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art.003/6/003/5/003/4/003/3/003/2/003/1 | ||
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1 | ARTICLE 3 | |
2 | RELATING TO GOVERNMENT REFORM AND REORGANIZATION | |
3 | SECTION 1. Section 13-7-15 of the General Laws in Chapter 13-7 entitled "Prisoner Made | |
4 | Goods" is hereby amended to read as follows: | |
5 | 13-7-15. Business operations and budget. | |
6 | Correctional industries shall maintain an accurate and timely accounting of monies | |
7 | received from the sale of products or services of committed offenders. Monies accredited into the | |
8 | correctional industries fund shall be used for the purchase of materials, supervision, and other | |
9 | requirements necessary to support the production of goods and services. Entities that place orders | |
10 | with correctional industries are required to pay correctional industries fifty percent (50%) of their | |
11 | quoted material costs once the items have been ordered. All expenditures from the correctional | |
12 | industry fund shall be subject to the approval of the director of corrections or his or her designee, | |
13 | who may employ those funds to defray all operating expenses. All net profits for the fiscal year | |
14 | shall be reinvested into the correctional industries fund to support capital purchases, and the general | |
15 | expansion and development of correctional industries. All additional profits will revert to the | |
16 | general treasury. | |
17 | SECTION 2. Chapter 13-7 of the General Laws entitled "Prisoner Made Goods" is hereby | |
18 | amended by adding thereto the following section: | |
19 | 13-7-8.2. Requisition of goods by nonprofits. | |
20 | The department of corrections may accept orders from any 501(c)(3) for any articles, | |
21 | services or materials similar to those produced at the adult correctional institutions. | |
22 | SECTION 3. Section 23-1-5.5 of the General Laws in Chapter 23-1 entitled "Department | |
23 | of Health" is hereby amended to read as follows: | |
24 | 23-1-5.5. Annual report. | |
25 | The department of health shall prepare and issue an annual report on the status of private | |
26 | well water contamination in the state. The report shall be submitted to the governor and the general | |
27 | assembly by January 15th July 1 of each year and shall be made available to the public. | |
28 | SECTION 4. Section 23-1-9 of the General Laws in Chapter 23-1 entitled "Department of | |
29 | Health" is hereby repealed. | |
30 | 23-1-9. Annual report to general assembly. | |
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1 | The director of health shall make an annual report to the general assembly of his or her | |
2 | proceedings during the year ending on the thirty-first (31st) day of December next preceding, with | |
3 | any suggestions in relation to the sanitary laws and interests of the state that he or she shall deem | |
4 | important. | |
5 | SECTION 5. Section 23-1.1-3 of the General Laws in Chapter 23-1.1 entitled "Division of | |
6 | Occupational Health" is hereby repealed. | |
7 | 23-1.1-3. Annual report. | |
8 | The director of health shall annually furnish information regarding the activities of the | |
9 | division of occupational health to the director of labor and training for inclusion in the director of | |
10 | labor and training’s annual report to the governor and to the general assembly. The director of | |
11 | health shall also provide information to the director of labor and training for reports to be submitted | |
12 | to the United States Secretary of Labor in the form and from time to time that the secretary of labor | |
13 | and training may require. | |
14 | SECTION 6. Section 23-6.4-8 of the General Laws in Chapter 23-6.4 entitled "Life-Saving | |
15 | Allergy Medication — Stock Supply of Epinephrine Auto-Injectors — Emergency Administration" | |
16 | is hereby amended to read as follows: | |
17 | 23-6.4-8. Reporting. | |
18 | An authorized entity that possesses and makes available epinephrine auto-injectors shall | |
19 | submit to the department of health, on a form developed by the department of health, a report of | |
20 | each incident on the authorized entity’s premises that involves the administration of an epinephrine | |
21 | auto-injector. The department of health shall annually publish a report that summarizes and | |
22 | analyzes all reports submitted to it under this section. | |
23 | SECTION 7. Section 23-12.7-3 of the General Laws in Chapter 23-12.7 entitled "The | |
24 | Breast Cancer Act" is hereby amended to read as follows: | |
25 | 23-12.7-3. Program established. | |
26 | (a) Through funding from the Rhode Island Cancer Council, the Rhode Island department | |
27 | of health is required to establish a program of free mammography screening according to American | |
28 | Cancer Society standards, and, where required, follow-up, diagnostic testing, and case management | |
29 | for women in the state who are uninsured or underinsured. | |
30 | (b) The screening program shall: | |
31 | (1) Secure radiology facilities to participate in the screening program; | |
32 | (2) Pay for screening mammograms; | |
33 | (3) Ensure that screening results are sent by mail, electronically, or otherwise, to the patient | |
34 | in a timely manner; | |
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1 | (4) Provide diagnostic tests as required to diagnose breast cancer; | |
2 | (5) Provide case management facilitating appropriate contact to breast surgeons, medical | |
3 | oncologists, and radiation oncologists; and | |
4 | (6) Provide follow-up support to women who are found to have breast cancer as a result of | |
5 | this screening program. | |
6 | (c) The director of the Rhode Island department of health is required to provide a quarterly | |
7 | an annual report due to the general assembly on May 15 on the program of free mammography | |
8 | screening, follow-up diagnostic testing and case management, and public education. An advisory | |
9 | committee concerned with advocacy, outreach, and public education shall meet on a quarterly basis | |
10 | and report to the director. | |
11 | SECTION 8. Section 23-13.7-2 of the General Laws in Chapter 23-13.7 entitled "The | |
12 | Rhode Island Family Home-Visiting Act" is hereby amended to read as follows: | |
13 | 23-13.7-2. Home-visiting system components. | |
14 | (a) The Rhode Island department of health shall coordinate the system of early childhood | |
15 | home-visiting services in Rhode Island and shall work with the department of human services and | |
16 | department of children, youth and families to identify effective, evidence-based, home-visiting | |
17 | models that meet the needs of vulnerable families with young children. | |
18 | (b) The Rhode Island department of health shall implement a statewide home-visiting | |
19 | system that uses evidence-based models proven to improve child and family outcomes. Evidence- | |
20 | based, home-visiting programs must follow with fidelity a program model with comprehensive | |
21 | standards that ensure high-quality service delivery, use research-based curricula, and have | |
22 | demonstrated significant positive outcomes in at least two (2) of the following areas: | |
23 | (1) Improved prenatal, maternal, infant, or child health outcomes; | |
24 | (2) Improved safety and reduced child maltreatment and injury; | |
25 | (3) Improved family economic security and self-sufficiency; | |
26 | (4) Enhanced early childhood development (social-emotional, language, cognitive, | |
27 | physical) to improve children’s readiness to succeed in school. | |
28 | (c) The Rhode Island department of health shall implement a system to identify and refer | |
29 | families prenatally, or as early after the birth of a child as possible, to voluntary, evidence-based, | |
30 | home-visiting programs. The referral system shall prioritize families for services based on risk | |
31 | factors known to impair child development, including: | |
32 | (1) Adolescent parent(s); | |
33 | (2) History of prenatal drug or alcohol abuse; | |
34 | (3) History of child maltreatment, domestic abuse, or other types of violence; | |
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1 | (4) Incarcerated parent(s); | |
2 | (5) Reduced parental cognitive functioning or significant disability; | |
3 | (6) Insufficient financial resources to meet family needs; | |
4 | (7) History of homelessness; or | |
5 | (8) Other risk factors as determined by the department. | |
6 | (d) Beginning on or before October 1, 2016, and annually thereafter, the The Rhode Island | |
7 | department of health shall issue a state home-visiting report due annually by March 1 of each year | |
8 | that outlines the components of the state’s family home-visiting system that shall be made publicly | |
9 | available on the department’s website. The report shall include: | |
10 | (1) The number of families served by each evidence-based model; and | |
11 | (2) Demographic data on families served; and | |
12 | (3) Duration of participation of families; and | |
13 | (4) Cross-departmental coordination; and | |
14 | (5) Outcomes related to prenatal, maternal, infant and child health, child maltreatment, | |
15 | family economic security, and child development and school readiness; and | |
16 | (6) An annual estimate of the number of children born to Rhode Island families who face | |
17 | significant risk factors known to impair child development, and a plan including the fiscal costs | |
18 | and benefits to gradually expand access to the existing evidence-based, family home-visiting | |
19 | programs in Rhode Island to all vulnerable families. | |
20 | (e) State appropriations for this purpose shall be combined with federal dollars to fund the | |
21 | expansion of evidence-based, home-visiting programs, with the goal of offering the program to all | |
22 | the state’s pregnant and parenting teens; families with a history of involvement with the child | |
23 | welfare system; and other vulnerable families. | |
