this section shall: |
(1) Forfeit: |
(i) Up to five hundred dollars ($500) each day for the first ten (10) days during which the |
violation continues; and |
(ii) Up to one thousand dollars ($1,000) each day after the first ten (10) days during which |
the violation continues; and |
(2) Upon notice by the commissioner, lose its authority to enroll new members or to do |
business in this state while the violation continues. |
SECTION 8. Section 31-3-31.3 of the General Laws in Chapter 31-3 entitled "Registration |
of Vehicles" is hereby amended to read as follows: |
31-3-31.3. Registration of specially constructed vehicles. |
(a) A "specially constructed vehicle" means every vehicle of a type that must be registered |
under chapters 3 through 9 of this title, but not originally constructed under a distinctive name, |
make, model, or type by a generally recognized manufacturer of vehicles. |
(b) Specially constructed vehicles shall be subject to the registration fees in § 31-6-1. |
(c) Before a specially constructed vehicle can be registered, it must undergo an inspection |
by the division of motor vehicles to determine whether the vehicle was designed for and may be |
safely operated on public roads, and meets all necessary safety standards. Only those specially |
constructed vehicles that are deemed by the division of motor vehicles to be designed for use on |
public roads and meeting all necessary safety standards shall be registered. Specially constructed |
vehicles that are registered shall be subject to inspection pursuant to chapter 38-4 of this title § 31- |
38-4 to ensure that the vehicle continues to meet all necessary safety standards. |
SECTION 9. Section 36-10-35 of the General Laws in Chapter 36-10 entitled "Retirement |
System - Contributions and Benefits" is hereby amended to read as follows: |
36-10-35. Additional benefits payable to retired employees. |
(a) All state employees and all beneficiaries of state employees receiving any service |
retirement or ordinary or accidental disability retirement allowance pursuant to the provisions of |
this title on or before December 31, 1967, shall receive a cost of living retirement adjustment equal |
to one and one-half percent (1.5%) per year of the original retirement allowance, not compounded, |
for each calendar year the retirement allowance has been in effect. For the purposes of computation, |
credit shall be given for a full calendar year regardless of the effective date of the retirement |
allowance. This cost of living adjustment shall be added to the amount of the retirement allowance |
as of January 1, 1968, and an additional one and one-half percent (1.5%) shall be added to the |
original retirement allowance in each succeeding year during the month of January, and provided |
further, that this additional cost of living increase shall be three percent (3%) for the year beginning |
January 1, 1971, and each year thereafter, through December 31, 1980. Notwithstanding any of the |
above provisions, no employee receiving any service retirement allowance pursuant to the |
provisions of this title on or before December 31, 1967, or the employee's beneficiary, shall receive |
any additional benefit hereunder in an amount less than two hundred dollars ($200) per year over |
the service retirement allowance where the employee retired prior to January 1, 1958. |
(b) All state employees and all beneficiaries of state employees retired on or after January |
1, 1968, who are receiving any service retirement or ordinary or accidental disability retirement |
allowance pursuant to the provisions of this title shall, on the first day of January next following |
the third anniversary date of the retirement, receive a cost of living retirement adjustment, in |
addition to his or her retirement allowance, in an amount equal to three percent (3%) of the original |
retirement allowance. In each succeeding year thereafter through December 31, 1980, during the |
month of January, the retirement allowance shall be increased an additional three percent (3%) of |
the original retirement allowance, not compounded, to be continued during the lifetime of the |
employee or beneficiary. For the purposes of computation, credit shall be given for a full calendar |
year regardless of the effective date of the service retirement allowance. |
(c)(1) Beginning on January 1, 1981, for all state employees and beneficiaries of the state |
employees receiving any service retirement and all state employees, and all beneficiaries of state |
employees, who have completed at least ten (10) years of contributory service on or before July 1, |
2005, pursuant to the provisions of this chapter, and for all state employees, and all beneficiaries |
of state employees who receive a disability retirement allowance pursuant to §§ 36-10-12 -- 36-10- |
15, the cost of living adjustment shall be computed and paid at the rate of three percent (3%) of the |
original retirement allowance or the retirement allowance as computed in accordance with § 36- |
10-35.1, compounded annually from the year for which the cost of living adjustment was |
determined to be payable by the retirement board pursuant to the provisions of subsection (a) or (b) |
of this section. Such cost of living adjustments are available to members who retire before October |
1, 2009, or are eligible to retire as of September 30, 2009. |
(2) The provisions of this subsection shall be deemed to apply prospectively only and no |
retroactive payment shall be made. |
(3) The retirement allowance of all state employees and all beneficiaries of state employees |
who have not completed at least ten (10) years of contributory service on or before July 1, 2005, or |
were not eligible to retire as of September 30, 2009, shall, on the month following the third |
anniversary date of retirement, and on the month following the anniversary date of each succeeding |
year be adjusted and computed by multiplying the retirement allowance by three percent (3%) or |
the percentage of increase in the Consumer Price Index for all Urban Consumers (CPI-U) as |
published by the United States Department of Labor Statistics determined as of September 30 of |
the prior calendar year, whichever is less; the cost of living adjustment shall be compounded |
annually from the year for which the cost of living adjustment was determined payable by the |
retirement board; provided, that no adjustment shall cause any retirement allowance to be decreased |
