The Virginia Register OF  REGULATIONS is an official state publication issued every other week  throughout the year. Indexes are published quarterly, and are cumulative for  the year. The Virginia Register has several functions. The new and  amended sections of regulations, both as proposed and as finally adopted, are  required by law to be published in the Virginia Register. In addition,  the Virginia Register is a source of other information about state  government, including petitions for rulemaking, emergency regulations,  executive orders issued by the Governor, the Virginia Tax Bulletin issued  periodically by the Department of Taxation, and notices of public hearings and  open meetings of state agencies.
    ADOPTION,  AMENDMENT, AND REPEAL OF REGULATIONS
    An  agency wishing to adopt, amend, or repeal regulations must first publish in the  Virginia Register a notice of intended regulatory action; a basis,  purpose, substance and issues statement; an economic impact analysis prepared  by the Department of Planning and Budget; the agency’s response to the economic  impact analysis; a summary; a notice giving the public an opportunity to  comment on the proposal; and the text of the proposed regulation.
    Following  publication of the proposal in the Virginia Register, the promulgating agency  receives public comments for a minimum of 60 days. The Governor reviews the  proposed regulation to determine if it is necessary to protect the public  health, safety and welfare, and if it is clearly written and easily  understandable. If the Governor chooses to comment on the proposed regulation,  his comments must be transmitted to the agency and the Registrar no later than  15 days following the completion of the 60-day public comment period. The  Governor’s comments, if any, will be published in the Virginia Register.  Not less than 15 days following the completion of the 60-day public comment  period, the agency may adopt the proposed regulation.
    The  Joint Commission on Administrative Rules (JCAR) or the appropriate standing  committee of each house of the General Assembly may meet during the promulgation  or final adoption process and file an objection with the Registrar and the  promulgating agency. The objection will be published in the Virginia  Register. Within 21 days after receipt by the agency of a legislative  objection, the agency shall file a response with the Registrar, the objecting  legislative body, and the Governor.
    When  final action is taken, the agency again publishes the text of the regulation as  adopted, highlighting all changes made to the proposed regulation and  explaining any substantial changes made since publication of the proposal. A  30-day final adoption period begins upon final publication in the Virginia  Register.
    The  Governor may review the final regulation during this time and, if he objects,  forward his objection to the Registrar and the agency. In addition to or in  lieu of filing a formal objection, the Governor may suspend the effective date  of a portion or all of a regulation until the end of the next regular General  Assembly session by issuing a directive signed by a majority of the members of  the appropriate legislative body and the Governor. The Governor’s objection or  suspension of the regulation, or both, will be published in the Virginia  Register. If the Governor finds that changes made to the proposed  regulation have substantial impact, he may require the agency to provide an  additional 30-day public comment period on the changes. Notice of the  additional public comment period required by the Governor will be published in  the Virginia Register.
    The  agency shall suspend the regulatory process for 30 days when it receives  requests from 25 or more individuals to solicit additional public comment,  unless the agency determines that the changes have minor or inconsequential  impact.
    A  regulation becomes effective at the conclusion of the 30-day final adoption  period, or at any other later date specified by the promulgating agency, unless  (i) a legislative objection has been filed, in which event the regulation,  unless withdrawn, becomes effective on the date specified, which shall be after  the expiration of the 21-day objection period; (ii) the Governor exercises his  authority to require the agency to provide for additional public comment, in  which event the regulation, unless withdrawn, becomes effective on the date  specified, which shall be after the expiration of the period for which the  Governor has provided for additional public comment; (iii) the Governor and the  General Assembly exercise their authority to suspend the effective date of a  regulation until the end of the next regular legislative session; or (iv) the  agency suspends the regulatory process, in which event the regulation, unless  withdrawn, becomes effective on the date specified, which shall be after the  expiration of the 30-day public comment period and no earlier than 15 days from  publication of the readopted action.
    Proposed  regulatory action may be withdrawn by the promulgating agency at any time  before the regulation becomes final.
    FAST-TRACK  RULEMAKING PROCESS
    Section 2.2-4012.1 of the Code of Virginia provides an exemption from certain  provisions of the Administrative Process Act for agency regulations deemed by  the Governor to be noncontroversial.  To use this process, Governor's  concurrence is required and advance notice must be provided to certain legislative  committees.  Fast-track regulations will become effective on the date noted in  the regulatory action if no objections to using the process are filed in  accordance with § 2.2-4012.1.
    EMERGENCY  REGULATIONS
    Pursuant  to § 2.2-4011 of the Code  of Virginia, an agency, upon consultation with the Attorney General, and at the  discretion of the Governor, may adopt emergency regulations that are  necessitated by an emergency situation. An agency may also adopt an emergency  regulation when Virginia statutory law or the appropriation act or federal law  or federal regulation requires that a regulation be effective in 280 days or  less from its enactment. The emergency  regulation becomes operative upon its adoption and filing with the Registrar of  Regulations, unless a later date is specified. Emergency regulations are  limited to no more than 12 months in duration; however, may be extended for six  months under certain circumstances as provided for in § 2.2-4011 D.  Emergency regulations are published as soon as possible in the Register.
    During  the time the emergency status is in effect, the agency may proceed with the  adoption of permanent regulations through the usual procedures. To begin  promulgating the replacement regulation, the agency must (i) file the Notice of  Intended Regulatory Action with the Registrar within 60 days of the effective  date of the emergency regulation and (ii) file the proposed regulation with the  Registrar within 180 days of the effective date of the emergency regulation. If  the agency chooses not to adopt the regulations, the emergency status ends when  the prescribed time limit expires.
    STATEMENT
    The  foregoing constitutes a generalized statement of the procedures to be followed.  For specific statutory language, it is suggested that Article 2 (§ 2.2-4006  et seq.) of Chapter 40 of Title 2.2 of the Code of Virginia be examined  carefully.
    CITATION  TO THE VIRGINIA REGISTER
    The Virginia  Register is cited by volume, issue, page number, and date. 23:7 VA.R. 1023-1140  December 11, 2006, refers to Volume 23, Issue 7, pages 1023 through 1140 of  the Virginia Register issued on December 11, 2006.
    The  Virginia Register of Regulations is  published pursuant to Article 6 (§ 2.2-4031 et seq.) of Chapter 40 of Title 2.2  of the Code of Virginia. 
    Members  of the Virginia Code Commission: R.  Steven Landes, Chairman; John S. Edwards, Vice Chairman; Ryan T.  McDougle; Robert Hurt; Robert L. Calhoun; Frank S. Ferguson; E.M.  Miller, Jr.; Thomas M. Moncure, Jr.; James F. Almand; Jane M. Roush.
    Staff  of the Virginia Register: Jane  D. Chaffin, Registrar of Regulations; June T. Chandler, Assistant  Registrar.
         
       
                                                        PUBLICATION SCHEDULE AND DEADLINES
Vol. 26 Iss. 2 - September 28, 2009
September 2009 through July 2010
 
  | Volume: Issue | Material Submitted By Noon* | Will Be Published On | 
 
  | FINAL INDEX Volume 25 |   | October 2009 | 
 
  | 26:2 | September 9, 2009 | September 28, 2009 | 
 
  | 26:3 | September 23, 2009 | October 12, 2009 | 
 
  | 26:4 | October 7, 2009 | October 26, 2009 | 
 
  | 26:5 | October 21, 2009 | November 9, 2009 | 
 
  | 26:6 | November 4, 2009 | November 23, 2009 | 
 
  | 26:7 | November 17, 2009 (Tuesday) | December 7, 2009 | 
 
  | INDEX 1 Volume 26 |   | January 2010 | 
 
  | 26:8 | December 2, 2009 | December 21, 2009 | 
 
  | 26:9 | December 15, 2009 (Tuesday) | January 4, 2010 | 
 
  | 26:10 | December 29, 2009 (Tuesday) | January 18, 2010 | 
 
  | 26:11 | January 13, 2010 | February 1, 2010 | 
 
  | 26:12 | January 27, 2010 | February 15, 2010 | 
 
  | 26:13 | February 10, 2010 | March 1, 2010 | 
 
  | 26:14 | February 24, 2010 | March 15, 2010 | 
 
  | INDEX 2 Volume 26 |   | April 2010 | 
 
  | 26:15 | March 10, 2010 | March 29, 2010 | 
 
  | 26:16 | March 24, 2010 | April 12, 2010 | 
 
  | 26:17 | April 7, 2010 | April 26, 2010 | 
 
  | 26:18 | April 21, 2010 | May 10, 2010 | 
 
  | 26:19 | May 5, 2010 | May 24, 2010 | 
 
  | 26:20 | May 19, 2010 | June 7, 2010 | 
 
  | INDEX 3 Volume 26 |   | July 2010 | 
 
  | 26:21 | June 2, 2010 | June 21, 2010 | 
 
  | 26:22 | June 16, 2010 | July 5, 2010 | 
 
  | 26:23 | June 30, 2010 | July 19, 2010 | 
*Filing deadlines are Wednesdays
unless otherwise specified.
 