24 | SECTION 9. Section 23-18.16-4 of the General Laws in Chapter 23-18.16 entitled | |
25 | "Newspaper Recyclability" is hereby amended to read as follows: | |
26 | 23-18.16-4. Reporting — Determination of compliance — Orders — Appeals. | |
27 | (a) The department shall annually report to the governor and the general assembly, all | |
28 | findings regarding publications both in compliance and not in compliance with the requirements of | |
29 | this chapter. | |
30 | (b) The department must by July 1 of each year produce a written determination on any | |
31 | publication that does not comply with the provision of this chapter. | |
32 | (c) All publications will report on an annual basis their annual rate of purchase of post | |
33 | consumer materials to the department of environmental management. A person adversely affected | |
34 | or aggrieved by the issuance of an order under the provisions of this section may seek judicial | |
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1 | review of an order in the superior courts. | |
2 | SECTION 10. Section 23-19.10-11 of the General Laws in Chapter 23-19.10 entitled | |
3 | "Hazardous Waste Reduction, Recycling, and Treatment Research and Demonstration Act of 1986" | |
4 | is hereby repealed. | |
5 | 23-19.10-11. Report to the governor and the general assembly. | |
6 | (a) The department shall annually report to the governor and the general assembly on the | |
7 | status, funding, and results of all demonstration and research projects awarded grants. | |
8 | (b) This report shall include recommendations for legislation and shall identify those state | |
9 | and federal economic and financial incentives which can best accelerate and maximize the research, | |
10 | development, and demonstration of hazardous waste reduction, recycling, and treatment | |
11 | technologies. | |
12 | SECTION 11. Section 23-20.11-4 of the General Laws in Chapter 23-20.11 entitled | |
13 | "Reduced Cigarette Ignition Propensity and Firefighter Protection" is hereby amended to read as | |
14 | follows: | |
15 | 23-20.11-4. Standards for cigarette fire safety. | |
16 | (a) No cigarettes may be sold or offered for sale in this state or offered for sale or sold to | |
17 | persons located in this state unless such cigarettes have been tested in accordance with the test | |
18 | method and meet the performance standard specified in this subsection; and a written certification | |
19 | has been filed by the manufacturer with the director in accordance with § 23-20.11-5 of this act; | |
20 | and the cigarettes have been marked in accordance with § 23-20.11-6 of this act. | |
21 | (1) Testing of cigarettes shall be conducted in accordance with the American Society of | |
22 | Testing and Materials (“ASTM”) standard E2187-04 “Standard Test Method for Measuring the | |
23 | Ignition Strength of Cigarettes.” | |
24 | (2) Testing shall be conducted on ten (10) layers of filter paper. | |
25 | (3) No more than twenty-five percent (25%) of the cigarettes tested in a test trial in | |
26 | accordance with this subsection shall exhibit full-length burns. Forty (40) replicate tests shall | |
27 | comprise a complete test trial for each cigarette tested. | |
28 | (4) The performance standard required by this subsection shall only be applied to a | |
29 | complete test trial. | |
30 | (5) Written certifications shall be based upon testing conducted by a laboratory that has | |
31 | been accredited pursuant to Standard ISO/IEC 17025 of the International Organization for | |
32 | Standardization (“ISO”), or other comparable accreditation standard required by the director. | |
33 | (6) Laboratories conducting testing in accordance with this subsection shall implement a | |
34 | quality control and quality assurance program that includes a procedure to determine the | |
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1 | repeatability of the testing results. The repeatability value shall be no greater than nineteen | |
2 | hundredths (0.19). | |
3 | (7) This section does not require additional testing if cigarettes are tested consistent with | |
4 | this chapter for any other purpose. | |
5 | (8) Testing performed or sponsored by the director to determine a cigarette’s compliance | |
6 | with the performance standard required by this section shall be conducted in accordance with this | |
7 | section. | |
8 | (b) Each cigarette listed in a certification submitted pursuant to § 23-20.11-5 of this act that | |
9 | uses lowered permeability bands in the cigarette paper to achieve compliance with the performance | |
10 | standard set forth in this section shall have at least two (2) nominally identical bands on the paper | |
11 | surrounding the tobacco column. At least one complete band shall be located at least fifteen (15) | |
12 | millimeters from the lighting end of the cigarette. For cigarettes on which the bands are positioned | |
13 | by design, there shall be at least two (2) bands fully located at least fifteen (15) millimeters from | |
14 | the lighting end and ten (10) millimeters from the filter end of the tobacco column, or ten (10) | |
15 | millimeters from the labeled end of the tobacco column for a nonfiltered cigarette. | |
16 | (c) The manufacturer or manufacturers of a cigarette that the director determines cannot be | |
17 | tested in accordance with the test method prescribed in subsection 23-20.11-4(a) shall propose a | |
18 | test method and performance standard for such cigarette to the director. Upon approval of the | |
19 | proposed test method and a determination by the director that the performance standard proposed | |
20 | by the manufacturer or manufacturers is equivalent to the performance standard prescribed in | |
21 | subsection 23-20.11-4(a), the manufacturer or manufacturers may employ such test method and | |
22 | performance standard to certify such cigarette pursuant to § 23-20.11-5 of this act. If the director | |
23 | determines that another state has enacted reduced cigarette ignition propensity standards that | |
24 | include a test method and performance standard that are the same as those contained in this section, | |
25 | and the director finds that the officials responsible for implementing those requirements have | |
26 | approved the proposed alternative test method and performance standard for a particular cigarette | |
27 | proposed by a manufacturer as meeting the reduced cigarette ignition propensity standards of that | |
28 | state’s law or regulation under a legal provision comparable to this subsection, then the director | |
29 | shall authorize that manufacturer to employ the alternative test method and performance standard | |
30 | to certify that cigarette for sale in this state, unless the director demonstrates a reasonable basis why | |
31 | the alternative test should not be accepted under this chapter. All other applicable requirements of | |
32 | this section shall apply to such manufacturer or manufacturers. | |
33 | (d) Each manufacturer shall maintain copies of the reports of all tests conducted on all | |
34 | cigarettes offered for sale for a period of three (3) years, and shall make copies of these reports | |
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1 | available to the director and the attorney general upon written request. Any manufacturer who fails | |
2 | to make copies of these reports available within sixty (60) days of receiving a written request shall | |
3 | be subject to a civil penalty not to exceed ten thousand dollars ($10,000) for each day after the | |
4 | sixtieth (60th) day that the manufacturer does not make such copies available. | |
5 | (e) The director may adopt a subsequent ASTM Standard Test Method for Measuring the | |
6 | Ignition Strength of Cigarettes upon a finding that such subsequent method does not result in a | |
7 | change in the percentage of full-length burns exhibited by any tested cigarette when compared to | |
8 | the percentage of full-length burns the same cigarette would exhibit when tested in accordance with | |
9 | ASTM Standard E2187-04 and the performance standard prescribed in subsection 23-20.11-4(a). | |
10 | (f) As of January 1, 2010, and at least every three (3) years thereafter, the director shall | |
11 | review of the effectiveness of this section and report to the legislature the director’s finding’s and, | |
12 | if appropriate, recommendations for legislation to improve the effectiveness of this section. The | |
13 | report and legislative recommendations shall be submitted no later than January 1 of each three (3) | |
14 | year period. | |
15 | (g) This chapter shall be implemented in accordance with the implementation and | |
16 | substance of the New York Fire Safety Standards for Cigarettes. | |
17 | SECTION 12. Chapter 23-28.2 of the General Laws entitled "Office of State Fire Marshal" | |
18 | is hereby amended by adding thereto the following section: | |
19 | 23-28.2-30. Deputy state fire marshals assigned to towns or fire districts. | |
20 | In the event any town or fire district does not have an assistant deputy state fire marshal | |
21 | appointed by the state fire marshal pursuant to § 23-28.2-9 to perform fire prevention, protection, | |
22 | inspection, and other duties under chapters 28.1 through 28.39 of title 23, the applicable town or | |
23 | fire district shall provide written notice to the state fire marshal within ten (10) business days of | |
24 | such absence. The notice shall include, at a minimum, the reason for the absence, the anticipated | |
25 | duration, and a stated plan for appointment of an assistant deputy state fire marshal to perform such | |
26 | services within the applicable town or fire district. Failure to provide such notice may result in the | |
27 | assessment of additional fees. During the absence, the state fire marshal is authorized to assign and | |
28 | appoint one or more deputy state fire marshals of the office of the state fire marshal to duty in the | |