from the retirement allowance provided immediately before such adjustment. |
(d) For state employees not eligible to retire in accordance with this chapter as of |
September 30, 2009, and not eligible upon passage of this article, and for their beneficiaries, the |
cost of living adjustment described in subsection (c)(3) above of this section shall only apply to |
the first thirty-five thousand dollars ($35,000) of retirement allowance, indexed annually, and shall |
commence upon the third (3rd) anniversary of the date of retirement or when the retiree reaches |
age sixty-five (65), whichever is later. The thirty-five thousand dollar ($35,000) limit shall increase |
annually by the percentage increase in the Consumer Price Index for all Urban Consumers (CPI- |
U) as published by the United States Department of Labor Statistics determined as of September |
30 of the prior calendar year or three percent (3%), whichever is less. The first thirty-five thousand |
dollars ($35,000) of retirement allowance, as indexed, shall be multiplied by the percentage of |
increase in the Consumer Price Index for all Urban Consumers (CPI-U) as published by the United |
States Department of Labor Statistics determined as of September 30 of the prior calendar year or |
three percent (3%), whichever is less, on the month following the anniversary date of each |
succeeding year. For state employees eligible to retire as of September 30, 2009, or eligible upon |
passage of this article, and for their beneficiaries, the provisions of this subsection (d) shall not |
apply. |
(e) All legislators and all beneficiaries of legislators who are receiving a retirement |
allowance pursuant to the provisions of § 36-10-9.1 for a period of three (3) or more years, shall, |
commencing January 1, 1982, receive a cost of living retirement adjustment, in addition to a |
retirement allowance, in an amount equal to three percent (3%) of the original retirement allowance. |
In each succeeding year thereafter during the month of January, the retirement allowance shall be |
increased an additional three percent (3%) of the original retirement allowance, compounded |
annually, to be continued during the lifetime of the legislator or beneficiary. For the purposes of |
computation, credit shall be given for a full calendar year regardless of the effective date of the |
service retirement allowance. |
(f) The provisions of §§ 45-13-7 -- 45-13-10 shall not apply to this section. |
(g) This subsection (g) shall be effective for the period July 1, 2012, through June 30, 2015. |
(1) Notwithstanding the prior paragraphs of this section, and subject to paragraph (g)(2) |
below, for all present and former employees, active and retired members, and beneficiaries |
receiving any retirement, disability or death allowance or benefit of any kind, the annual benefit |
adjustment provided in any calendar year under this section shall be equal to (A) multiplied by (B) |
where (A) is equal to the percentage determined by subtracting five and one-half percent (5.5%) |
(the "subtrahend") from the Five-Year Average Investment Return of the retirement system |
determined as of the last day of the plan year preceding the calendar year in which the adjustment |
is granted, said percentage not to exceed four percent (4%) and not to be less than zero percent |
(0%), and (B) is equal to the lesser of the member's retirement allowance or the first twenty-five |
thousand dollars ($25,000) of retirement allowance, such twenty-five thousand dollars ($25,000) |
amount to be indexed annually in the same percentage as determined under (g)(1)(A) above. The |
"Five-Year Average Investment Return" shall mean the average of the investment returns of the |
most recent five (5) plan years as determined by the retirement board. Subject to paragraph (g)(2) |
below, the benefit adjustment provided by this paragraph shall commence upon the third (3rd) |
anniversary of the date of retirement or the date on which the retiree reaches his or her Social |
Security retirement age, whichever is later. In the event the retirement board adjusts the actuarially |
assumed rate of return for the system, either upward or downward, the subtrahend shall be adjusted |
either upward or downward in the same amount. |
(2) Except as provided in paragraph (g)(3), the benefit adjustments under this section for |
any plan year shall be suspended in their entirety unless the Funded Ratio of the Employees' |
Retirement System of Rhode Island, the Judicial Retirement Benefits Trust and the State Police |
Retirement Benefits Trust, calculated by the system's actuary on an aggregate basis, exceeds eighty |
percent (80%) in which event the benefit adjustment will be reinstated for all members for such |
plan year. |
In determining whether a funding level under this paragraph (g)(2) has been achieved, the |
actuary shall calculate the funding percentage after taking into account the reinstatement of any |
current or future benefit adjustment provided under this section. |
(3) Notwithstanding paragraph (g)(2), in each fifth plan year commencing after June 30, |
2012, commencing with the plan year ending June 30, 2017, and subsequently at intervals of five |
plan years, a benefit adjustment shall be calculated and made in accordance with paragraph (g)(1) |
above until the Funded Ratio of the Employees' Retirement System of Rhode Island, the Judicial |
Retirement Benefits Trust and the State Police Retirement Benefits Trust, calculated by the system's |
actuary on an aggregate basis, exceeds eighty percent (80%). |
(4) Notwithstanding any other provision of this chapter, the provisions of this paragraph |
(g) shall become effective July 1, 2012, and shall apply to any benefit adjustment not granted on or |
prior to June 30, 2012. |
(h) This subsection (h) shall become effective July 1, 2015. |
(1)(A) As soon as administratively reasonable following the enactment into law of this |
subsection (h)(1)(A), a one-time benefit adjustment shall be provided to members and/or |
beneficiaries of members who retired on or before June 30, 2012, in the amount of 2% of the lesser |
of either the member's retirement allowance or the first twenty-five thousand dollars ($25,000) of |
the member's retirement allowance. This one-time benefit adjustment shall be provided without |
regard to the retiree's age or number of years since retirement. |
(B) Notwithstanding the prior subsections of this section, for all present and former |