   
                                                        PETITIONS FOR RULEMAKING
Vol. 26 Iss. 2 - September 28, 2009
TITLE 18. PROFESSIONAL AND  OCCUPATIONAL LICENSING
    BOARD OF PSYCHOLOGY
    Initial Agency Notice
    Title of Regulation:  18VAC125-20. Regulations Governing the Practice of Psychology.
    Statutory Authority:  § 54.1-2400 of the Code of Virginia.
    Name of Petitioner: Mary E.  Olbrisch, Ph.D.
    Nature of Petitioner's Request:  To amend regulations for a residency to allow residents to count the hours of  experience obtained while securing necessary documentation for the application  and awaiting board approval.
    Agency's Plan for Disposition of  the Request: The board will discuss the petition at its meeting on October 6,  2009, and make a decision on whether to include the issue in its periodic  review or initiate other regulatory action.
    Public comments may be submitted until  October 28, 2009.
    Agency Contact: Evelyn B. Brown,  Executive Director, Board of Psychology, 9960 Mayland Drive, Richmond, VA  23233, telephone (804) 367-4488, FAX (804) 527-4435, or email  evelyn.brown@dhp.virginia.gov.
    VA.R. Doc. No. R10-03; Filed September 4, 2009, 12:08 p.m.
         
       
                                                        
                                                        NOTICES OF INTENDED REGULATORY ACTION
Vol. 26 Iss. 2 - September 28, 2009
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Regulations Governing the Licensure of Radiologic Technologists and Radiologic Technologists-Limited
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of the  Code of Virginia that the Board of Medicine intends to consider amending the  following regulations: 18VAC85-101, Regulations Governing the Licensure of  Radiologic Technologists and Radiologic Technologists-Limited. The purpose  of the proposed action is to promulgate regulations for the licensure and  practice of radiologist assistants pursuant to Chapters 83 and 507 of the 2009  Acts of Assembly.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: §§ 54.1-2400 and 54.1-2956.8:1 of  the Code of Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: William L. Harp, M.D., Executive  Director, Board of Medicine, 9960 Mayland Drive, Suite 300, Richmond, VA 23233,  telephone (804) 367-4621, FAX (804) 527-4429, or email  william.harp@dhp.virginia.gov.
    VA.R. Doc. No. R10-2130; Filed September 2, 2009, 1:20 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Regulations of the Practice of Nursing; 18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30, Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40, Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50, Regulations Governing the Certification of Massage Therapists; 18VAC90-60, Regulations Governing the Registration of Medication Aides
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Nursing intends to consider amending the  following regulations: 18VAC90-20, Regulations of the Practice of Nursing;  18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30,  Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40,  Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50,  Regulations Governing the Certification of Massage Therapists; 18VAC90-60,  Regulations Governing the Registration of Medication Aides. The purpose of  the proposed action is to consider fee increases for all occupations regulated  under the board's authority in order to address projected shortfalls in  revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    VA.R. Doc. No. R10-2131; Filed September 2, 2009, 1:22 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Regulations Governing Certified Nurse Aides
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Nursing intends to consider amending the  following regulations: 18VAC90-20, Regulations of the Practice of Nursing;  18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30,  Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40,  Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50,  Regulations Governing the Certification of Massage Therapists; 18VAC90-60,  Regulations Governing the Registration of Medication Aides. The purpose of  the proposed action is to consider fee increases for all occupations regulated  under the board's authority in order to address projected shortfalls in  revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    VA.R. Doc. No. R10-2131; Filed September 2, 2009, 1:22 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Regulations Governing the Licensure of Nurse Practitioners
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Nursing intends to consider amending the  following regulations: 18VAC90-20, Regulations of the Practice of Nursing;  18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30,  Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40,  Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50,  Regulations Governing the Certification of Massage Therapists; 18VAC90-60,  Regulations Governing the Registration of Medication Aides. The purpose of  the proposed action is to consider fee increases for all occupations regulated  under the board's authority in order to address projected shortfalls in  revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    VA.R. Doc. No. R10-2131; Filed September 2, 2009, 1:22 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Regulations for Prescriptive Authority for Nurse Practitioners
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Nursing intends to consider amending the  following regulations: 18VAC90-20, Regulations of the Practice of Nursing;  18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30,  Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40,  Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50,  Regulations Governing the Certification of Massage Therapists; 18VAC90-60,  Regulations Governing the Registration of Medication Aides. The purpose of  the proposed action is to consider fee increases for all occupations regulated  under the board's authority in order to address projected shortfalls in  revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    VA.R. Doc. No. R10-2131; Filed September 2, 2009, 1:22 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
 Regulations Governing the Certification of Massage Therapists
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Nursing intends to consider amending the  following regulations: 18VAC90-20, Regulations of the Practice of Nursing;  18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30,  Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40,  Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50,  Regulations Governing the Certification of Massage Therapists; 18VAC90-60,  Regulations Governing the Registration of Medication Aides. The purpose of  the proposed action is to consider fee increases for all occupations regulated  under the board's authority in order to address projected shortfalls in  revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    VA.R. Doc. No. R10-2131; Filed September 2, 2009, 1:22 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING 
Regulations Governing the Registration of Medication Aides
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Board of Nursing intends to consider amending the  following regulations: 18VAC90-20, Regulations of the Practice of Nursing;  18VAC90-25, Regulations Governing Certified Nurse Aides; 18VAC90-30,  Regulations Governing the Licensure of Nurse Practitioners; 18VAC90-40,  Regulations for Prescriptive Authority for Nurse Practitioners; 18VAC90-50,  Regulations Governing the Certification of Massage Therapists; 18VAC90-60,  Regulations Governing the Registration of Medication Aides. The purpose of  the proposed action is to consider fee increases for all occupations regulated  under the board's authority in order to address projected shortfalls in  revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    VA.R. Doc. No. R10-2131; Filed September 2, 2009, 1:22 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
Regulations Governing the Practice of Veterinary Medicine
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of the  Code of Virginia that the Board of Veterinary Medicine intends to consider  amending the following regulations: 18VAC150-20, Regulations Governing the  Practice of Veterinary Medicine. The purpose of the proposed action is to  increase fees to address a shortfall in revenue.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Comment Deadline: October 28, 2009.
    Agency Contact: Elizabeth Carter, Executive Director,  Board of Veterinary Medicine, 9960 Mayland Drive, Suite 300, Richmond, VA  23233, telephone (804) 662-4426, FAX (804) 527-4471, or email  elizabeth.carter@dhp.virginia.gov.
    VA.R. Doc. No. R10-2132; Filed September 2, 2009, 1:22 p.m. 
 