29 | applicable town or fire district. Each deputy state fire marshal assigned to duty as aforesaid shall | |
30 | during the period of such duty continue to be a deputy state fire marshal of the office of the state | |
31 | fire marshal, but the salary and expenses of each deputy state fire marshal so assigned, or such | |
32 | prorated amount as determined by the state fire marshal, shall be reimbursed by the applicable town | |
33 | or fire district. The state fire marshal shall have full power at all times to withdraw any deputy state | |
34 | fire marshal assigned to duty in a town or fire district and assign another deputy state fire marshal | |
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1 | to the deputy fire marshal's place or to discontinue such duty and to make no assignment to replace. | |
2 | The office of the state fire marshal may promulgate forms, procedures, and/or regulations as | |
3 | necessary to effectuate the provisions of this section. | |
4 | SECTION 13. Section 23-86-1 of the General Laws in Chapter 23-86 entitled "Women’s | |
5 | Cardiovascular Screening and Risk Reduction Pilot Program" is hereby repealed. | |
6 | 23-86-1. Women’s cardiovascular screening and risk reduction pilot program. | |
7 | (a) The department of health (hereinafter, “the department”) shall develop a cardiovascular | |
8 | disease screening and lifestyle intervention pilot program at one site in one of Rhode Island’s six | |
9 | (6) core cities for low-income, underinsured and uninsured women between forty (40) and sixty- | |
10 | four (64) years of age, inclusive, at risk for heart disease, diabetes and stroke, namely Pawtucket, | |
11 | Providence, Woonsocket, Newport, West Warwick or Central Falls. | |
12 | (b) The department shall develop the program based on the federal WISEWOMEN | |
13 | program administered by the Centers for Disease Control and Prevention. The pilot program shall | |
14 | employ specified measures to gauge the impact and outcome of the program. These measures may | |
15 | include the number of women served, the number who receive lifestyle interventions, the number | |
16 | of follow-up visits per woman, an evaluation of the use of progress markers to reduce risk factors, | |
17 | and a research and evaluation component. | |
18 | (c) The department shall prepare an annual report and submit it to the legislature by January | |
19 | 31 of each year summarizing the scope and reach of the pilot program. The final report shall include | |
20 | a fiscal analysis and a recommendation outlining the benefits and costs of expanding the pilot | |
21 | program throughout the state after the program has been in existence for three (3) years. The pilot | |
22 | program shall expire July 1, 2014. | |
23 | (d) Implementation of the Women’s Cardiovascular screening and risk reduction pilot | |
24 | program shall be subject to appropriation. | |
25 | SECTION 14. Title 23 of the General Laws entitled "HEALTH AND SAFETY" is hereby | |
26 | amended by adding thereto the following chapter: | |
27 | CHAPTER 100 | |
28 | RHODE ISLAND HEALTHCARE WORKFORCE DATA COLLECTION ACT | |
29 | 23-100-1. Short title. | |
30 | This chapter shall be known and may be cited as the "Rhode Island Healthcare Workforce | |
31 | Data Collection Act." | |
32 | 23-100-2. Definitions. | |
33 | (1) “Department” means the Rhode Island department of health. | |
34 | (2) “Healthcare professional” means physicians, physician assistants, dentists, registered | |
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1 | nurses, licensed practical nurses, advanced practice registered nurses, nursing assistants, | |
2 | psychologists, licensed clinical social workers, and mental health counselors and marriage and | |
3 | family therapists, and any other licensees as defined by the department. | |
4 | (3) “Not currently working” means unemployed-not looking for a job, unemployed and | |
5 | looking for a job; on extended leave, retired, or other. | |
6 | (4) “Principal specialty” means the specialty the healthcare professional spends the most | |
7 | time practicing. | |
8 | 23-100-3. Healthcare workforce data collection authorized. | |
9 | The department is hereby authorized to collect healthcare workforce data on all healthcare | |
10 | professionals licensed by the department as part of the department’s licensure and license renewal | |
11 | process and to request all healthcare professionals to voluntarily provide the following healthcare | |
12 | workforce data elements as a part of licensure and licensure renewal: | |
13 | (1) Principal specialty; | |
14 | (2) Education level; | |
15 | (3) Current practice status in Rhode Island including, but not limited to, clinical practice, | |
16 | medical administrative or legal services only, clinical teaching or clinical research only, not | |
17 | currently working in the medical field, status as a provider of telemedicine, and other practice status | |
18 | as determined by the department; | |
19 | (4) Ethnicity; | |
20 | (5) Race; | |
21 | (6) Languages spoken other than English; | |
22 | (7) Additional years planning to practice or anticipated retirement year; | |
23 | (8) Total number of clinical/non-clinical hours per week providing services; | |
24 | (9) Practice name(s), location(s), and contact information; | |
25 | (10) Acceptance of Medicaid as a form of payment; | |
26 | (11) Other data as defined by the department. | |
27 | 23-100-4. Privacy. | |
28 | The department shall not make publicly available individual data acquired pursuant to § | |
29 | 23-100-3. Individualized healthcare workforce data elements shall remain confidential and shall | |
30 | only be available as de-identified aggregate analysis to support healthcare planning, workforce | |
31 | analysis and other health program and policy recommendations. Publicly available data may | |
32 | include, but not be limited to: | |
33 | (1) Aggregate de-identified data and information on current healthcare workforce capacity; | |
34 | (2) Geographic distribution of healthcare professionals actively practicing; | |
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1 | (3) Provider-to-population rates; and | |
2 | (4) Projections of healthcare workforce need. | |
3 | 23-100-5. Rules and regulations. | |
4 | The department shall promulgate rules and regulations pursuant to this chapter. | |
5 | SECTION 15. Section 37-2-13.1 of the General Laws in Chapter 37-2 entitled "State | |
6 | Purchases" is hereby amended to read as follows: | |
7 | 37-2-13.1. Procurement regulations — Request for proposal. | |
8 | (a) No request for proposal shall change to a master-price agreement unless the request for | |
9 | proposal is cancelled and reissued as a master price agreement. | |
10 | (b) No vendor, parent corporation, subsidiary, affiliate, or subcontractor of any state vendor | |
11 | may bid on a request for proposal if that person or entity has or had any contractual, financial, | |
12 | business, or beneficial interest with the state or with any official, officer, or agency in charge of the | |
13 | request or if they participated or were consulted with respect to the requirements, technical aspects, | |
14 | or any other part of the formation and promulgation of the request for proposals except for in the | |
15 | situations outlined in subsection (f) of this section. | |
16 | (c) Further, no person or entity who or that acts as an operator or vendor for the state may | |
17 | participate in any request for proposal relating to any audit, examination, independent verification, | |
18 | review, or evaluation of any of the person’s or entity’s work, financials or operations performed | |
19 | for or on behalf of the state, or any official, officer, or agency. | |
20 | (c)(d) Persons or entities certified as “sole source” providers under § 37-2-21 shall be | |
21 | exempt from the requirements of subsection (b) of this section. | |
22 | (d)(e) Any person or entity submitting a proposal in response to a request for proposal shall | |
23 | make a written certification attesting under the penalty of perjury that the terms of subsection (b) | |
24 | of this section have been complied with or that the person or entity is exempt under subsection | |
25 | (c)(d) of this section. | |
26 | (f) Requests for information formally issued by the division of purchases and emergency | |
27 | procurements as defined in § 37-2-21 shall be exempt from subsection (b) of this section. Feasibility | |
28 | studies and preliminary evaluations shall also be exempt from subsection (b) of this section if the | |
29 | purchasing agent certifies in writing to the director of administration that a request for feasibility | |
30 | studies or preliminary evaluations resulted in no responsive bids. However, the division of | |
31 | purchases shall publicly disclose any final prior feasibility studies and/or evaluation reports | |
32 | completed in a subsequent procurement regarding a project. | |
33 | SECTION 16. Section 37-2-9.1 of the General Laws in Chapter 37-2 entitled "State | |
34 | Purchases" is hereby repealed. | |
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1 | 37-2-9.1. Bidder registration fee. | |
2 | The chief purchasing officer may adopt regulations to establish an annual fee, of not less | |
3 | than twenty-five dollars ($25.00), which shall be paid by all potential bidders requesting to | |
4 | subscribe to solicitation mailings for public bids for specific types of supplies, services, and | |
5 | construction during a fiscal year, and may waive that fee for Rhode Island firms. Additionally, the | |
6 | chief purchasing agent officer may delegate to the purchasing agent the authority to waive that fee | |
7 | for an individual solicitation and to include unregistered bidders in the solicitation in the interest of | |
8 | expanding competition. Nothing herein shall prevent any interested party from submitting a bid in | |
9 | response to any solicitation of which they become aware. | |
10 | SECTION 17. Chapter 37-14.2 of the General Laws entitled "The Micro Businesses Act" | |