employees, active and retired members, and beneficiaries receiving any retirement, disability or |
death allowance or benefit of any kind, the annual benefit adjustment provided in any calendar year |
under this section for adjustments on and after January 1, 2016, and subject to subsection (h)(2) |
below, shall be equal to (I) multiplied by (II): |
(I) Shall equal the sum of fifty percent (50%) of (i) plus fifty percent (50%) of (ii) where: |
(i) Is equal to the percentage determined by subtracting five and one-half percent (5.5%) |
(the "subtrahend") from the five-year average investment return of the retirement system |
determined as of the last day of the plan year preceding the calendar year in which the adjustment |
is granted, said percentage not to exceed four percent (4%) and not to be less than zero percent |
(0%). The "five-year average investment return" shall mean the average of the investment returns |
of the most recent five (5) plan years as determined by the retirement board. In the event the |
retirement board adjusts the actuarially assumed rate of return for the system, either upward or |
downward, the subtrahend shall be adjusted either upward or downward in the same amount. |
(ii) Is equal to the lesser of three percent (3%) or the percentage increase in the Consumer |
Price Index for all Urban Consumers (CPI-U) as published by the U.S. Department of Labor |
Statistics determined as of September 30 of the prior calendar year. In no event shall the sum of (i) |
plus (ii) exceed three and one-half percent (3.5%) or be less than zero percent (0%). |
(II) Is equal to the lesser of either the member's retirement allowance or the first twenty- |
five thousand eight hundred and fifty-five dollars ($25,855) of retirement allowance, such amount |
to be indexed annually in the same percentage as determined under subsection (h)(1)(B)(I) above. |
The benefit adjustments provided by this subsection (h)(1)(B) shall be provided to all |
retirees entitled to receive a benefit adjustment as of June 30, 2012, under the law then in effect, |
and for all other retirees the benefit adjustments shall commence upon the third anniversary of the |
date of retirement or the date on which the retiree reaches his or her Social Security retirement age, |
whichever is later. |
(2) Except as provided in subsection (h)(3) of this section, the benefit adjustments under |
subsection (h)(1)(B) for any plan year shall be suspended in their entirety unless the funded ratio |
of the employees' retirement system of Rhode Island, the judicial retirement benefits trust and the |
state police retirement benefits trust, calculated by the system's actuary on an aggregate basis, |
exceeds eighty percent (80%) in which event the benefit adjustment will be reinstated for all |
members for such plan year. |
In determining whether a funding level under this subsection (h)(2) has been achieved, the |
actuary shall calculate the funding percentage after taking into account the reinstatement of any |
current or future benefit adjustment provided under this section. |
(3) Notwithstanding subsection (h)(2), in each fourth plan year commencing after June 30, |
2012, commencing with the plan year ending June 30, 2016, and subsequently at intervals of four |
plan years: |
(i) A benefit adjustment shall be calculated and made in accordance with subsection |
(h)(1)(B) above; and |
(ii) Effective for members and/or beneficiaries of members who retired on or before June |
30, 2015, the dollar amount in subsection (h)(1)(B)(II) of twenty-five thousand eight hundred and |
fifty-five dollars ($25,855) shall be replaced with thirty-one thousand and twenty-six dollars |
($31,026) until the funded ratio of the employees' retirement system of Rhode Island, the judicial |
retirement benefits trust and the state police retirement benefits trust, calculated by the system's |
actuary on an aggregate basis, exceeds eighty percent (80%). |
(i) Effective for members and or and/or beneficiaries of members who have retired on or |
before July 1, 2015, a one-time stipend of five hundred dollars ($500) shall be payable within sixty |
(60) days following the enactment of the legislation implementing this provision, and a second one- |
time stipend of five hundred dollars ($500) in the same month of the following year. These stipends |
shall be payable to all retired members or beneficiaries receiving a benefit as of the applicable |
payment date and shall not be considered cost of living adjustments under the prior provisions of |
this § 36-10-3 36-10-35 section. |
SECTION 10. Section 42-7.2-6 of the General Laws in Chapter 42-7.2 entitled "Office of |
Health and Human Services" is hereby amended to read as follows: |
42-7.2-6. Departments assigned to the executive office -- Powers and duties. |
(a) The departments assigned to the secretary shall: |
(1) Exercise their respective powers and duties in accordance with their statutory authority |
and the general policy established by the governor or by the secretary acting on behalf of the |
governor or in accordance with the powers and authorities conferred upon the secretary by this |
chapter; |
(2) Provide such assistance or resources as may be requested or required by the governor |
and/or the secretary; and |
(3) Provide such records and information as may be requested or required by the governor |
and/or the secretary to perform the duties set forth in subsection 6 of this chapter § 42-7.2-5. Upon |
developing, acquiring or transferring such records and information, the secretary shall assume |
responsibility for complying with the provisions of any applicable general or public law, regulation, |
or agreement relating to the confidentiality, privacy or disclosure of such records or information. |
(4) Forward to the secretary copies of all reports to the governor. |
(b) Except as provided herein, no provision of this chapter or application thereof shall be |
construed to limit or otherwise restrict the department of children, youth and families, the |
department of health, the department of human services, and the department of behavioral |
healthcare, developmental disabilities and hospitals from fulfilling any statutory requirement or |
complying with any valid rule or regulation. |
SECTION 11. Sections 42-12.3-3, 42-12.3-4 and 42-12.3-15 of the General Laws in |
Chapter 42-12.3 entitled "Health Care for Children and Pregnant Women" are hereby amended to |