                                                        REGULATIONS
Vol. 26 Iss. 2 - September 28, 2009
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
    Title of Regulation: 2VAC5-200. Rules and Regulations  Pertaining to the Disposal of Entire Flocks of Dead Poultry (amending 2VAC5-200-10, 2VAC5-200-20,  2VAC5-200-30, 2VAC5-200-50, 2VAC5-200-60).
    Statutory Authority: § 3.2-6029 of the Code of  Virginia.
    Effective Date: October 29, 2009.
    Agency Contact: Richard D. Saunders, Deputy Director,  Department of Agriculture and Consumer Services, P. O. Box 1163, Richmond, VA  23218, telephone (804) 692-0601, FAX (804) 371-2380, TTY (800) 828-1120, or  email doug.saunders@vdacs.virginia.gov.
    Summary:
    The regulation amends the acceptable methods of carcass  disposal to permit composting or other methods approved by the State  Veterinarian; adds language on provisions governing composting; and amends the  requirement to file disposal plans. The substantive changes proposed by this  action include adding "composting" as a method of disposing of  poultry destroyed to prevent the spread of an infectious or contagious disease;  amending the definitions of "incinerator" and "landfill" to  mirror definitions in the Code of Virginia; removing the definition of  "infectious and contagious disease"; amending the definition of  "person" to remove the terminology "for profit" (as well as  removing this terminology from other locations within the regulation) to  reflect that the regulation applies not only to for-profit operations, but also  to those that are not-for-profit.
    Summary of Public Comments and Agency's Response: A  summary of comments made by the public and the agency's response may be  obtained from the promulgating agency or viewed at the office of the Registrar  of Regulations. 
    2VAC5-200-10. Definitions.
    The following words and terms, when used in this chapter,  shall have the following meaning, unless the context clearly indicates  otherwise:
    "Composting" means the natural [ treatment ]  process in which beneficial microbes reduce dead poultry into a biologically  safe byproduct.
    "Dead poultry" means poultry, exclusive of those  intentionally slaughtered for food, which that die or are  destroyed as a result of a contagious and infectious disease upon any  premises in the state through natural contagion on any premises in this  state and poultry destroyed as the result of a natural or manmade disaster.
    "Department" means the Virginia Department of  Agriculture and Consumer Services.
    "Disposal" means the complete to put dead  poultry into a landfill or disposal pit; the [ treatment and ]  complete destruction of dead poultry in an incinerator or their  proper disposition in a disposal pit, in a landfill, or [ treatment ]  by rendering or composting; or the management of dead poultry by other  methods approved by the State Veterinarian [ and in accordance with  other state laws and regulations ].
    "Disposal pit" means an opening dug in the ground  that [ is permitted in accordance with and ] meets the  Initial Site Screening Criteria for Burial of Dead Poultry, the terms of which  are hereby incorporated by reference and criteria as specified in VR  672-20-10 9VAC20-80 [ ,  ] of the Virginia  [ Department of ] Waste Management [ Environmental  Quality Waste Management Board ], Solid Waste Management  Regulations.
    "Entire flock" means all of the poultry  within one group of poultry that has been designated as a flock for a  period of at least 21 days.
    "Flock" means all of the poultry on one  premises, except that, at the discretion of the department State  Veterinarian, any group of poultry which is segregated from other poultry  and has been so segregated for a period of at least 21 days may be considered  as a separate flock.
    "Incinerator" means a firebox constructed of  masonry or metal in which dead poultry is burned by the use of fuel device  designed for treatment of waste by combustion.
    "Infectious and contagious disease" means avian  influenza and exotic newcastle disease.
    "Landfill" means an engineered land burial  facility for the disposal of solid waste which is so located, designed,  constructed, and operated to contain and isolate the solid waste so that it  does not pose a substantial present or potential hazard to human health or the  environment area permitted by the Department of Environmental Quality  allowing the disposal of dead poultry. 
    "Off-farm disposal site" means any site for the  disposal of dead poultry other than the farm on which the dead poultry died. 
    "Person" means any person, firm, partnership,  corporation, or institution which engages in the raising or keeping of poultry for  profit in this state. 
    "Poultry" means all chickens, ducks, turkeys or  other domestic fowls being raised or kept on any premises in the state for  profit. 
    "Premises" means the entire tract of land,  including but not limited to the buildings thereon, owned, leased or used by  any person for the raising or keeping of poultry for profit. 
    "Raising or keeping of poultry for profit"  means the raising or keeping of 500 or more poultry at one time for the  purpose of sale of such poultry or the eggs produced therefrom. 
    "Rendering" means treating dead poultry according  to the process described in 9 CFR § 381.95(a) 82.1.
    2VAC5-200-20. Applicability.
    This chapter shall govern the disposal of dead birds poultry  by persons who raise or keep poultry for profit or who have entered into a  contract for the raising or keeping of poultry for profit, but only when  the entire flock is to be depopulated or when the entire flock dies. In all  other instances § 3.1-742.1 et seq. involving for profit operations,  Article 2 (§ 3.2-6024 et seq.) of Chapter 60 of Title 3.2 of the Code of  Virginia, Disposal of Dead Poultry, shall govern.
    2VAC5-200-30. Disposal pits, incinerators, landfilling landfills,  or rendering, or composting required of persons raising or  keeping poultry for profit.
    A. It shall be unlawful for any person to engage in the  raising or keeping of poultry for profit on any premises within the Commonwealth  of Virginia, or to enter into a contract involving the raising or keeping of  poultry for profit with any other person, unless the premises upon which  such poultry is to be raised or kept is provided with or unless the person  maintaining the premises whereon the poultry is raised or kept has access to:
    1. A disposal pit;
    2. An incinerator;
    3. A renderer through a bona fide contract for rendering;
    4. A landfill, through a bona fide contract for the disposal  of dead poultry therein.
    5. Composting either on site, in the poultry house, or at  another site approved by the State Veterinarian; or
    6. Any other method approved by the State Veterinarian.
    B. Provisions governing disposal pits. [ Disposal  pits shall be sited and permitted as landfills in accordance with the  requirements of 9VAC20-80, Solid Waste Management Regulations, of the Virginia  Waste Management Board. ] 
    [ 1. If possible, an area away from public view should  be selected.
    2. No person engaged in the raising or keeping of poultry  for profit and no person who has entered into a contract involving the raising  or keeping of poultry for profit with any other person shall construct or use  any pit for the disposal of poultry unless it conforms to the definition of a  disposal pit contained in this chapter. 
    3. Any person engaged in the raising or keeping of poultry  for profit and any person who has entered into a contract involving the raising  or keeping of poultry for profit with any other person shall, before using a  disposal pit, obtain approval for its use as required by state law. ] 
    C. Provisions governing incinerators.
    1. If possible, an area away from public view should be  selected.
    2. No person engaged in the raising or keeping of poultry for  profit and no person who has entered into a contract involving the raising  or keeping of poultry for profit with any other person shall construct  or use an incinerator for the disposal of dead poultry unless it is  constructed of masonry or metal and has the capability to burn within a  time frame approved by the State Veterinarian all poultry raised or kept on the  premises at any time. 
    3. Any person engaged in the raising or keeping of poultry for  profit and any person who has entered into a contract involving the raising  or keeping of poultry for profit with any other person shall, before  using an incinerator on his premises to dispose of birds, obtain approval for  its use as required by state law [ and regulation ].
    D. Provisions governing bona fide rendering contract. No  person engaged in the raising or keeping of poultry for profit and no  person who has entered into a contract involving the raising or keeping of  poultry for profit with any other person shall dispose of dead poultry  through rendering unless he owns a [ rending rendering ]  facility, or unless he has entered into a bona fide contract for the  rendering of such dead poultry, which contract shall be part of the plan for  disposal of dead poultry specified by 2VAC5-200-50 [ of this chapter ].
    E. Provisions governing bona fide contract with a landfill.  No person engaged in the raising or keeping of poultry for profit and no  person who has entered into a contract involving the raising or keeping of  poultry for profit with any other person shall dispose of dead poultry  in a landfill unless he owns a landfill, or unless he has entered into a  bona fide contract for such disposal of dead poultry in a landfill, which  contract shall be part of the plan for the disposal of dead poultry specified  by 2VAC5-200-50 [ of this chapter ].
    F. Provisions governing composting.
    1. If possible, an area from public view should be  selected.
    2. No person engaged in the raising or keeping of poultry  and no person who has entered into a contract involving the raising or keeping  of poultry with any other person shall construct or use any facility for the  composting of dead poultry unless it conforms to best management practices or  acceptable composting guidance as approved by the State Veterinarian.
    3. Any person engaged in the raising or keeping of poultry  and any person who has entered into a contract involving the raising or keeping  of poultry with any other person shall, before composting, obtain approval for  composting as required by state law [ and regulation ].
    2VAC5-200-50. Plans for disposal of dead poultry.
    A. No person shall engage in the raising or keeping of  poultry for profit and no person shall enter into a contract involving  the raising or keeping of poultry for profit with any other person  unless he files with the State Veterinarian a plan, has in his  possession a dead poultry disposal plan embracing [ , ] at  a minimum [ , ] provisions consistent with the requirements of  this chapter for the disposal of an entire flock of dead poultry. The plan  shall be made available upon request of the State Veterinarian or his  representative.
    B. No person may implement the plan or any amendment to it  until it is approved by the State Veterinarian. No person who owns a  flock of less than 500 poultry shall be required to have a plan for the  disposal of dead poultry. In the event a flock of less than 500 poultry needs  to be depopulated or dies, the State Veterinarian, in consultation with the  owner, will determine a method of disposal that complies with disease  prevention protocol [ and , ] is  environmentally sound [ , and is consistent with state law and  regulation ].
    C. Nothing in this section shall prohibit a person from filing  developing a plan on behalf of its contract growers. 
    2VAC5-200-60. Transportation of dead poultry; sanitation.
    A. No person may transport any dead poultry from any premises  to an off-farm disposal site without the prior approval, granted by  permit on a case-by-case basis, by the State Veterinarian or his  representative. 
    B. No person may transport dead poultry from a farm premises  to any off-farm disposal site except in leak-proof containers or leak-proof trucks  transporting vehicles. 
    C. No person may transport dead poultry from a farm premises  to any off-farm disposal site unless the dead poultry is enclosed in the  transporting vehicle so that feathers and other debris will not be released  into the environment. 
    D. No person may transport dead poultry from a farm premises  to an off-farm disposal site unless: 
    1. The containers are disinfected prior to loading on the truck  transporting vehicle and the exterior of the loaded truck transporting  vehicle  [ is ] disinfected prior to leaving the  farm; and 
    2. The entire truck transporting vehicle is  cleaned and disinfected after unloading at the off-farm disposal site and prior  to leaving the off-farm disposal site. 
    FORMS (2VAC5-200) (Repealed.)
    Initial Premises Survey For Burial of Poultry, Form  VDACS-03110. 
    Approval of Dead Poultry Disposal Plan, Form VDACS-03111,  eff. 2/93. 
    VA.R. Doc. No. R08-916; Filed September 8, 2009, 2:36 p.m. 
TITLE 3. ALCOHOLIC BEVERAGES
ALCOHOLIC BEVERAGE CONTROL BOARD
Final Regulation
    Title of Regulation: 3VAC5-70. Other Provisions (adding 3VAC5-70-225).
    Statutory Authority: §§ 4.1-103, 4.1-111, and 4.1-212.1  of the Code of Virginia.
    Effective Date: October 28, 2009.
    Agency Contact: Jeffrey L. Painter, Legislative and  Regulatory Coordinator, Department of Alcoholic Beverage Control, P.O. Box  27491, Richmond, VA 23261, telephone (804) 213-4621, FAX (804) 213-4411, TTY  (804) 213-4687, or email jeffrey.painter@abc.virginia.gov.
    Summary:
    Chapters 99 and 799 of the 2007 Acts of Assembly are  identical enactments, creating a new delivery permit that may be issued by the  Department of Alcoholic Beverage Control to certain alcoholic beverage  manufacturers or retailers. The regulation details the application,  recordkeeping, and reporting requirements for delivery permittees.