11 | is hereby repealed in its entirety. | |
12 | CHAPTER 37-14.2 | |
13 | The Micro Businesses Act | |
14 | 37-14.2-1. Short title. | |
15 | This chapter shall be known and may be cited as “The Micro Businesses Act.” | |
16 | 37-14.2-2. Purpose. | |
17 | The purpose of this chapter is to carry out the state’s policy of supporting the fullest | |
18 | possible participation of micro businesses in the economic activity in the state of Rhode Island, | |
19 | including, but not limited to, state-directed public construction programs and projects and in-state | |
20 | purchases of goods and services. The purpose of this chapter includes assisting micro businesses | |
21 | throughout the life of any contracts with the state of Rhode Island or its agencies. | |
22 | 37-14.2-3. Definitions. | |
23 | As used in this chapter, the following words and terms shall have the following meanings | |
24 | unless the context shall clearly indicate another or different meaning or intent: | |
25 | (1) “Contract” means a mutually binding legal relationship, or any modification thereof, | |
26 | obligating the seller to furnish supplies or services, including construction, and the buyer to pay for | |
27 | them. As used in this chapter, a lease is a contract. | |
28 | (2) “Contractor” means one who participates, through a contract or subcontract, in any | |
29 | procurement or program covered by this chapter and includes lessees and material suppliers. | |
30 | (3) “Micro business” means a Rhode Island-based business entity, regardless of whether it | |
31 | is in the form of a corporation, limited liability company, limited partnership, general partnership, | |
32 | or sole proprietorship, that has a total of ten (10) or fewer members, owners, and employees and | |
33 | has gross sales totaling five hundred thousand dollars ($500,000) or less. | |
34 | (4) “MB coordinator” means the official designated to have overall responsibility for | |
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1 | promoting, coordinating, documenting, and implementing efforts related to micro businesses. | |
2 | (5) “Registered” means those micro businesses that have provided their business name, | |
3 | address, owner-contact information, number of employees, and annual gross sales to the department | |
4 | of administration. | |
5 | 37-14.2-4. Compilation and reporting of data on micro businesses. | |
6 | (a) The department of administration shall compile and maintain data on the existence of | |
7 | registered micro businesses to facilitate the achievement of the purpose of this chapter. Within sixty | |
8 | (60) days of the effective date of this statute [July 20, 2016], the department of administration shall | |
9 | submit a report to the governor and general assembly that describes the methodology being used to | |
10 | compile such data and to report annual utilization of registered, micro businesses in state-directed | |
11 | public construction programs and projects and in-state purchases of goods and services. The report | |
12 | shall be made public contemporaneously with its submission to the governor and general assembly. | |
13 | (b) The department of administration shall maintain a micro business registration database | |
14 | that shall include the business name, address, owner-contact information, number of employees, | |
15 | and annual gross sales. Such registration of micro businesses with the department of administration | |
16 | shall be on a voluntary basis, and does not supersede any mandated, business-registration | |
17 | requirements with the secretary of state or other general offices, as well as with any city or town as | |
18 | applicable. | |
19 | (c) On or before January 1, 2017, and on or before the first day of January in all years | |
20 | thereafter, the department of administration shall submit a report to the governor and general | |
21 | assembly consisting of data concerning the registration of micro businesses in the state. The data | |
22 | shall include, but not be limited to: the number of registered micro businesses; the distribution of | |
23 | registered, micro businesses among the thirty-nine (39) cities or towns in the state; the number of | |
24 | registered, micro businesses that are also Rhode Island-certified minority business enterprises; and | |
25 | the number of registered, micro businesses that are also Rhode Island-certified women business | |
26 | enterprises. | |
27 | (d) At the request of the director of the department of administration, the secretary of state, | |
28 | or all other general officers of the state, all agencies of the state and all cities and towns shall make | |
29 | reasonable modifications to their record keeping procedures to facilitate the compilation of data | |
30 | concerning the existence of micro businesses in Rhode Island. | |
31 | SECTION 18. Section 41-5-23 of the General Laws in Chapter 41-5 entitled "Boxing and | |
32 | Wrestling" is hereby repealed. | |
33 | 41-5-23. Annual report to general assembly. | |
34 | The division of gaming and athletics licensing shall make an annual report to the general | |
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1 | assembly on or before the first Wednesday in February, together with any recommendations for | |
2 | legislation, that it may deem desirable. | |
3 | SECTION 19. Section 42-17.1-2 of the General Laws in Chapter 42-17.1 entitled | |
4 | "Department of Environmental Management" is hereby amended to read as follows: | |
5 | 42-17.1-2. Powers and duties. | |
6 | The director of environmental management shall have the following powers and duties: | |
7 | (1) To supervise and control the protection, development, planning, and utilization of the | |
8 | natural resources of the state, such resources, including, but not limited to: water, plants, trees, soil, | |
9 | clay, sand, gravel, rocks and other minerals, air, mammals, birds, reptiles, amphibians, fish, | |
10 | shellfish, and other forms of aquatic, insect, and animal life; | |
11 | (2) To exercise all functions, powers, and duties heretofore vested in the department of | |
12 | agriculture and conservation, and in each of the divisions of the department, such as the promotion | |
13 | of agriculture and animal husbandry in their several branches, including the inspection and | |
14 | suppression of contagious diseases among animals; the regulation of the marketing of farm | |
15 | products; the inspection of orchards and nurseries; the protection of trees and shrubs from injurious | |
16 | insects and diseases; protection from forest fires; the inspection of apiaries and the suppression of | |
17 | contagious diseases among bees; the prevention of the sale of adulterated or misbranded | |
18 | agricultural seeds; promotion and encouragement of the work of farm bureaus, in cooperation with | |
19 | the University of Rhode Island, farmers’ institutes, and the various organizations established for | |
20 | the purpose of developing an interest in agriculture; together with such other agencies and activities | |
21 | as the governor and the general assembly may, from time to time, place under the control of the | |
22 | department; and as heretofore vested by such of the following chapters and sections of the general | |
23 | laws as are presently applicable to the department of environmental management and that were | |
24 | previously applicable to the department of natural resources and the department of agriculture and | |
25 | conservation or to any of its divisions: chapters 1 through 22, inclusive, as amended, in title 2 | |
26 | entitled “Agriculture and Forestry”; chapters 1 through 17, inclusive, as amended, in title 4 entitled | |
27 | “Animals and Animal Husbandry”; chapters 1 through 19, inclusive, as amended, in title 20 entitled | |
28 | “Fish and Wildlife”; chapters 1 through 32, inclusive, as amended, in title 21 entitled “Food and | |
29 | Drugs”; chapter 7 of title 23, as amended, entitled “Mosquito Abatement”; and by any other general | |
30 | or public law relating to the department of agriculture and conservation or to any of its divisions or | |
31 | bureaus; | |
32 | (3) To exercise all the functions, powers, and duties heretofore vested in the division of | |
33 | parks and recreation of the department of public works by chapters 1, 2, and 5 in title 32 entitled | |
34 | “Parks and Recreational Areas”; by chapter 22.5 of title 23, as amended, entitled “Drowning | |
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1 | Prevention and Lifesaving”; and by any other general or public law relating to the division of parks | |
2 | and recreation; | |
3 | (4) To exercise all the functions, powers, and duties heretofore vested in the division of | |
4 | harbors and rivers of the department of public works, or in the department itself by such as were | |
5 | previously applicable to the division or the department, of chapters 1 through 22 and sections | |
6 | thereof, as amended, in title 46 entitled “Waters and Navigation”; and by any other general or public | |
7 | law relating to the division of harbors and rivers; | |
8 | (5) To exercise all the functions, powers, and duties heretofore vested in the department of | |
9 | health by chapters 25, 18.9, and 19.5 of title 23, as amended, entitled “Health and Safety”; and by | |
10 | chapters 12 and 16 of title 46, as amended, entitled “Waters and Navigation”; by chapters 3, 4, 5, | |
11 | 6, 7, 9, 11, 13, 18, and 19 of title 4, as amended, entitled “Animals and Animal Husbandry”; and | |
12 | those functions, powers, and duties specifically vested in the director of environmental | |
13 | management by the provisions of § 21-2-22, as amended, entitled “Inspection of Animals and | |
14 | Milk”; together with other powers and duties of the director of the department of health as are | |
15 | incidental to, or necessary for, the performance of the functions transferred by this section; | |
16 | (6) To cooperate with the Rhode Island commerce corporation in its planning and | |