read as follows: |
42-12.3-3. Medical assistance expansion for pregnant women/RIte Start. |
(a) The director of the department of human services is authorized to amend its title Title |
XIX state plan pursuant to title Title XIX of the Social Security Act to provide Medicaid coverage |
and to amend its title Title XXI state plan pursuant to Title XXI of the Social Security Act to |
provide medical assistance coverage through expanded family income disregards for pregnant |
women whose family income levels are between one hundred eighty-five percent (185%) and two |
hundred fifty percent (250%) of the federal poverty level. The department is further authorized to |
promulgate any regulations necessary and in accord with title Title XIX [42 U.S.C. § 1396 et seq.] |
and title Title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et seq.] of the Social Security Act |
necessary in order to implement said state plan amendment. The services provided shall be in |
accord with title Title XIX [42 U.S.C. § 1396 et seq.] and title Title XXI [42 U.S.C. § 1397 42 |
U.S.C. § 1397aa et seq.] of the Social Security Act. |
(b) The director of the department of human services is authorized and directed to establish |
a payor of last resort program to cover prenatal, delivery and postpartum care. The program shall |
cover the cost of maternity care for any woman who lacks health insurance coverage for maternity |
care and who is not eligible for medical assistance under title Title XIX [42 U.S.C. § 1396 et seq.] |
and title Title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et seq.] of the Social Security Act |
including, but not limited to, a noncitizen pregnant woman lawfully admitted for permanent |
residence on or after August 22, 1996, without regard to the availability of federal financial |
participation, provided such pregnant woman satisfies all other eligibility requirements. The |
director shall promulgate regulations to implement this program. Such regulations shall include |
specific eligibility criteria; the scope of services to be covered; procedures for administration and |
service delivery; referrals for non-covered services; outreach; and public education. Excluded |
services under this paragraph subsection will include, but not be limited to, induced abortion except |
in cases of rape or incest or to save the life of the pregnant individual. |
(c) The department of human services may enter into cooperative agreements with the |
department of health and/or other state agencies to provide services to individuals eligible for |
services under subsections (a) and (b) above. |
(d) The following services shall be provided through the program: |
(1) Ante-partum and postpartum care; |
(2) Delivery; |
(3) Cesarean section; |
(4) Newborn hospital care; |
(5) Inpatient transportation from one hospital to another when authorized by a medical |
provider; and |
(6) Prescription medications and laboratory tests;. |
(e) The department of human services shall provide enhanced services, as appropriate, to |
pregnant women as defined in subsections (a) and (b), as well as to other pregnant women eligible |
for medical assistance. These services shall include: care coordination, nutrition and social service |
counseling, high risk obstetrical care, childbirth and parenting preparation programs, smoking |
cessation programs, outpatient counseling for drug-alcohol use, interpreter services, mental health |
services, and home visitation. The provision of enhanced services is subject to available |
appropriations. In the event that appropriations are not adequate for the provision of these services, |
the department has the authority to limit the amount, scope and duration of these enhanced services. |
(f) The department of human services shall provide for extended family planning services |
for up to twenty-four (24) months postpartum. These services shall be available to women who |
have been determined eligible for RIte Start or for medical assistance under title Title XIX [42 |
U.S.C. § 1396 et seq.] or title Title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et seq.] of the Social |
Security Act. |
42-12.3-4. "RIte track" program. |
There is hereby established a payor of last resort program for comprehensive health care |
for children until they reach nineteen (19) years of age, to be known as "RIte track." The department |
of human services is hereby authorized to amend its title Title XIX state plan pursuant to title Title |
XIX [42 U.S.C. § 1396 et seq.] and title Title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et seq.] |
of the Social Security Act as necessary to provide for expanded Medicaid coverage through |
expanded family income disregards for children, until they reach nineteen (19) years of age, whose |
family income levels are up to two hundred fifty percent (250%) of the federal poverty level. |
Provided, however, that healthcare coverage provided under this section shall also be provided in |
accordance to Title XIX of the Social Security Act, 42 U.S.C. § 1396 et seq., to a noncitizen child |
who is lawfully residing in the United States, and who is otherwise eligible for such assistance. The |
department is further authorized to promulgate any regulations necessary, and in accord with title |
Title XIX [42 U.S.C. § 1396 et seq.] and title Title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et |
seq.] of the Social Security Act as necessary in order to implement the state plan amendment. For |
those children who lack health insurance, and whose family incomes are in excess of two hundred |
fifty percent (250%) of the federal poverty level, the department of human services shall |
promulgate necessary regulations to implement the program. The department of human services is |
further directed to ascertain and promulgate the scope of services that will be available to those |
children whose family income exceeds the maximum family income specified in the approved title |
Title XIX [42 U.S.C. § 1396 et seq.] and title Title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et |
seq.] state plan amendment. |
42-12.3-15. Expansion of RIte track program. |
The Department of Human Services is hereby authorized and directed to submit to the |
United States Department of Health and Human Services an amendment to the "RIte Care" waiver |
project number 11-W-0004/1-01 to provide for expanded Medicaid coverage for children until they |