    Summary of Public Comments and Agency's Response: A  summary of comments made by the public and the agency's response may be  obtained from the promulgating agency or viewed at the office of the Registrar  of Regulations. 
    3VAC5-70-225. Delivery permits; application process; records  and reports.
    A. Any person or entity qualified for a delivery permit  pursuant to § 4.1-212.1 of the Code of Virginia must apply for such permit  by submitting Form 805-52, Retail License Application. The applicant shall  attach (i) a photocopy of its current license as a winery, farm winery,  brewery, or alcoholic beverage retailer that is authorized to sell wine or beer  at retail for off-premises consumption, issued by the appropriate authority for  the location from which deliveries will be made and (ii) evidence of the  applicant's registration with the Virginia Department of Taxation for the  collection of Virginia retail sales tax.
    B. Delivery permittees shall maintain for two years  complete and accurate records of all deliveries made under the privileges of  such permits, including for each delivery:
    1. Number of containers delivered;
    2. Volume of each container delivered;
    3. Brand of each container delivered;
    4. Names and addresses of recipients;
    5. Signature of recipient; and 
    6. Price charged for the wine or beer delivered.
    The records required by this subsection shall be made  available for inspection and copying by any member of the board or its special  agents upon request.
    C. On or before the 15th day of each month, each delivery  permittee shall file with the Supervisor, Tax Management Section, a report of  activity for the previous calendar month, if any deliveries were made during  the month. Such report shall include the following information for each  delivery:
    1. Number of containers delivered;
    2. Volume of each container delivered;
    3. Brand of each container delivered;
    4. Names and addresses of recipients; and
    5. Price charged for the wine or beer delivered.
    Unless previously paid, payment of the appropriate beer or  wine tax imposed by § 4.1-234 or 4.1-236 of the Code of Virginia shall  accompany each report. If no wine or beer was sold and delivered in any month,  the permittee shall not be required to submit a report for that month; however,  every permittee must submit a report no less frequently than once every 12  months even if no sales or deliveries have been made in the preceding 12  months.
    D. All deliveries by holders of delivery permits shall be  performed by the owner or any agent, officer, director, shareholder, or  employee of the permittee.
    E. No more than four cases of wine nor more than four  cases of beer may be delivered at one time to any person, except that a  permittee may deliver more than four cases of wine or more than four cases of  beer if he notifies the Supervisor, Tax Management Section, in writing at least  one business day in advance of such delivery. Any notice given pursuant to this  section shall include the number of containers to be delivered, the volume of  each container to be delivered, the brand of each container to be delivered,  and the name and address of the intended recipient.
    F. When attempting to deliver wine or beer pursuant to a  delivery permit, an owner, agent, officer, director, shareholder, or employee  of the permittee shall require:
    1. The recipient to demonstrate, upon delivery, that he is  at least 21 years of age; and
    2. The recipient to sign an electronic or paper form or  other acknowledgment of receipt that allows the maintenance of the records  required by this section.
    The owner, agent, officer, director, shareholder, or  employee of the permittee shall refuse delivery when the proposed recipient  appears to be under the age of 21 years and refuses to present valid  identifications. All permittees delivering wine or beer pursuant to this  section shall affix a conspicuous notice in 16-point type or larger to the  outside of each package of wine or beer delivered in the Commonwealth, in a  conspicuous location stating: "CONTAINS ALCOHOLIC BEVERAGES; SIGNATURE OF  PERSON AGED 21 YEARS OR OLDER REQUIRED FOR DELIVERY." Such notice shall  also contain the delivery permit number of the delivering permittee.
        NOTICE: The forms used  in administering the above regulation are not being published; however, the  name of each form is listed below. The forms are available for public  inspection by contacting the agency contact for this regulation, or at the office  of the Registrar of Regulations, General Assembly Building, 2nd Floor,  Richmond, Virginia.
         FORMS (3VAC5-70) 
    Order and Permit for Transportation of Alcohol, #703-69 (eff.  11/87).
    Order and Permit for Transportation of Alcoholic Beverages,  #703-73.
    Mixed Beverage Annual Review-Instructions for Completion,  #805-44 (rev. 11/06).
    Application for Off Premises Keg Permit, #805-45 (eff. 1/93).
    Retail License Application, #805-52 (rev. [ 7/08)  5/09) ].
    Application for Grain Alcohol Permit, #805-75.
    Special Event License Application Addendum-Notice to Special  Event Licenses Applicants, Form SE-1 (rev.08/02).
    Statement of Income & Expenses for Special Event Licenses  (with instructions), Form SE-2 (rev.08/02).
    VA.R. Doc. No. R08-928; Filed September 9, 2009, 12:17 p.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
BOARD OF GAME AND INLAND FISHERIES
Proposed Regulation
        REGISTRAR'S NOTICE: The  Board of Game and Inland Fisheries is exempt from the Administrative Process  Act pursuant to § 2.2-4002 A 3 of the Code of Virginia when promulgating  regulations regarding the management of wildlife. The board is required by § 2.2-4031 of the Code of Virginia to publish all proposed and final wildlife  management regulations, including length of seasons and bag limits allowed on  the wildlife resources within the Commonwealth of Virginia.
         Title of Regulation: 4VAC15-90. Game: Deer (amending 4VAC15-90-85).
    Statutory Authority: §§ 29.1-501 and 29.1-502 of the  Code of Virginia.
    Public Hearing Information:
    October 22, 2009 - 9 a.m. - 4000 West Broad Street,  Richmond, VA
    Public Comment Deadline: October 1, 2009.
    Agency Contact: Phil Smith, Regulatory Coordinator,  Department of Game and Inland Fisheries, 4016 West Broad Street, Richmond, VA  23230, telephone (804) 367-8341 or email phil.smith@dgif.virginia.gov.
    Summary: 
    The proposed amendments designate the term "elk"  specifically as "Rocky Mountain elk" (Cervus elaphus) and prohibit  the hunting of Rocky Mountain elk in Virginia.
    4VAC15-90-85. Hunting elk of either sex prohibited.
    Elk Rocky Mountain elk (Cervus elaphus)  of either sex may not be taken during the general firearms deer  season (as prescribed by 4VAC15-90-10, 4VAC15-90-20, 4VAC15-90-21, and  4VAC15-90-30), during the special archery seasons (as prescribed by  4VAC15-90-70), and during the special muzzleloading seasons (as prescribed by  4VAC15-90-80) with bag limits and checking requirements as prescribed in  4VAC15-90-90, 4VAC15-90-230, and 4VAC15-90-240 in Virginia. 
    VA.R. Doc. No. R10-2138; Filed September 9, 2009, 11:40 a.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
DEPARTMENT OF MINES, MINERALS AND ENERGY 
Forms
        NOTICE: The following  forms have been filed by the Department of Mines, Minerals and Energy. The  forms are available for public inspection at the Department of Mines, Minerals  and Energy, Washington Building, 1100 Bank Street, 8th Floor, Richmond, VA  23219, or at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219. Copies of the forms may be  obtained from David B. Spears, Regulatory Coordinator, Department of Mines,  Minerals and Energy, Washington Building, 1100 Bank Street, 8th Floor,  Richmond, VA 23219, telephone (804) 692-3212, or email  david.spears@dmme.virginia.gov, or at the Big Stone Gap office, 3405 Mountain  Empire Road, Big Stone Gap, VA 24219.
         Title of Regulation: 4VAC25-130. Coal Surface Mining  Reclamation Regulations.
    FORMS (4VAC25-130) 
    Anniversary Report Form, DMLR-PT-028 (rev. 3/09).
    Ground Water Monitoring Report, DMLR-PT-101 (rev. 11/99).
    Application for Exemption Determination (Extraction of Coal  Incidental to the Extraction Of Other Minerals), DMLR-211 (rev. 3/09).
    Consent for Right of Entry-Exploratory, DMLR-AML-122 (rev.  3/98).
    Consent for Right of Entry-Construction, DMLR-AML-123 (rev.  3/98).
    License for Performance-Acid Mine Drainage Investigations and  Monitoring (Abandoned Mine Land Program), DMLR-AML-175c (11/96).
    License for Performance-Acid Mine Drainage Reclamation and  Construction (Abandoned Mine Land Program), DMLR-AML-176c (rev. 12/96).
    Consent for Right of Entry-Ingress/Egress, DMLR-AML-177 (rev.  3/98).
    Application for Recertification: DMLR Endorsement/Blaster's  Certification, DMLR-BCME-03 (rev. 3/09).
    Application for DMLR Endorsement: Blaster's Certification  (Coal Surface Mining Operation), DMLR-BCME-04 (rev. 3/09).
    Geology and Hydrology Information Part A through E,  DMLR-CP-186 (rev. 3/86).
    Notice of Temporary Cessation, DMLR-ENF-220 (rev. 3/09).
    Lands Unsuitable Petition, DMLR-OA-131 (rev. 12/85).
    Chapter 19-Statement for Third Party-Certificate of Deposit,  DMLR-PS-093 (rev. 12/85).
    Application for Performance Bond Release, DMLR-PT-212 (rev.  3/09)
    Example-Waiver (300 Feet from Dwelling), DMLR-PT-223 (rev.  2/96).
    Analysis, Premining vs Postmining Productivity Comparison  (Hayland/Pasture Land Use), DMLR-PT-012 (rev. 3/09).
    Surety Bond, DMLR-PT-013 (rev. 8/07).
    Surety Bond-Federal Lands, DMLR-PT-013A (rev. 3/09).
    Surety Bond Rider, DMLR-PT-013B (rev. 8/07).
    Map Legend, DMLR-PT-017 (rev. 3/09).
    Certificate of Deposit, DMLR-PT-026 (rev. 8/07).
    Form Letter From Banks Issuing a CD as Performance Bond for  Mining on Federal Lands, DMLR-PT-026A (rev. 8/07).
    Operator's Seeding Report, DMLR-PT-011 (rev. 3/09). 
    Request for Relinquishment, DMLR-PT-027 (rev. 3/09 6/09).
    Water Supply Inventory List, DMLR-PT-030 (rev. 3/09).
    Application for Permit for Coal Surface Mining and  Reclamation Operations and National Pollutant Discharge Elimination System  (NPDES), DMLR-PT-034 (rev. 2/99).
    Request for DMLR Permit Data, DMLR-PT-034info (eff. 11/07).
    Certification - Application for Permit: Coal Surface Mining  and Reclamation Operations, DMLR-PT-034D (rev. 3/09).
    Coal Exploration Notice, DMLR-PT-051 (rev. 3/09).
    Well Construction Data Sheet, DMLR-WCD-034D (rev. 5/04).
    Sediment Basin Design Data Sheet, DMLR-PT-086 (rev. 3/09).
    Impoundment Construction and Annual Certification,  DMLR-PT-092 (rev. 3/09).
    Road Construction Certification, DMLR-PT-098 (rev. 3/09).
    Ground Water Monitoring Report, DMLR-PT-101 (rev. 3/09).
    Rainfall Monitoring Report, DMLR-PT-102 (rev. 8/98).
    Pre-Blast Survey, DMLR-PT-104 (rev. 3/09).
    Excess Spoil Fills and Refuse Embankments Construction  Certification, DMLR-PT-105 (rev. 3/09).
    Stage-Area Storage Computations, DMLR-PT-111 (rev. 3/09).
    Discharge Monitoring Report, DMLR-PT-119 (rev. 3/09).
    Water Monitoring Report-Electronic File/Printout  Certification, DMLR-PT-119C (rev. 3/09).
    Coal Surface Mining Reclamation Fund Application, DMLR-PT-162  (rev. 3/09).
    Conditions-Coal Surface Mining Reclamation Fund, DMLR-PT-167  (rev. 3/09).
    Coal Surface Mining Reclamation Fund Tax Reporting Form,  DMLR-PT-178 (rev. 3/09).
    Surface Water Monitoring Report, DMLR-PT-210 (rev. 3/09).
    Application For Performance Bond Release, DMLR-PT-212 (rev.  3/09).
    Public Notice: Application for Transfer, Assignment, or Sale  of Permit Rights under Chapter 19 of Title 45.1 of the Code of Virginia,  DMLR-PT-219 (rev. 3/09).
    Public Notice: Application for Bond Reduction Under Chapter  19 of Title 45.1 of the Code of Virginia, Phase I, DMLR-PT-225 (rev. 3/09).
    Public Notice: Application for Bond Reduction Under Chapter  19 of Title 45.1 of the Code of Virginia, Phase II, DMLR-PT-226 (rev. 3/09).
    Public Notice: Application for Bond Reduction Under Chapter  19 of Title 45.1 of the Code of Virginia, Phase III, DMLR-PT-227 (rev. 3/09).
    Public Notice: Application for Bond Reduction Under Chapter  19 of Title 45.1 of the Code of Virginia, Incremental Bond Reduction,  DMLR-PT-228 (rev. 3/09 8/09).
    Verification of Public Display of Application, DMLR-PT-236  (8/01).
    Affidavit (Permit Application Information: Ownership and  Control Information and Violation History Information), DMLR-PT-240 (rev.  3/09).
    Stream Channel Diversion(s) Certification, DMLR-PT-233 (rev.  3/09).
    Quarterly Acid-Base Monitoring Report, DMLR-PT-239 (rev.  3/09).
    Affidavit (No Legal Change in a Company's Identity),  DMLR-PT-250 (rev. 3/09).
    Affidavit (Reclamation Fee Payment), DMLR-PT-244 (rev. 3/09).
    Application-National Pollutant Discharge Elimination System  (NPDES) Permit-Short Form C, DMLR-PT-128 (rev. 3/09).
    National Pollutant Discharge Elimination System (NPDES)  Application Instructions, DMLR-PT-128A (rev. 3/09).
    Impoundment Inspection Report, DMLR-PT-251 (rev. 3/09).
    Surface Water Baseline Data Summary, DMLR-TS-114 (rev. 4/82).
    Diversion Design Computation Sheet, DMLR-TS-120 (rev. 12/85).
    Sediment Channel Design Data Sheet, DMLR-TS-127 (rev. 12/85).
    Virginia Stream Survey, DMLR-TS-217 (rev. 1/87).
    Line Transect-Forest Land Count, DMLR-PT-224 (rev. 3/09).
    Applicant Violator System (AVS) Ownership & Control  Information, DMLR-AML-003 (rev. 4/97).
    Application for Coal Exploration Permit and National  Pollutant Discharge Elimination System Permit, DMLR-PT-062 (formerly  DMLR-PS-062) (rev. 3/09).
    Application-National Pollutant Discharge Elimination System  Application Instructions, DMLR-PT-128 (rev. 9/97).
    Written Findings, DMLR-PT-237 (rev. 1/98).
    Irrevocable Standby Letter of Credit, DMLR-PT-255 (rev.  8/07).
    Confirmation of Irrevocable Standby Letter of Credit,  DMLR-PT-255A (eff. 8/03).
    Affidavit DMLR-AML-312 (eff. 7/98).
    Indemnity Agreement - Self Bond, DMLR-PT-221 (eff. 12/07).
    Permittee Consent to Service by Electronic Mail, DMLR-PT-265  (rev. 3/09).
         