17 | promotional functions, particularly in regard to those resources relating to agriculture, fisheries, | |
18 | and recreation; | |
19 | (7) To cooperate with, advise, and guide conservation commissions of cities and towns | |
20 | created under chapter 35 of title 45 entitled “Conservation Commissions”, as enacted by chapter | |
21 | 203 of the Public Laws, 1960; | |
22 | (8) To assign or reassign, with the approval of the governor, any functions, duties, or | |
23 | powers established by this chapter to any agency within the department, except as hereinafter | |
24 | limited; | |
25 | (9) To cooperate with the water resources board and to provide to the board facilities, | |
26 | administrative support, staff services, and other services as the board shall reasonably require for | |
27 | its operation and, in cooperation with the board and the statewide planning program, to formulate | |
28 | and maintain a long-range guide plan and implementing program for development of major water- | |
29 | sources transmission systems needed to furnish water to regional- and local-distribution systems; | |
30 | (10) To cooperate with the solid waste management corporation and to provide to the | |
31 | corporation such facilities, administrative support, staff services, and other services within the | |
32 | department as the corporation shall reasonably require for its operation; | |
33 | (11) To provide for the maintenance of waterways and boating facilities, consistent with | |
34 | chapter 6.1 of title 46, by: (i) Establishing minimum standards for upland beneficial use and | |
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1 | disposal of dredged material; (ii) Promulgating and enforcing rules for water quality, ground water | |
2 | protection, and fish and wildlife protection pursuant to § 42-17.1-24; (iii) Planning for the upland | |
3 | beneficial use and/or disposal of dredged material in areas not under the jurisdiction of the council | |
4 | pursuant to § 46-23-6(2); and (iv) Cooperating with the coastal resources management council in | |
5 | the development and implementation of comprehensive programs for dredging as provided for in | |
6 | §§ 46-23-6(1)(ii)(H) and 46-23-18.3; and (v) Monitoring dredge material management and disposal | |
7 | sites in accordance with the protocols established pursuant to § 46-6.1-5(a)(3) and the | |
8 | comprehensive program provided for in § 46-23-6(1)(ii)(H); no powers or duties granted herein | |
9 | shall be construed to abrogate the powers or duties granted to the coastal resources management | |
10 | council under chapter 23 of title 46, as amended; | |
11 | (12) To establish minimum standards, subject to the approval of the environmental | |
12 | standards board, relating to the location, design, construction, and maintenance of all sewage- | |
13 | disposal systems; | |
14 | (13) To enforce, by such means as provided by law, the standards for the quality of air, and | |
15 | water, and the design, construction, and operation of all sewage-disposal systems; any order or | |
16 | notice issued by the director relating to the location, design, construction, or maintenance of a | |
17 | sewage-disposal system shall be eligible for recordation under chapter 13 of title 34. The director | |
18 | shall forward the order or notice to the city or town wherein the subject property is located and the | |
19 | order or notice shall be recorded in the general index by the appropriate municipal official in the | |
20 | land evidence records in the city or town wherein the subject property is located. Any subsequent | |
21 | transferee of that property shall be responsible for complying with the requirements of the order or | |
22 | notice. Upon satisfactory completion of the requirements of the order or notice, the director shall | |
23 | provide written notice of the same, which notice shall be similarly eligible for recordation. The | |
24 | original written notice shall be forwarded to the city or town wherein the subject property is located | |
25 | and the notice of satisfactory completion shall be recorded in the general index by the appropriate | |
26 | municipal official in the land evidence records in the city or town wherein the subject property is | |
27 | located. A copy of the written notice shall be forwarded to the owner of the subject property within | |
28 | five (5) days of a request for it, and, in any event, shall be forwarded to the owner of the subject | |
29 | property within thirty (30) days after correction; | |
30 | (14) To establish minimum standards for the establishment and maintenance of salutary | |
31 | environmental conditions, including standards and methods for the assessment and the | |
32 | consideration of the cumulative effects on the environment of regulatory actions and decisions, | |
33 | which standards for consideration of cumulative effects shall provide for: (i) Evaluation of potential | |
34 | cumulative effects that could adversely affect public health and/or impair ecological functioning; | |
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1 | (ii) Analysis of other matters relative to cumulative effects as the department may deem appropriate | |
2 | in fulfilling its duties, functions, and powers; which standards and methods shall only be applicable | |
3 | to ISDS systems in the town of Jamestown in areas that are dependent for water supply on private | |
4 | and public wells, unless broader use is approved by the general assembly. The department shall | |
5 | report to the general assembly not later than March 15, 2008, with regard to the development and | |
6 | application of the standards and methods in Jamestown; | |
7 | (15) To establish and enforce minimum standards for permissible types of septage, | |
8 | industrial-waste disposal sites, and waste-oil disposal sites; | |
9 | (16) To establish minimum standards, subject to the approval of the environmental | |
10 | standards board, for permissible types of refuse disposal facilities; the design, construction, | |
11 | operation, and maintenance of disposal facilities; and the location of various types of facilities; | |
12 | (17) To exercise all functions, powers, and duties necessary for the administration of | |
13 | chapter 19.1 of title 23 entitled “Rhode Island Hazardous Waste Management Act”; | |
14 | (18) To designate, in writing, any person in any department of the state government or any | |
15 | official of a district, county, city, town, or other governmental unit, with that official’s consent, to | |
16 | enforce any rule, regulation, or order promulgated and adopted by the director under any provision | |
17 | of law; provided, however, that enforcement of powers of the coastal resources management | |
18 | council shall be assigned only to employees of the department of environmental management, | |
19 | except by mutual agreement or as otherwise provided in chapter 23 of title 46; | |
20 | (19) To issue and enforce the rules, regulations, and orders as may be necessary to carry | |
21 | out the duties assigned to the director and the department by any provision of law; and to conduct | |
22 | investigations and hearings and to issue, suspend, and revoke licenses as may be necessary to | |
23 | enforce those rules, regulations, and orders. Any license suspended under the rules, regulations, | |
24 | and/or orders shall be terminated and revoked if the conditions that led to the suspension are not | |
25 | corrected to the satisfaction of the director within two (2) years; provided that written notice is | |
26 | given by certified mail, return receipt requested, no less than sixty (60) days prior to the date of | |
27 | termination. | |
28 | Notwithstanding the provisions of § 42-35-9 to the contrary, no informal disposition of a | |
29 | contested licensing matter shall occur where resolution substantially deviates from the original | |
30 | application unless all interested parties shall be notified of the proposed resolution and provided | |
31 | with opportunity to comment upon the resolution pursuant to applicable law and any rules and | |
32 | regulations established by the director; | |
33 | (20) To enter, examine, or survey, at any reasonable time, places as the director deems | |
34 | necessary to carry out his or her responsibilities under any provision of law subject to the following | |
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1 | provisions: | |
2 | (i) For criminal investigations, the director shall, pursuant to chapter 5 of title 12, seek a | |
3 | search warrant from an official of a court authorized to issue warrants, unless a search without a | |
4 | warrant is otherwise allowed or provided by law; | |
5 | (ii)(A) All administrative inspections shall be conducted pursuant to administrative | |
6 | guidelines promulgated by the department in accordance with chapter 35 of this title; | |
7 | (B) A warrant shall not be required for administrative inspections if conducted under the | |
8 | following circumstances, in accordance with the applicable constitutional standards: | |
9 | (I) For closely regulated industries; | |
10 | (II) In situations involving open fields or conditions that are in plain view; | |
11 | (III) In emergency situations; | |
12 | (IV) In situations presenting an imminent threat to the environment or public health, safety, | |
13 | or welfare; | |
14 | (V) If the owner, operator, or agent in charge of the facility, property, site, or location | |
15 | consents; or | |
16 | (VI) In other situations in which a warrant is not constitutionally required. | |
17 | (C) Whenever it shall be constitutionally or otherwise required by law, or whenever the | |
18 | director in his or her discretion deems it advisable, an administrative search warrant, or its | |
19 | functional equivalent, may be obtained by the director from a neutral magistrate for the purpose of | |
20 | conducting an administrative inspection. The warrant shall be issued in accordance with the | |
21 | applicable constitutional standards for the issuance of administrative search warrants. The | |