reach eight (8) years of age, whose family income levels are to two hundred fifty percent (250%) |
of the federal poverty level. Expansion of the RIte track program from the age of six (6) until they |
reach eighteen (18) years of age in accordance with this chapter shall be subject to the approval of |
the amended waiver by the United States Department of Health and Human Services. Healthcare |
coverage under this section shall also be provided to a noncitizen child lawfully residing in the |
United States, and who is otherwise eligible for such assistance under title XIX [42 U.S.C. § 1396 |
et seq.] or title XXI [42 U.S.C. § 1397 42 U.S.C. § 1397aa et seq.] |
SECTION 12. Section 42-14-9 of the General Laws in Chapter 42-14 entitled "Department |
of Business Regulation" is hereby amended to read as follows: |
42-14-9. Payment of expenses -- Fees. |
(a) The general assembly shall annually appropriate such sum as it may deem necessary |
for the payment of the salary of the administrator of banking and insurance, for the payment of the |
salaries of his or her deputies and for the payment of the clerical and other assistance, office and |
traveling expenses of the administrator of banking and insurance, his or her deputies and assistants, |
and the state controller is hereby authorized and directed to draw his or her orders for the payment |
of those sums, or so much of them as may from time to time be required, upon receipt by him or |
her of proper vouchers, approved by the director of business regulation. All fees, charges for |
examinations and other collections received by him or her as administrator of banking, insurance, |
and securities shall be paid to the general treasurer for the use of the state. |
(b) Reimbursements. |
(1) Certain operational costs of the department of business regulation are eligible for |
reimbursement from third parties, including, but not limited to, costs of licensing, and shall also |
include the following expenses: |
(i) All reasonable technology costs related to the examination and licensing process. |
Technology costs shall include the actual cost of software and hardware utilized in the licensing |
process and the cost of training personnel in the proper use of the software or hardware. |
(ii) All necessary and reasonable education and training costs incurred by the state to |
maintain the proficiency and competence of the examining and licensing personnel. All these costs |
shall be incurred in accordance with appropriate state of Rhode Island regulations, guidelines and |
procedures. |
(iii) All revenues collected pursuant to this section shall be deposited as restricted receipts. |
(2) There is created within the general fund a restricted receipt account to be known as the |
"banking division reimbursement account." All funds in the account shall be utilized by the |
department of business regulation to effectuate the provisions of this subsection (b). All funds |
received for the securities banking division pursuant to this subsection (b) shall be deposited in the |
securities banking division reimbursement account. The general treasurer is authorized and |
directed to draw his or her orders on the account upon receipt of properly authenticated vouchers |
from the department of business regulation. |
(3) There is created within the general fund a restricted receipt account to be known as the |
"office of the health insurance commissioner reimbursement account." All funds in the account |
shall be utilized by the department of business regulation to effectuate the provisions of this |
subsection (b) that relate to reimbursements. All funds received for the health insurance |
commissioner pursuant to this subsection (b) shall be deposited in the office of the health insurance |
commissioner reimbursement account. The general treasurer is authorized and directed to draw his |
or her orders on the account upon receipt of properly authenticated vouchers from the department |
of business regulation. |
(4) There is created within the general fund a restricted receipt account to be known as the |
"securities division reimbursement account." All funds in the account shall be utilized by the |
department of business regulation to effectuate the provisions of this subsection (b) that relate to |
reimbursements. All funds received for the securities division pursuant to this subsection (b) shall |
be deposited in the securities division reimbursement account. The general treasurer is authorized |
and directed to draw his or her orders on the account upon receipt of properly authenticated |
vouchers from the department of business regulation. |
(5) There is created within the general fund a restricted receipt account to be known as the |
"commercial licensing and racing and athletics division reimbursement account." All funds in the |
account shall be utilized by the department of business regulation to effectuate the provisions of |
this subsection (b) that relate to reimbursements. All funds received for the commercial licensing |
and racing and athletics division pursuant to this subsection (b) shall be deposited in the commercial |
licensing and racing and athletics division reimbursement account. The general treasurer is |
authorized and directed to draw his or her orders on the account upon receipt of properly |
authenticated vouchers from the department of business regulation. |
(6) There is created within the general fund a restricted receipt account to be known as the |
"insurance division reimbursement account." All funds in the account shall be utilized by the |
department of business regulation to effectuate the provisions of this subsection (b) that relate to |
reimbursements. All funds received for the insurance division pursuant to this subsection (b) shall |
be deposited in the insurance division reimbursement account. The general treasurer is authorized |
and directed to draw his or her orders on the account upon receipt of properly authenticated |
vouchers from the department of business regulation. |
SECTION 13. Section 42-34-4 of the General Laws in Chapter 42-34 entitled "Industrial- |
Recreational Building Authority" is hereby amended to read as follows: |
42-34-4. Organization of authority. |
(a) The Rhode Island industrial-recreational building authority, hereinafter in this chapter |
called the "authority," hereby created and established a body corporate and politic, is constituted a |
public instrumentality of the state, and the exercise by the authority of the powers conferred by the |