          
    
    VA.R. Doc. No. R09-2129; Filed September 2, 2009, 11:44 a.m. 
TITLE 5. CORPORATIONS
STATE CORPORATION COMMISSION, CLERK'S OFFICE
Forms
        NOTICE: The following  forms have been filed by the State Corporation Commission. The forms are  available for public inspection at the State Corporation Commission, Clerk's  Office, Tyler Building, 1300 East Main Street, 1st Floor, Richmond, Virginia,  or at the Office of the Registrar of Regulations, General Assembly Building,  2nd Floor, Richmond, Virginia 23219. Copies of the forms may be obtained from  Robert Lindsey, Assistant Deputy Clerk, Clerk's Office, State Corporation  Commission, telephone (804) 371-9424, email robert.lindsey@scc.virginia.gov.
         Title of Regulation: 5VAC5-30. Uniform Commercial  Code Filing Rules.
    FORMS (5VAC5-30)
    UCC Financing Statement, Form UCC1, (rev. 5/02).
    UCC Financing Statement Addendum, Form UCC1Ad, (rev. 5/02  5/09).
    UCC Financing Statement Additional Party, Form UCC1AP, (rev.  5/02).
    UCC Financing Statement Amendment, Form UCC3, (rev. 5/02).
    UCC Financing Statement Amendment Addendum, Form UCC3Ad,  (rev. 7/98).
    UCC Financing Statement Amendment Additional Party, Form  UCC3AP, (rev. 5/02).
    Correction Statement of Claim, Form UCC5, (rev.  5/04 5/09).
    National Information Request, Form UCC11, (rev. 5/01).
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
     