22 | administrative standard of probable cause, not the criminal standard of probable cause, shall apply | |
23 | to applications for administrative search warrants; | |
24 | (I) The need for, or reliance upon, an administrative warrant shall not be construed as | |
25 | requiring the department to forfeit the element of surprise in its inspection efforts; | |
26 | (II) An administrative warrant issued pursuant to this subsection must be executed and | |
27 | returned within ten (10) days of its issuance date unless, upon a showing of need for additional | |
28 | time, the court orders otherwise; | |
29 | (III) An administrative warrant may authorize the review and copying of documents that | |
30 | are relevant to the purpose of the inspection. If documents must be seized for the purpose of | |
31 | copying, and the warrant authorizes the seizure, the person executing the warrant shall prepare an | |
32 | inventory of the documents taken. The time, place, and manner regarding the making of the | |
33 | inventory shall be set forth in the terms of the warrant itself, as dictated by the court. A copy of the | |
34 | inventory shall be delivered to the person from whose possession or facility the documents were | |
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1 | taken. The seized documents shall be copied as soon as feasible under circumstances preserving | |
2 | their authenticity, then returned to the person from whose possession or facility the documents were | |
3 | taken; | |
4 | (IV) An administrative warrant may authorize the taking of samples of air, water, or soil | |
5 | or of materials generated, stored, or treated at the facility, property, site, or location. Upon request, | |
6 | the department shall make split samples available to the person whose facility, property, site, or | |
7 | location is being inspected; | |
8 | (V) Service of an administrative warrant may be required only to the extent provided for | |
9 | in the terms of the warrant itself, by the issuing court. | |
10 | (D) Penalties. Any willful and unjustified refusal of right of entry and inspection to | |
11 | department personnel pursuant to an administrative warrant shall constitute a contempt of court and | |
12 | shall subject the refusing party to sanctions, which in the court’s discretion may result in up to six | |
13 | (6) months imprisonment and/or a monetary fine of up to ten thousand dollars ($10,000) per refusal; | |
14 | (21) To give notice of an alleged violation of law to the person responsible therefor | |
15 | whenever the director determines that there are reasonable grounds to believe that there is a | |
16 | violation of any provision of law within his or her jurisdiction or of any rule or regulation adopted | |
17 | pursuant to authority granted to him or her. Nothing in this chapter shall limit the authority of the | |
18 | attorney general to prosecute offenders as required by law; | |
19 | (i) The notice shall provide for a time within which the alleged violation shall be remedied, | |
20 | and shall inform the person to whom it is directed that a written request for a hearing on the alleged | |
21 | violation may be filed with the director within twenty (20) days after service of the notice. The | |
22 | notice will be deemed properly served upon a person if a copy thereof is served the person | |
23 | personally; or sent by registered or certified mail to the person’s last known address; or if the person | |
24 | is served with notice by any other method of service now or hereafter authorized in a civil action | |
25 | under the laws of this state. If no written request for a hearing is made to the director within twenty | |
26 | (20) days of the service of notice, the notice shall automatically become a compliance order; | |
27 | (ii)(A) Whenever the director determines that there exists a violation of any law, rule, or | |
28 | regulation within the director’s jurisdiction that requires immediate action to protect the | |
29 | environment, the director may, without prior notice of violation or hearing, issue an immediate- | |
30 | compliance order stating the existence of the violation and the action he or she deems necessary. | |
31 | The compliance order shall become effective immediately upon service or within such time as is | |
32 | specified by the director in such order. No request for a hearing on an immediate-compliance order | |
33 | may be made; | |
34 | (B) Any immediate-compliance order issued under this section without notice and prior | |
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1 | hearing shall be effective for no longer than forty-five (45) days; provided, however, that for good | |
2 | cause shown, the order may be extended one additional period not exceeding forty-five (45) days; | |
3 | (iii) The director may, at his or her discretion and for the purposes of timely and effective | |
4 | resolution and return to compliance, cite a person for alleged noncompliance through the issuance | |
5 | of an expedited citation in accordance with § 42-17.6-3(c); | |
6 | (iv) If a person upon whom a notice of violation has been served under the provisions of | |
7 | this section or if a person aggrieved by any such notice of violation requests a hearing before the | |
8 | director within twenty (20) days of the service of notice of violation, the director shall set a time | |
9 | and place for the hearing, and shall give the person requesting that hearing at least five (5) days’ | |
10 | written notice thereof. After the hearing, the director may make findings of fact and shall sustain, | |
11 | modify, or withdraw the notice of violation. If the director sustains or modifies the notice, that | |
12 | decision shall be deemed a compliance order and shall be served upon the person responsible in | |
13 | any manner provided for the service of the notice in this section; | |
14 | (v) The compliance order shall state a time within which the violation shall be remedied, | |
15 | and the original time specified in the notice of violation shall be extended to the time set in the | |
16 | order; | |
17 | (vi) Whenever a compliance order has become effective, whether automatically where no | |
18 | hearing has been requested, where an immediate compliance order has been issued, or upon | |
19 | decision following a hearing, the director may institute injunction proceedings in the superior court | |
20 | of the state for enforcement of the compliance order and for appropriate temporary relief, and in | |
21 | that proceeding, the correctness of a compliance order shall be presumed and the person attacking | |
22 | the order shall bear the burden of proving error in the compliance order, except that the director | |
23 | shall bear the burden of proving in the proceeding the correctness of an immediate compliance | |
24 | order. The remedy provided for in this section shall be cumulative and not exclusive and shall be | |
25 | in addition to remedies relating to the removal or abatement of nuisances or any other remedies | |
26 | provided by law; | |
27 | (vii) Any party aggrieved by a final judgment of the superior court may, within thirty (30) | |
28 | days from the date of entry of such judgment, petition the supreme court for a writ of certiorari to | |
29 | review any questions of law. The petition shall set forth the errors claimed. Upon the filing of the | |
30 | petition with the clerk of the supreme court, the supreme court may, if it sees fit, issue its writ of | |
31 | certiorari; | |
32 | (22) To impose administrative penalties in accordance with the provisions of chapter 17.6 | |
33 | of this title and to direct that such penalties be paid into the account established by subsection (26); | |
34 | (23) The following definitions shall apply in the interpretation of the provisions of this | |
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1 | chapter: | |
2 | (i) Director: The term “director” shall mean the director of environmental management of | |
3 | the state of Rhode Island or his or her duly authorized agent; | |
4 | (ii) Person: The term “person” shall include any individual, group of individuals, firm, | |
5 | corporation, association, partnership, or private or public entity, including a district, county, city, | |
6 | town, or other governmental unit or agent thereof, and in the case of a corporation, any individual | |
7 | having active and general supervision of the properties of the corporation; | |
8 | (iii) Service: | |
9 | (A) Service upon a corporation under this section shall be deemed to include service upon | |
10 | both the corporation and upon the person having active and general supervision of the properties | |
11 | of the corporation; | |
12 | (B) For purposes of calculating the time within which a claim for a hearing is made | |
13 | pursuant to subsection (21)(i), service shall be deemed to be the date of receipt of such notice or | |
14 | three (3) days from the date of mailing of the notice, whichever shall first occur; | |
15 | (24)(i) To conduct surveys of the present private and public camping and other recreational | |
16 | areas available and to determine the need for and location of other camping and recreational areas | |
17 | as may be deemed necessary and in the public interest of the state of Rhode Island and to report | |
18 | back its findings on an annual basis to the general assembly on or before March 1 of every year; | |
19 | (ii) Additionally, the director of the department of environmental management shall take | |
20 | additional steps, including, but not limited to, matters related to funding as may be necessary to | |
21 | establish such other additional recreational facilities and areas as are deemed to be in the public | |
22 | interest; | |
23 | (25)(i) To apply for and accept grants and bequests of funds, with the approval of the | |
24 | director of administration, from other states, interstate agencies, and independent authorities, and | |
25 | private firms, individuals, and foundations, for the purpose of carrying out his or her lawful | |