provisions of this chapter shall be deemed and held to be the performance of essential governmental |
functions. The authority shall consist of five (5) members, appointed by the governor for a period |
of five (5) years, as herein provided. |
(b) During the month of January, 1959, the governor shall appoint one member to serve |
until the first day of February, 1960, and until his or her successor is appointed and qualified, one |
member to serve until the first day of February, 1961, and until his or her successor is appointed |
and qualified, one member to serve until the first day of February, 1962, and until his or her |
successor is appointed and qualified, one member to serve until the first day of February, 1963, and |
until his or her successor is appointed and qualified, and one member to serve until the first day of |
February, 1964, and until his or her successor is appointed and qualified. |
(c) During the month of January, 1960, and during the month of January annually |
thereafter, the governor shall appoint a member to succeed the member whose term will then next |
expire, to serve for a term of five (5) years commencing on the first day of February then next |
following and until his or her successor is appointed and qualified. A member shall be eligible to |
succeed himself or herself. |
(d) A vacancy in the office of a member, other than by expiration, shall be filled in like |
manner as an original appointment, but only for the remainder of the term of the retiring member. |
Members may be removed by the governor for cause. |
(e) The authority may elect such officers from among its members as may be required to |
conduct the authority's business. The chief executive officer of the commerce corporation shall |
serve as executive director and chief executive officer, ex officio, of the authority. Three (3) |
members of the authority shall constitute a quorum and the affirmative vote of a majority of the |
members, present and voting, shall be necessary for any action taken by the authority; except that, |
in no case shall any action taken by the authority be taken by an affirmative vote of less than three |
(3) members. No vacancy in the membership of the authority or disqualification of a member under |
§ 42-34-16 shall impair the right of the quorum to exercise all rights and perform all the duties of |
the authority. All of the members of the authority shall be reimbursed for their actual expenses |
necessarily incurred in the performance of their duties. |
(f) Appointments made under this section after the effective date of this act [April 20, 2006] |
shall be subject to the advice and consent of the senate. |
(g) Newly appointed and qualified public members and designees of ex-officio members |
shall, within six (6) months of their qualification or designation, attend a training course that shall |
be developed with authority approval and conducted by the chairperson of the authority and shall |
include instruction in the following areas: the provisions of chapters 34 and 46 of this title, chapter |
14 of title 36, and chapter 2 of title 38; and the authority's rules and regulations. The director of the |
department of administration shall, within ninety (90) days of the effective date of this act [April |
20, 2006], prepare and disseminate training materials relating to the provisions of chapters 42-46, |
36-14 and 38-2.29 46 of this title, 14 of title 36 and 2 of title 38. |
(h) Members of the authority shall be removable by the governor pursuant to § 36-1-7 and |
for cause only, and removal solely for partisan or personal reasons unrelated to capacity or fitness |
for the office shall be unlawful. |
(i) The authority shall approve and submit a biannual report, each October 1 and each April |
1, to the governor, the speaker of the house of representatives, the president of the senate, and the |
secretary of state, of its activities during the previous six (6) months. The report shall provide: an |
operating statement summarizing meetings or hearings held, meeting minutes if requested, subjects |
addressed, decisions rendered, rules or regulations promulgated, studies conducted, policies and |
plans developed, approved, or modified, and programs administered or initiated; a detailed review |
of the authority's loan guarantee program, including a summary of each approved project, the |
guarantee amount for each approved project, and estimated jobs created or retained for each |
approved project; a consolidated financial statement of all funds received and expended including |
the source of the funds, a listing of any staff supported by these funds, and a summary of any |
clerical, administrative or technical support received; a summary of performance during the |
previous fiscal year including accomplishments, shortcomings and remedies; a synopsis of |
hearings, complaints, suspensions, or other legal matters related to the authority of the authority; a |
summary of any training courses held pursuant to subsection (i) (g) of this section; a briefing on |
anticipated activities in the upcoming fiscal year; and findings and recommendations for |
improvements. The report shall be posted electronically on the general assembly and the secretary |
of states state’s websites as prescribed in § 42-20-8.2. The director of the department of |
administration shall be responsible for the enforcement of this provision. |
SECTION 14. Section 44-5-20.02 of the General Laws in Chapter 44-5 entitled "Levy and |
Assessment of Local Taxes" is hereby amended to read as follows: |
44-5-20.02. Central Falls -- Property tax classification -- List of ratable property. |
(a) Notwithstanding any provision within § 44-5-11.8 to the contrary, on or before June 1, |
except in 1990, in which case the time is thirty (30) days after June 1, 1990, the assessor in the city |
of Central Falls, after certification for classification, shall submit to the director of revenue a list |
containing the true, full, and fair cash value of the ratable estate and motor vehicles and shall |
classify and provide a tax rate for the property according to the following use: |
(1) "Class 1" includes residential property which is owner-occupied dwellings of no more |
than five (5) units and which is property used or held for human habitation, including rooming |
houses and mobile homes with facilities designed and used for living, sleeping, cooking, and eating |