         
      VA.R. Doc. No. R10-2133; Filed September 8, 2009, 1:21 p.m. 
TITLE 12. HEALTH
STATE BOARD OF HEALTH
Final Regulation
        REGISTRAR'S NOTICE: The  State Board of Health is claiming an exemption from the Administrative Process  Act in accordance with § 2.2-4006 A 4 a of the Code of Virginia, which excludes  regulations that are necessary to conform to changes in Virginia statutory law  where no agency discretion is involved. The State Board of Health will receive,  consider, and respond to petitions from any interested person at any time with  respect to reconsideration or revision.
         Title of Regulation: 12VAC5-220. Virginia Medical  Care Facilities Certificate of Public Need Rules and Regulations (amending 12VAC5-220-110, 12VAC5-220-200).
    Statutory Authority: §§ 32.1-12 and 32.1-102.2 of the  Code of Virginia.
    Effective Date: November 1,  2009. 
    Agency Contact: Carrie Eddie, Policy Analyst, Department  of Health, 3600 West Broad Street, Richmond, VA 23230, telephone (804)  367-2157, or email carrie.eddy@vdh.virginia.gov.
    Summary:
    The amendments increase the capital expenditure threshold  for projects requiring a certificate of public need as required by § 32.1-102.1  of the Code of Virginia. Section 32.1-202.1 requires annual revision of this  amount to reflect inflation. Using the Consumer Price Index recently published  by the U.S. Department of Labor, the amendments increase this amount  $15,615,000 to $16,083,450. 
    12VAC5-220-110. Requirements for registration of certain  capital expenditures.
    At least 30 days before any person contracts to make or is  otherwise legally obligated to make a capital expenditure by or on behalf of a  medical care facility that is $5 million or more but is less than $15,615,000  $16,083,450 and has not been previously authorized by the commissioner,  the owner of any medical care facility as defined in this chapter shall  register in writing such expenditure with the commissioner. The format for  registration shall include information concerning the purpose of such  expenditure and projected impact that the expenditure will have upon the  charges for services. For purposes of registration, the owner shall include any  person making the affected capital expenditure. See definition of  "project." 
    12VAC5-220-200. One hundred ninety-day review cycle.
    The department shall review the following groups of completed  applications in accordance with the following 190-day scheduled review cycles  and the following descriptions of projects within each group, except as  provided for in 12VAC5-220-220.
         
                 | BATCH GROUP | GENERAL DESCRIPTION | REVIEW CYCLE | 
       | Begins | Ends | 
       | A | General Hospitals/Obstetrical Services/Neonatal Special Care    Services | Feb. 10Aug. 10
 | Aug. 18Feb. 16
 | 
       | B | Open Heart Surgery/Cardiac Catheterization/Ambulatory    Surgery Centers/Operating Room Additions/Transplant Services | Mar. 10Sep. 10
 | Sep. 16Mar. 19
 | 
       | C | Psychiatric Facilities/Substance Abuse Treatment/Mental    Retardation Facilities | Apr. 10Oct. 10
 | Oct. 17Apr. 18
 | 
       | D/F | Diagnostic Imaging Facilities/ServicesSelected Therapeutic Facilities/Services
 | May 10Nov. 10
 | Nov. 16May 19
 | 
       | E | Medical Rehabilitation Beds/Services | June 10Dec. 10
 | Dec. 17Jun. 18
 | 
       | D/F | Selected Therapeutic Facilities/ServicesDiagnostic Imaging Facilities/Services
 | July 10Jan. 10
 | Jan. 16Jul. 18
 | 
       | G | Nursing Home Beds at Retirement Communities/Bed    Relocations/Miscellaneous Expenditures by Nursing Homes | Jan. 10Mar. 10
 May 10
 July 10
 Sep. 10
 Nov. 10
 | Jul. 18Sep. 16
 Nov. 16
 Jan. 16
 Mar. 19
 May 19
 | 
  