26 | responsibilities. The funds shall be deposited with the general treasurer in a restricted receipt | |
27 | account created in the natural resources program for funds made available for that program’s | |
28 | purposes or in a restricted receipt account created in the environmental protection program for | |
29 | funds made available for that program’s purposes. All expenditures from the accounts shall be | |
30 | subject to appropriation by the general assembly, and shall be expended in accordance with the | |
31 | provisions of the grant or bequest. In the event that a donation or bequest is unspecified, or in the | |
32 | event that the trust account balance shows a surplus after the project as provided for in the grant or | |
33 | bequest has been completed, the director may utilize the appropriated unspecified or appropriated | |
34 | surplus funds for enhanced management of the department’s forest and outdoor public recreation | |
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1 | areas, or other projects or programs that promote the accessibility of recreational opportunities for | |
2 | Rhode Island residents and visitors; | |
3 | (ii) The director shall submit to the house fiscal advisor and the senate fiscal advisor, by | |
4 | October 1 of each year, a detailed report on the amount of funds received and the uses made of such | |
5 | funds; | |
6 | (26) To establish fee schedules by regulation, with the approval of the governor, for the | |
7 | processing of applications and the performing of related activities in connection with the | |
8 | department’s responsibilities pursuant to subsection (12); chapter 19.1 of title 23, as it relates to | |
9 | inspections performed by the department to determine compliance with chapter 19.1 and rules and | |
10 | regulations promulgated in accordance therewith; chapter 18.9 of title 23, as it relates to inspections | |
11 | performed by the department to determine compliance with chapter 18.9 and the rules and | |
12 | regulations promulgated in accordance therewith; chapters 19.5 and 23 of title 23; chapter 12 of | |
13 | title 46, insofar as it relates to water-quality certifications and related reviews performed pursuant | |
14 | to provisions of the federal Clean Water Act, 33 U.S.C. § 1251 et seq.; the regulation and | |
15 | administration of underground storage tanks and all other programs administered under chapter 12 | |
16 | of title 46 and § 2-1-18 et seq., and chapter 13.1 of title 46 and chapter 13.2 of title 46, insofar as | |
17 | they relate to any reviews and related activities performed under the provisions of the Groundwater | |
18 | Protection Act; chapter 24.9 of title 23 as it relates to the regulation and administration of mercury- | |
19 | added products; and chapter 17.7 of this title, insofar as it relates to administrative appeals of all | |
20 | enforcement, permitting and licensing matters to the administrative adjudication division for | |
21 | environmental matters. Two (2) fee ranges shall be required: for “Appeal of enforcement actions,” | |
22 | a range of fifty dollars ($50) to one hundred dollars ($100), and for “Appeal of application | |
23 | decisions,” a range of five hundred dollars ($500) to ten thousand dollars ($10,000). The monies | |
24 | from the administrative adjudication fees will be deposited as general revenues and the amounts | |
25 | appropriated shall be used for the costs associated with operating the administrative adjudication | |
26 | division. | |
27 | There is hereby established an account within the general fund to be called the water and | |
28 | air protection program. The account shall consist of sums appropriated for water and air pollution | |
29 | control and waste-monitoring programs and the state controller is hereby authorized and directed | |
30 | to draw his or her orders upon the general treasurer for the payment of the sums, or portions thereof, | |
31 | as may be required, from time to time, upon receipt by him or her of properly authenticated | |
32 | vouchers. All amounts collected under the authority of this subsection (26) for the sewage-disposal- | |
33 | system program and freshwater wetlands program will be deposited as general revenues and the | |
34 | amounts appropriated shall be used for the purposes of administering and operating the programs. | |
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1 | The director shall submit to the house fiscal advisor and the senate fiscal advisor by January 15 of | |
2 | each year a detailed report on the amount of funds obtained from fines and fees and the uses made | |
3 | of the funds; | |
4 | (27) To establish and maintain a list or inventory of areas within the state worthy of special | |
5 | designation as “scenic” to include, but not be limited to, certain state roads or highways, scenic | |
6 | vistas, and scenic areas, and to make the list available to the public; | |
7 | (28) To establish and maintain an inventory of all interests in land held by public and | |
8 | private land trust and to exercise all powers vested herein to ensure the preservation of all identified | |
9 | lands; | |
10 | (i) The director may promulgate and enforce rules and regulations to provide for the orderly | |
11 | and consistent protection, management, continuity of ownership and purpose, and centralized | |
12 | records-keeping for lands, water, and open spaces owned in fee or controlled in full or in part | |
13 | through other interests, rights, or devices such as conservation easements or restrictions, by private | |
14 | and public land trusts in Rhode Island. The director may charge a reasonable fee for filing of each | |
15 | document submitted by a land trust; | |
16 | (ii) The term “public land trust” means any public instrumentality created by a Rhode | |
17 | Island municipality for the purposes stated herein and financed by means of public funds collected | |
18 | and appropriated by the municipality. The term “private land trust” means any group of five (5) or | |
19 | more private citizens of Rhode Island who shall incorporate under the laws of Rhode Island as a | |
20 | nonbusiness corporation for the purposes stated herein, or a national organization such as the nature | |
21 | conservancy. The main purpose of either a public or a private land trust shall be the protection, | |
22 | acquisition, or control of land, water, wildlife, wildlife habitat, plants, and/or other natural features, | |
23 | areas, or open space for the purpose of managing or maintaining, or causing to be managed or | |
24 | maintained by others, the land, water, and other natural amenities in any undeveloped and relatively | |
25 | natural state in perpetuity. A private land trust must be granted exemption from federal income tax | |
26 | under Internal Revenue Code 501(c)(3) [26 U.S.C. § 501(c)(3)] within two (2) years of its | |
27 | incorporation in Rhode Island or it may not continue to function as a land trust in Rhode Island. A | |
28 | private land trust may not be incorporated for the exclusive purpose of acquiring or accepting | |
29 | property or rights in property from a single individual, family, corporation, business, partnership, | |
30 | or other entity. Membership in any private land trust must be open to any individual subscribing to | |
31 | the purposes of the land trust and agreeing to abide by its rules and regulations including payment | |
32 | of reasonable dues; | |
33 | (iii)(A) Private land trusts will, in their articles of association or their bylaws, as | |
34 | appropriate, provide for the transfer to an organization, created for the same or similar purposes, of | |
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1 | the assets, lands and land rights, and interests held by the land trust in the event of termination or | |
2 | dissolution of the land trust; | |
3 | (B) All land trusts, public and private, will record in the public records, of the appropriate | |
4 | towns and cities in Rhode Island, all deeds, conservation easements, or restrictions or other interests | |
5 | and rights acquired in land and will also file copies of all such documents and current copies of | |
6 | their articles of association, their bylaws, and their annual reports with the secretary of state and | |
7 | with the director of the Rhode Island department of environmental management. The director is | |
8 | hereby directed to establish and maintain permanently a system for keeping records of all private | |
9 | and public land trust land holdings in Rhode Island; | |
10 | (29) The director will contact in writing, not less often than once every two (2) years, each | |
11 | public or private land trust to ascertain: that all lands held by the land trust are recorded with the | |
12 | director; the current status and condition of each land holding; that any funds or other assets of the | |
13 | land trust held as endowment for specific lands have been properly audited at least once within the | |
14 | two-year (2) period; the name of the successor organization named in the public or private land | |
15 | trust’s bylaws or articles of association; and any other information the director deems essential to | |
16 | the proper and continuous protection and management of land and interests or rights in land held | |
17 | by the land trust. In the event that the director determines that a public or private land trust holding | |
18 | land or interest in land appears to have become inactive, the director shall initiate proceedings to | |
19 | effect the termination of the land trust and the transfer of its lands, assets, land rights, and land | |
20 | interests to the successor organization named in the defaulting trust’s bylaws or articles of | |
21 | association or to another organization created for the same or similar purposes. Should such a | |
22 | transfer not be possible, then the land trust, assets, and interest and rights in land will be held in | |
23 | trust by the state of Rhode Island and managed by the director for the purposes stated at the time | |