on a non-transient basis. Eligibility for the owner-occupied tax classification shall be determined |
by compliance with § 44-3-34 and relevant city ordinances. This property includes accessory land, |
buildings, or improvements incidental to the habitation and used exclusively by the residents of the |
property or their guests. This property does not include a hotel, motel, commercial, or industrial |
property. |
(2) "Class 2" includes residential property which is owner-occupied dwellings of more than |
five (5) units and non-owner-occupied dwellings, including properties for mixed use as residential |
and commercial properties, and which is property used or held for human habitation, including |
rooming houses and mobile homes with facilities designed and used for living, sleeping, cooking, |
and eating on a non-transient basis. This property includes accessory land, buildings, or |
improvements incidental to the habitation and used exclusively by the residents of the property or |
their guests. This property includes open space including "farm farmland," "forest forestland," |
and "open space land" as defined in accordance with § 44-27-2. This property does not include a |
hotel, motel, commercial, or industrial property. |
(3) "Class 3" includes personal property, previously subject to tax, and includes all goods, |
chattels, and effects, wherever they may be, except those that are exempt from taxation by the laws |
of the United States or of this state. |
(4) "Class 4" includes every vehicle and trailer registered under chapter 3 of title 31. |
(5) "Class 5" includes property used commercially or for industrial manufacturing. |
(b) The city of Central Falls may, by ordinance adopted by the city council, provide for tax |
classification of property and tax rates in the city of Central Falls based on the five (5) classes |
outlined in subsection (a) of this section. |
(c) The effective tax rate for Class 2 shall not exceed by two (2) times, the effective tax |
rate for Class 1; the effective tax rate for Class 5 shall not exceed by three (3) times, the effective |
tax rate for Class 1; and the effective tax rate for Class 3 shall not exceed by four (4) times, the |
effective tax rate for Class 1. |
SECTION 15. Section 44-33.6-8 of the General Laws in Chapter 44-33.6 entitled "Historic |
Preservation Tax Credits 2013" is hereby amended to read as follows: |
44-33.6-8. Historic tax credit apprenticeship requirements. |
(a) Notwithstanding any laws to the contrary, any credit allowed under this chapter for hard |
construction costs valued at ten million dollars ($10,000,000) or more shall include a requirement |
that any contractor and subcontractor working on the project shall have an apprenticeship program |
as defined herein for all apprenticeable crafts that will be employed on the project at the time of |
bid. The provisions of the this section shall only apply to contractors and subcontractors with five |
(5) or more employees. For purposes of this section, an apprenticeship program is one that is |
registered with and approved by the United States department of labor in conformance with 29 |
C.F.R. part 29 and 29 C.F.R. part 30; and. |
(b) The department of labor and training must provide information and technical assistance |
to affected governmental, quasi-governmental agencies, and any contractors awarded projects |
relative to their obligations under this statute. |
(c) The department of labor and training may also impose a penalty of up to five hundred |
dollars ($500) for each calendar day of noncompliance with this section, as determined by the |
director of labor and training. Mere errors and/or omissions shall not be grounds for imposing a |
penalty under this subsection. |
(d) Any penalties assessed under this statute shall be paid to the general fund. |
(e) To the extent that any of the provisions contained in § 37-13-3.2 this section conflict |
with the requirements for federal aid contracts, federal law and regulations shall control. |
SECTION 16. Section 45-53-3 of the General Laws in Chapter 45-53 entitled "Low and |
Moderate Income Housing" is hereby amended to read as follows: |
45-53-3. Definitions. |
The following words, wherever used in this chapter, unless a different meaning clearly |
appears from the context, have the following meanings: |
(1) "Affordable housing plan" means a component of a housing element, as defined in |
subdivision § 45-22.2-4(1), to meet housing needs in a city or town that is prepared in accordance |
with guidelines adopted by the state planning council, and/or to meet the provisions of subsection |
§ 45-53-4(b)(1) and (c). |
(2) "Approved affordable housing plan" means an affordable housing plan that has been |
approved by the director of administration as meeting the guidelines for the local comprehensive |
plan as promulgated by the state planning council; provided, however, that state review and |
approval, for plans submitted by December 31, 2004, shall not be contingent on the city or town |
having completed, adopted, or amended its comprehensive plan as provided for in sections § 45- |
22.2-8, § 45-22.2-9, or § 45-22.2-12. |
(3) "Comprehensive plan" means a comprehensive plan adopted and approved by a city or |
town pursuant to chapters 22.2 and 22.3 of this title. |
(4) "Consistent with local needs" means reasonable in view of the state need for low and |
moderate income housing, considered with the number of low income persons in the city or town |
affected and the need to protect the health and safety of the occupants of the proposed housing or |
of the residence of the city or town, to promote better site and building design in relation to the |
surroundings, or to preserve open spaces, and if the local zoning or land use ordinances, |
requirements, and regulations are applied as equally as possible to both subsidized and |
unsubsidized housing. Local zoning and land use ordinances, requirements, or regulations are |
consistent with local needs when imposed by a city or town council after a comprehensive hearing |
in a city or town where: |
(i) Low or moderate income housing exists which is: (A) in the case of an urban city or |
town which has at least 5,000 occupied year-round rental units and the units, as reported in the |
latest decennial census of the city or town, comprise twenty-five percent (25%) or more of the year- |
round housing units, and is in excess of fifteen percent (15%) of the total occupied year-round |