         
          Batch Group A includes: 
    1. The establishment of a general hospital. 
    2. An increase in the total number of general acute care beds  in an existing or authorized general hospital. 
    3. The relocation at the same site of 10 general hospital beds  or 10% of the general hospital beds of a medical care facility, whichever is  less, from one existing physical facility to another in any two-year period if  such relocation involves a capital expenditure of $15,615,000 $16,083,450  or more (see 12VAC5-220-280). 
    4. The introduction into an existing medical care facility of  any new neonatal special care or obstetrical services that the facility has not  provided in the previous 12 months. 
    5. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category included in Batch Groups B through  G, by or in behalf of a general hospital. 
    Batch Group B includes: 
    1. The establishment of a specialized center, clinic, or  portion of a physician's office developed for the provision of outpatient or  ambulatory surgery or cardiac catheterization services. 
    2. An increase in the total number of operating rooms in an  existing medical care facility or establishment of operating rooms in a new  facility. 
    3. The introduction into an existing medical care facility of  any new cardiac catheterization, open heart surgery, or organ or tissue  transplant services that the facility has not provided in the previous 12  months. 
    4. The addition by an existing medical care facility of any  medical equipment for the provision of cardiac catheterization. 
    5. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Group A or Batch Groups C  through G, by or in behalf of a specialized center, clinic, or portion of a  physician's office developed for the provision of outpatient or ambulatory  surgery or cardiac catheterization services. 
    6. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Group A or Batch Groups C  through G, by or in behalf of a medical care facility, that is primarily  related to the provision of surgery, cardiac catheterization, open heart  surgery, or organ or tissue transplant services. 
    Batch Group C includes: 
    1. The establishment of a mental hospital, psychiatric  hospital, intermediate care facility established primarily for the medical,  psychiatric or psychological treatment and rehabilitation of alcoholics or drug  addicts, or mental retardation facility. 
    2. An increase in the total number of beds in an existing or  authorized mental hospital, psychiatric hospital, intermediate care facility  established primarily for the medical, psychiatric or psychological treatment  and rehabilitation of alcoholics or drug addicts, or mental retardation  facility. 
    3. An increase in the total number of mental hospital,  psychiatric hospital, substance abuse treatment and rehabilitation, or mental  retardation beds in an existing or authorized medical care facility which is  not a dedicated mental hospital, psychiatric hospital, intermediate care  facility established primarily for the medical, psychiatric or psychological  treatment and rehabilitation of alcoholics or drug addicts, or mental  retardation facility. 
    4. The relocation at the same site of 10 mental hospital,  psychiatric hospital, substance abuse treatment and rehabilitation, or mental  retardation beds or 10% of the mental hospital, psychiatric hospital, substance  abuse treatment and rehabilitation, or mental retardation beds of a medical  care facility, whichever is less, from one existing physical facility to  another in any two-year period if such relocation involves a capital  expenditure of $15,615,000 $16,083,450 or more (see 12VAC5-220-280).
    5. The introduction into an existing medical care facility of  any new psychiatric or substance abuse treatment service that the facility has  not provided in the previous 12 months. 
    6. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A and B or Batch  Groups D/F through G, by or in behalf of a mental hospital, psychiatric  hospital, intermediate care facility established primarily for the medical,  psychiatric or psychological treatment and rehabilitation of alcoholics or drug  addicts, or mental retardation facilities. 
    7. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A through B or Batch  Groups D/F through G, by or in behalf of a medical care facility, which is  primarily related to the provision of mental health, psychiatric, substance  abuse treatment or rehabilitation, or mental retardation services. 
    Batch Group D/F includes: 
    1. The establishment of a specialized center, clinic, or that  portion of a physician's office developed for the provision of computed  tomographic (CT) scanning, magnetic resonance imaging (MRI), magnetic source  imaging (MSI), positron emission tomographic (PET) scanning, or nuclear  medicine imaging, except for the purpose of nuclear cardiac imaging. 
    2. The introduction into an existing medical care facility of  any new computed tomography (CT), magnetic resonance imaging (MRI), magnetic  source imaging (MSI), positron emission tomographic (PET) scanning, or nuclear  medicine imaging services, except for the purpose of nuclear cardiac imaging  that the facility has not provided in the previous 12 months. 
    3. The addition by an existing medical care facility of any  equipment for the provision of computed tomography (CT), magnetic resonance  imaging (MRI), magnetic source imaging (MSI), positron emission tomographic  (PET) scanning. 
    4. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A B, C, E, and G, by  or in behalf of a specialized center, clinic, or that portion of a physician's  office developed for the provision of computed tomographic (CT) scanning,  magnetic resonance imaging (MRI), magnetic source imaging (MSI), positron  emission tomographic (PET) scanning, or nuclear medicine imaging, except that  portion of a physician's office dedicated to providing nuclear cardiac imaging.  
    5. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A B, C, E, and G, by  or in behalf of a medical care facility, which is primarily related to the  provision of computed tomographic (CT) scanning, magnetic resonance imaging  (MRI), magnetic source imaging (MSI), positron emission tomographic (PET)  scanning, or nuclear medicine imaging, except for the purpose of nuclear  cardiac imaging. 
    Batch Group E includes: 
    1. The establishment of a medical rehabilitation hospital. 
    2. An increase in the total number of beds in an existing or  authorized medical rehabilitation hospital. 
    3. An increase in the total number of medical rehabilitation  beds in an existing or authorized medical care facility that is not a dedicated  medical rehabilitation hospital. 
    4. The relocation at the same site of 10 medical  rehabilitation beds or 10% of the medical rehabilitation beds of a medical care  facility, whichever is less, from one existing physical facility to another in  any two-year period, if such relocation involves a capital expenditure of $15,615,000  $16,083,450 or more (see 12VAC220-280). 
    5. The introduction into an existing medical care facility of  any new medical rehabilitation service that the facility has not provided in  the previous 12 months.
    6. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A B, C, D/F, and G,  by or in behalf of a medical rehabilitation hospital.
    7. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A B, C, D/F, and G,  by or in behalf of a medical care facility, that is primarily related to the  provision of medical rehabilitation services.
    Batch Group D/F includes: 
    1. The establishment of a specialized center, clinic, or that  portion of a physician's office developed for the provision of gamma knife  surgery, lithotripsy, or radiation therapy. 
    2. Introduction into an existing medical care facility of any  new gamma knife surgery, lithotripsy, or radiation therapy services that the  facility has not provided in the previous 12 months. 
    3. The addition by an existing medical care facility of any medical  equipment for the provision of gamma knife surgery, lithotripsy, or radiation  therapy. 
    4. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project in Batch Groups A B, C, E, and G, by or in  behalf of a specialized center, clinic, or that portion of a physician's office  developed for the provision of gamma knife surgery, lithotripsy, or radiation  therapy. 
    5. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project in Batch Groups A B, C, E, and G, by or in  behalf of a medical care facility, which is primarily related to the provision  of gamma knife surgery, lithotripsy, or radiation therapy.
    Batch Group G includes: 
    1. The establishment of a nursing home, intermediate care  facility, or extended care facility of a continuing care retirement community  by a continuing care provider registered with the State Corporation Commission  pursuant to Chapter 49 (§ 38.2-4900 et seq.) of Title 38.2 of the Code of  Virginia. 
    2. The establishment of a nursing home, intermediate care  facility, or extended care facility that does not involve an increase in the  number of nursing home facility beds within a planning district. 
    3. An increase in the total number of beds in an existing or  authorized nursing home, intermediate care facility, or extended care facility  of a continuing care retirement community by a continuing care provider  registered with the State Corporation Commission pursuant to Chapter 49 (§ 38.2-4900 et seq.) of Title 38.2 of the Code of Virginia. 
    4. An increase in the total number of beds in an existing or  authorized nursing home, intermediate care facility, or extended care facility  that does not involve an increase in the number of nursing home facility beds  within a planning district. 
    5. The relocation at the same site of 10 nursing home,  intermediate care facility, or extended care facility beds or 10% of the  nursing home, intermediate care facility, or extended care facility beds of a  medical care facility, whichever is less, from one physical facility to another  in any two-year period, if such relocation involves a capital expenditure of $15,615,000  $16,083,450 or more (see 12VAC5-220-280). 
    6. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A through D/F, by or  in behalf of a nursing home, intermediate care facility, or extended care  facility, which does not increase the total number of beds of the facility. 
    7. Any capital expenditure of $15,615,000 $16,083,450  or more, not defined as a project category in Batch Groups A through D/F, by or  in behalf of a medical care facility, that is primarily related to the  provision of nursing home, intermediate care, or extended care services, and  does not increase the number of beds of the facility. 
    VA.R. Doc. No. R10-1948; Filed September 1, 2009, 2:13 p.m. 
TITLE 12. HEALTH
STATE BOARD OF HEALTH
Final Regulation
        REGISTRAR'S NOTICE: The  State Board of Health is claiming an exemption from the Administrative Process  Act in accordance with (i) § 2.2-4006 A 3 of the Code of Virginia, which  excludes regulations that consist only of changes in style or form or  corrections of technical errors and (ii) § 2.2-4006 A 4 a of the Code of  Virginia, which excludes regulations that are necessary to conform to changes  in Virginia statutory law where no agency discretion is involved. The State  Board of Health will receive, consider, and respond to petitions by any  interested person at any time with respect to reconsideration or revision.
         Title of Regulation:  12VAC5-220. Virginia Medical Care Facilities Certificate of Public Need Rules  and Regulations (amending 12VAC5-220-90, 12VAC5-220-105,  12VAC5-220-160, 12VAC5-220-180, 12VAC5-220-210, 12VAC5-220-280, 12VAC5-220-335,  12VAC5-220-345, 12VAC5-220-355, 12VAC5-220-375).
    Statutory Authority: §§ 32.1-12 and 32.1-102.2 of  the Code of Virginia.
    Effective Date: November 1, 2009.
    Agency Contact: Carrie Eddie, Policy Analyst, Department  of Health, 3600 West Broad Street, Richmond, VA 23230, telephone (804)  367-2157, or email carrie.eddy@vdh.virginia.gov.
    Summary:
    The amendments conform the regulations to Chapter 175 of  the 2009 Acts of Assembly, which comprehensively amended Article 1.1  (§ 32.1-102.1 et seq.) of Chapter 4 of Title 32.1 of the Code of Virginia  related to the Certificate of Public Need (COPN) program.  The amendments  (i) replace the 21 considerations used in making a determination of need with  eight modified and abbreviated considerations; (ii) add beds for psychiatric or  substance abuse treatment services and the establishment of new psychiatric or  substance abuse treatment services to the Request for Applications (RFA)  process currently used for distributing nursing facility beds; (iii) extend the  expedited review process to certain capital expenditure projects; and (iv)  modify the requirements of the annual report. In addition, a technical  correction to 12VAC5-220-105 corrects a misquoted statutory citation.
    12VAC5-220-90. Annual report. 
    The Pursuant to § 32.1-102.12 of the Code of  Virginia, the commissioner shall annually report to the Governor and the  General Assembly on the status of Virginia's certificate of public need  program. The report shall be issued by October 1 of each year and shall  include, but need not be limited to: 
    1. A summary of the commissioner's actions during the  previous fiscal year pursuant to Virginia's certificate of public need law; 
    2. A five-year schedule for analysis of all project  categories, which provides for the analysis of at least three project  categories per year; 
    3. An analysis of the appropriateness of continuing the  certificate of public need program for at least three project categories in  accordance with the five-year schedule for analysis of all project categories; 
    4. An analysis of the effectiveness of the application  review procedures used by the regional health planning agencies and the  department required by § 32.1-102.6 of the Code of Virginia that details the  review time required during the past year for various project categories, the  number of contested or opposed applications and the project categories of these  contested or opposed projects, the number of applications upon which the  regional health planning agencies have failed to act in accordance with the  timelines of § 32.1-102.6 B, and the number of deemed approvals from the  department because of their failure to comply with the timelines required by § 32.1-102.6 E, and any other data determined by the commissioner to be relevant  to the efficient operation of the program; 