24 | of original acquisition by the trust. Any trust assets or interests other than land or rights in land | |
25 | accruing to the state under such circumstances will be held and managed as a separate fund for the | |
26 | benefit of the designated trust lands; | |
27 | (30) Consistent with federal standards, issue and enforce such rules, regulations, and orders | |
28 | as may be necessary to establish requirements for maintaining evidence of financial responsibility | |
29 | for taking corrective action and compensating third parties for bodily injury and property damage | |
30 | caused by sudden and non-sudden accidental releases arising from operating underground storage | |
31 | tanks; | |
32 | (31) To enforce, by such means as provided by law, the standards for the quality of air, and | |
33 | water, and the location, design, construction, and operation of all underground storage facilities | |
34 | used for storing petroleum products or hazardous materials; any order or notice issued by the | |
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1 | director relating to the location, design, construction, operation, or maintenance of an underground | |
2 | storage facility used for storing petroleum products or hazardous materials shall be eligible for | |
3 | recordation under chapter 13 of title 34. The director shall forward the order or notice to the city or | |
4 | town wherein the subject facility is located, and the order or notice shall be recorded in the general | |
5 | index by the appropriate municipal officer in the land-evidence records in the city or town wherein | |
6 | the subject facility is located. Any subsequent transferee of that facility shall be responsible for | |
7 | complying with the requirements of the order or notice. Upon satisfactory completion of the | |
8 | requirements of the order or notice, the director shall provide written notice of the same, which | |
9 | notice shall be eligible for recordation. The original, written notice shall be forwarded to the city | |
10 | or town wherein the subject facility is located, and the notice of satisfactory completion shall be | |
11 | recorded in the general index by the appropriate municipal official in the land-evidence records in | |
12 | the city or town wherein the subject facility is located. A copy of the written notice shall be | |
13 | forwarded to the owner of the subject facility within five (5) days of a request for it, and, in any | |
14 | event, shall be forwarded to the owner of the subject facility within thirty (30) days after correction; | |
15 | (32) To manage and disburse any and all funds collected pursuant to § 46-12.9-4, in | |
16 | accordance with § 46-12.9-5, and other provisions of the Rhode Island Underground Storage Tank | |
17 | Financial Responsibility Act, as amended; | |
18 | (33) To support, facilitate, and assist the Rhode Island Natural History Survey, as | |
19 | appropriate and/or as necessary, in order to accomplish the important public purposes of the survey | |
20 | in gathering and maintaining data on Rhode Island natural history; making public presentations and | |
21 | reports on natural history topics; ranking species and natural communities; monitoring rare species | |
22 | and communities; consulting on open-space acquisitions and management plans; reviewing | |
23 | proposed federal and state actions and regulations with regard to their potential impact on natural | |
24 | communities; and seeking outside funding for wildlife management, land management, and | |
25 | research; | |
26 | (34) To promote the effective stewardship of lakes, ponds, rivers, and streams including, | |
27 | but not limited to, collaboration with watershed organizations and associations of lakefront property | |
28 | owners on planning and management actions that will prevent and mitigate water quality | |
29 | degradation, reduce the loss of native habitat due to infestation of non-native species, abate | |
30 | nuisance conditions that result from excessive growth of algal or non-native plant species as well | |
31 | as promote healthy freshwater riverine ecosystems; | |
32 | (35) In implementing the programs established pursuant to this chapter, to identify critical | |
33 | areas for improving service to customers doing business with the department, and to develop and | |
34 | implement strategies to improve performance and effectiveness in those areas. Key aspects of a | |
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1 | customer-service program shall include, but not necessarily be limited to, the following | |
2 | components: | |
3 | (i) Maintenance of an organizational unit within the department with the express purpose | |
4 | of providing technical assistance to customers and helping customers comply with environmental | |
5 | regulations and requirements; | |
6 | (ii) Maintenance of an employee-training program to promote customer service across the | |
7 | department; | |
8 | (iii) Implementation of a continuous business process evaluation and improvement effort, | |
9 | including process reviews to encourage development of quality proposals; ensure timely and | |
10 | predictable reviews; and result in effective decisions and consistent follow up and implementation | |
11 | throughout the department; and publish an annual report on such efforts; | |
12 | (iv) Creation of a centralized location for the acceptance of permit applications and other | |
13 | submissions to the department; | |
14 | (v) Maintenance of a process to promote, organize, and facilitate meetings prior to the | |
15 | submission of applications or other proposals in order to inform the applicant on options and | |
16 | opportunities to minimize environmental impact; improve the potential for sustainable | |
17 | environmental compliance; and support an effective and efficient review and decision-making | |
18 | process on permit applications related to the proposed project; | |
19 | (vi) Development of single permits under multiple authorities otherwise provided in state | |
20 | law to support comprehensive and coordinated reviews of proposed projects. The director may | |
21 | address and resolve conflicting or redundant process requirements in order to achieve an effective | |
22 | and efficient review process that meets environmental objectives; and | |
23 | (vii) Exploration of the use of performance-based regulations coupled with adequate | |
24 | inspection and oversight, as an alternative to requiring applications or submissions for approval | |
25 | prior to initiation of projects. The department shall work with the office of regulatory reform to | |
26 | evaluate the potential for adopting alternative compliance approaches and provide a report to the | |
27 | governor and the general assembly by May 1, 2015; | |
28 | (36) To formulate and promulgate regulations requiring any dock or pier longer than twenty | |
29 | feet (20′) and located on a freshwater lake or pond to be equipped with reflective materials, on all | |
30 | sides facing the water, of an appropriate width and luminosity such that it can be seen by operators | |
31 | of watercraft; | |
32 | (37) To temporarily waive any control or prohibition respecting the use of a fuel or fuel | |
33 | additive required or regulated by the department if the director finds that: | |
34 | (i) Extreme or unusual fuel or fuel additive supply circumstances exist in the state or the | |
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1 | New England region that prevent the distribution of an adequate supply of the fuel or fuel additive | |
2 | to consumers; | |
3 | (ii) Extreme or unusual fuel or fuel additive supply circumstances are the result of a natural | |
4 | disaster, an act of God, a pipeline or refinery equipment failure, or another event that could not | |
5 | reasonably have been foreseen; and | |
6 | (iii) It is in the public interest to grant the waiver. | |
7 | Any temporary waiver shall be made in writing and shall be effective for twenty (20) | |
8 | calendar days; provided, that the director may renew the temporary waiver, in writing, if it is | |
9 | deemed necessary; and | |
10 | (38)(i) To designate by rule certain waters of the state as shellfish or marine life project | |
11 | management areas for the purpose of enhancing the cultivation and growth of marine species, | |
12 | managing the harvest of marine species, facilitating the conduct by the department of experiments | |
13 | in planting, cultivating, propagating, managing, and developing any and all kinds of marine life, | |
14 | and any other related purpose. | |
15 | (ii) Any such designation shall be by reference to fixed landmarks and include an explicit | |
16 | description of the area to be designated. | |
17 | (iii) Once so designated, the director may adopt rules and regulations addressing | |
18 | restrictions on the quantities, types, or sizes of marine species which may be taken in any individual | |
19 | management area, the times during which marine species may be taken, the manner or manners in | |
20 | which marine species may be taken, the closure of such area to the taking of marine species, or any | |
21 | other specific restrictions as may be deemed necessary. Such rules shall be exempt from the | |
22 | requirements of §§ 42-35-2.7, 42-35-2.8, and 42-35-2.9. | |
23 | (iv) The director, upon the designation of a management area, may place any stakes, | |
24 | bounds, buoys, or markers with the words “Rhode Island department of environmental | |
25 | management” plainly marked on them, as will approximate the management area. Failure to place | |
26 | or maintain the stakes, bounds, buoys, or markers shall not be admissible in any judicial or | |
27 | administrative proceeding. | |
28 | (v) Nothing in this section shall prevent the director from implementing emergency rules | |
29 | pursuant to § 42-35-2.10. | |
30 | SECTION 20. This Article shall take effect upon passage. | |
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