rental units; or (B) in the case of all other cities or towns, is in excess of ten percent (10%) of the |
year-round housing units reported in the census. |
(ii) The city or town has promulgated zoning or land use ordinances, requirements, and |
regulations to implement a comprehensive plan which has been adopted and approved pursuant to |
chapters 22.2 and 22.3 of this title, and the housing element of the comprehensive plan provides |
for low and moderate income housing in excess of either ten percent (10%) of the year-round |
housing units or fifteen percent (15%) of the occupied year-round rental housing units as provided |
in subdivision (2)(i)(4)(i). |
(5) "Infeasible" means any condition brought about by any single factor or combination of |
factors, as a result of limitations imposed on the development by conditions attached to the approval |
of the comprehensive permit, to the extent that it makes it impossible for a public agency, nonprofit |
organization, or limited equity housing cooperative to proceed in building or operating low or |
moderate income housing without financial loss, within the limitations set by the subsidizing |
agency of government, on the size or character of the development, on the amount or nature of the |
subsidy, or on the tenants, rentals, and income permissible, and without substantially changing the |
rent levels and unit sizes proposed by the public agency, nonprofit organization, or limited equity |
housing cooperative. |
(6) "Letter of eligibility" means a letter issued by the Rhode Island housing and mortgage |
finance corporation in accordance with subsection § 42-55-5.3(a). |
(7) "Local board" means any town or city official, zoning board of review, planning board |
or commission, board of appeal or zoning enforcement officer, local conservation commission, |
historic district commission, or other municipal board having supervision of the construction of |
buildings or the power of enforcing land use regulations, such as subdivision, or zoning laws. |
(8) "Local review board" means the planning board as defined by subdivision 45-22.2- |
4(26) § 45-22.2-4(20), or if designated by ordinance as the board to act on comprehensive permits |
for the town, the zoning board of review established pursuant to section § 45-24-56. |
(9) "Low or moderate income housing" means any housing whether built or operated by |
any public agency or any nonprofit organization or by any limited equity housing cooperative or |
any private developer, that is subsidized by a federal, state, or municipal government subsidy under |
any program to assist the construction or rehabilitation of housing affordable to low or moderate |
income households, as defined in the applicable federal or state statute, or local ordinance and that |
will remain affordable through a land lease and/or deed restriction for ninety-nine (99) years or |
such other period that is either agreed to by the applicant and town or prescribed by the federal, |
state, or municipal government subsidy program but that is not less than thirty (30) years from |
initial occupancy. |
(10) "Meeting housing needs" means adoption of the implementation program of an |
approved affordable housing plan and the absence of unreasonable denial of applications that are |
made pursuant to an approved affordable housing plan in order to accomplish the purposes and |
expectations of the approved affordable housing plan. |
(11) "Municipal government subsidy" means assistance that is made available through a |
city or town program sufficient to make housing affordable, as affordable housing is defined in § |
42-128-8.1(d)(1); such assistance may include, but is not limited to, direct financial support, |
abatement of taxes, waiver of fees and charges, and approval of density bonuses and/or internal |
subsidies, and any combination of forms of assistance. |
SECTION 17. Section 46-12.2-12.1 of the General Laws in Chapter 46-12.2 entitled |
"Rhode Island Infrastructure Bank" is hereby amended to read as follows: |
46-12.2-12.1. Power of local governmental units to issue limited obligations payable |
from energy efficiency savings. |
(a) If required by the applicable loan agreement, and notwithstanding any general or special |
law or municipal charter to the contrary, local governmental obligations shall be issued as limited |
obligations payable solely from an appropriation of general revenues in an amount not to exceed |
the projected energy savings of the project. Notwithstanding § 45-12.2-2 45-12-2 or any general or |
special law or municipal charter to the contrary, all local governmental units shall have the power |
to issue such local governmental obligations pursuant to this section without limit as to amount, |
and the amount of principal and premium, if any, and interest on the obligations shall not be |
included in the computation of any limit on the indebtedness of the local governmental unit or on |
the total taxes which may be levied or assessed by the local governmental unit in any year or on |
any assessment, levy, or other charge made by the local governmental unit on any other political |
subdivision or instrumentality of the state. This section shall constitute the bond act for the issuance |
of such local governmental obligations by local governmental units. Any local governmental |
obligations issued in accordance with this section shall recite on its face that it is a limited obligation |
payable solely from an appropriation of general revenues in an amount not to exceed the projected |
energy savings pledged to its payment. |
(b) The issuance of local governmental obligations in accordance with this section, the |
maturity or maturities and other terms thereof, the security therefor, the rights of the holders thereof, |
and the rights, duties, and obligation of the local governmental unit in respect of the same shall be |
governed by the provisions of this chapter relating to the issue of local governmental obligations to |
the extent applicable and not inconsistent with this section. |
(c) A local government unit may appropriate general revenues on an annual basis to pay |
any local governmental obligation provided that an event of non-appropriation shall not be an event |
of default under any local governmental obligation. |
SECTION 18. This act shall take effect upon passage. |
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LC002741 |
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