    5. An analysis of health care market reform in the  Commonwealth and the extent, if any, to which such reform obviates the need for  the certificate of public need program; 
    6. An analysis of the accessibility by the indigent to care  provided by medical care facilities regulated pursuant to Virginia's  certificate of public need law; 
    7. An analysis of the relevance of Virginia's certificate  of public need law to the quality of care provided by medical care facilities  regulated pursuant to this law; and 
    8. An analysis of equipment registrations required pursuant  to § 32.1-102.1:1, including type of equipment, whether an addition or  replacement, and the equipment costs. 
    12VAC5-220-105. Requirements for registration of the  replacement of existing medical equipment. 
    Within 30 days of any person contracting to make, or  otherwise legally obligating to make, a capital expenditure for the replacement  of medical equipment or otherwise acquiring replacement medical equipment for  the provision of services listed in subdivision 7 of the definition of  "project" in 12VAC5-220-10, the person shall register in writing such  equipment replacement with the commissioner and the appropriate regional health  planning agency. Such registration shall be made on forms provided by the  department. The registration shall identify the specific unit of equipment to  be replaced and the estimated capital cost of the replacement and shall include  documentation that the equipment to be replaced has previously been authorized through  issuance of a certificate of public need, registered pursuant to former §  32.1-102.3:4 of the Code of Virginia or exempted pursuant to § 32.1-102.11 of the Code of Virginia as allowed by law. 
    Part IV 
  Determination of Public Need (Required Considerations) 
    12VAC5-220-160. Required considerations. 
    In determining whether a public need exists for a proposed  project, the following factors shall be taken into account when applicable:  the applicable requirements of § 32.1-102.2:1 of the Code of Virginia  will be considered.
    1. The recommendation and the reasons therefor of the  appropriate regional health planning agency. 
    2. The relationship of the project to the applicable health  plans of the regional health planning agency and the Board of Health. 
    3. The relationship of the project to the long-range  development plan, if any, of the person applying for a certificate. 
    4. The need that the population served or to be served by  the project has for the project, including, but not limited to, the needs of  rural populations in areas having distinct and unique geographic,  socioeconomic, cultural, transportation, and other barriers to access to care. 
    5. The extent to which the project will be accessible to  all residents of the area proposed to be served and the effects on  accessibility of any proposed relocation of an existing service or facility. 
    6. The area, population, topography, highway facilities and  availability of the services to be provided by the project in the particular part  of the health planning region in which the project is proposed, in particular,  the distinct and unique geographic, socioeconomic, cultural, transportation,  and other barriers to access to care. 
    7. Less costly or more effective alternate methods of reasonably  meeting identified health service needs. 
    8. The immediate and long-term financial feasibility of the  project. 
    9. The relationship of the project to the existing health  care system of the area in which the project is proposed; however, for projects  proposed in rural areas, the relationship of the project to the existing health  care services in the specific rural locality shall be considered. 
    10. The availability of resources for the project. 
    11. The organizational relationship of the project to necessary  ancillary and support services. 
    12. The relationship of the project to the clinical needs  of health professional training programs in the area in which the project is  proposed. 
    13. The special needs and circumstances of an applicant for  a certificate, such as a medical school, hospital, multidisciplinary clinic,  specialty center or regional health service provider, if a substantial portion  of the applicant's services or resources or both is provided to individuals not  residing in the health planning region in which the project is to be located. 
    14. The need and the availability in the health planning  region for osteopathic and allopathic services and facilities and the impact on  existing and proposed institutional training programs for doctors of osteopathy  and medicine at the student, internship, and residency training levels. 
    15. The special needs and circumstances of health  maintenance organizations. When considering the special needs and circumstances  of health maintenance organizations, the commissioner may grant a certificate  for a project if the commissioner finds that the project is needed by the  enrolled or reasonably anticipated new members of the health maintenance  organizations or the beds or services to be provided are not available from  providers which are not health maintenance organizations or from other health  maintenance organizations in a reasonable and cost effective manner. 
    16. The special needs and circumstances for biomedical and  behavioral research projects which are designed to meet a national need and for  which local conditions offer special advantages. 
    17. The costs and benefits of the construction associated  with the proposed project. 
    18. The probable impact of the project on the costs of and  charges for providing health services by the applicant for a certificate and on  the costs and charges to the public for providing health services by other  persons in the area. 
    19. Improvements or innovations in the financing and  delivery of health services which foster competition and serve to promote  quality assurance and cost effectiveness. 
    20. In the case of health services or facilities proposed  to be provided, the efficiency and appropriateness of the use of existing  services and facilities in the area similar to those proposed, including, in  the case of rural localities, any distinct and unique geographic,  socioeconomic, cultural, transportation, and other barriers to access to care. 
    21. In the case of proposed health services or facilities,  the extent to which a proposed service or facility will increase citizen  accessibility, demonstrate documented community support, and introduce  institutional competition into a health planning region.
    12VAC5-220-180. Application forms. 
    A. Letter of intent. An applicant shall file a letter of  intent with the commissioner to request appropriate application forms, and  submit a copy of that letter to the appropriate regional health planning  agency, by the later of (i) 30 days prior to the submission of an application  for a project included within a particular batch group or (ii) 10 days after  the first letter of intent is filed for a project within a particular batch  group for the same or similar services and facilities which are proposed for  the same planning district or medical service area. The letter shall identify  the owner, the type of project for which an application is requested, and the  proposed scope (size) and location of the proposed project. The department  shall transmit application forms to the applicant within seven days of the receipt  of the letter of intent. A letter of intent filed with the department shall be  considered void one year after the date of receipt of such letter. (See  12VAC5-220-310 C.) 
    B. Application fees. The department shall collect application  fees for applications that request a certificate of public need. The fee  required for an application shall be 1.0% of the proposed expenditure for the  project, but not less than $1,000 and no more than $20,000. 
    No application will be deemed to be complete for review until  the required application fee is paid. (See 12VAC5-220-310 C.) 
    C. Filing application forms. Applications must be submitted  at least 40 days prior to the first day of a scheduled review cycle to be  considered for review in the same cycle. All applications including the  required data and information shall be prepared in triplicate; two copies to be  submitted to the department; one copy to be submitted to the appropriate  regional health planning agency. In order to verify the date of the  department's and the appropriate regional health planning agency's receipt of  the application, the applicant shall transmit the document electronically,  or prepare in triplicate two copies to be submitted to the department and one  copy to be submitted to the appropriate regional health planning agency and  sent by certified mail or a delivery service, return receipt requested, or shall  deliver the document by hand, with a signed receipt to be provided. No  application shall be deemed to have been submitted until required copies have  been received by the department and the appropriate regional health planning  agency. (See 12VAC5-220-200.) 
    12VAC5-220-210. Requests for application (RFA). 
    The commissioner may request the submission of applications  for his consideration which address a specific need for services and facilities  as identified in the State Medical Facilities Plan. The department shall give  notice of such RFA in a newspaper of general circulation in the locality or the  planning district where the specific services or facility is requested. Such  notice shall be published at least 120 days prior to the first day of the  appropriate review cycle for the type of project being requested. A written  copy of an RFA shall also be available upon request from the department and the  regional health planning agency in the appropriate geographic area. The process  for adoption of an RFA by the commissioner for projects other than nursing  home bed projects (see 12VAC5-220-325) shall be set forth in the State Medical  Facilities Plan listed in § 32.1-102.3:2 A, B, and C of the Code of  Virginia are set forth in 12VAC5-220-335.
    Part VI 
  Expedited Review Process 
    12VAC5-220-280. Applicability. 
    Projects of medical care facilities Capital  expenditures as contained in subdivision 8 of "project" as defined in  § 32.1-102.1 of the Code of Virginia or projects that involve  relocation at the same site of 10 beds or 10% of the beds, whichever is less,  from one existing physical facility to another, when the cost of such  relocation is less than $5 million, shall be subject to an expedited review  process. 
    12VAC5-220-335. Request for Applications (RFA). 
    A. Frequency. The Pursuant to § 32.1-102.3:2 A, B,  and C of the Code of Virginia, the commissioner shall periodically issue,  in consultation and cooperation with the Department of Medical Assistance  Services, a Request for Applications (RFA) from project applicants  proposing projects which would result in an increase in the number of beds in  which nursing facility or extended care services are provided. An RFA shall  be issued at least annually. (See 12VAC5-220-325) 
    B. Issuance. At least 60 days prior to the issuance of a  RFA, the board shall publish the proposed RFA in the Virginia Register for  public comment together with an explanation of (i) the regulatory basis for the  planning district bed needs set forth in the proposed RFA and (ii) the  rationale for the RFA's planning district designations. Any person objecting to  the contents of the proposed RFA may notify, within 14 days of the publication,  the board and the commissioner of his objection and the objection's regulatory  basis. The commissioner shall prepare, and deliver by registered mail, a  written response to each such objection within two weeks of the date of  receiving the objection. The objector may file a rebuttal to the commissioner's  response in writing within five days of receiving the commissioner's response.  If objections are received, the board shall, after considering the provisions  of the RFA, any objections, the commissioner's responses, and if filed, any  written rebuttals of the commissioner's responses, hold a public hearing to  receive comments on the specific RFA. Prior to making a decision on the RFA,  the commissioner shall consider any recommendations made by the board. 
    C. Content. A RFA from project applicants proposing  projects which would result in an increase in the number of beds in which  nursing facility or extended care services are provided shall be based on  analyses of the need for increases in the nursing home bed supply in each  of Virginia's planning districts in accordance with the applicable  standards included in the State Medical Facilities Plan. Such RFAs shall also  include a schedule for the review of applications submitted in response to the  RFA which allows for at least 120 days between the day on which the RFA is  issued and the first day of the review cycle for such applications. 
    12VAC5-220-345. Limitation on acceptance of nursing home bed  RFA applications. 
    Applications for projects which would result in an  increase in the number of beds in which nursing facility or extended care  services are provided (see 12VAC5-22-325) listed in § 32.1-102.3:2 A, B,  and C of the Code of Virginia shall only be accepted for review when  properly filed in response to a RFA. Furthermore, the commissioner shall only  accept for review applications which propose projects located in the planning  districts from which applications are requested in the RFA and propose  authorization of a number of new beds in which nursing facility or extended  care services are provided which is less than or equal to the total number  of beds identified as needed for the planning district in which the project  will be located. 
    12VAC5-220-355. Application RFA project application  forms.
    A. Letter of intent. A nursing home bed RFA project  applicant shall file a letter of intent with the commissioner to request  appropriate application forms, and submit a copy of that letter to the  appropriate regional health planning agency by the letter of intent deadline  specified in the RFA. The letter shall identify the owner, the type of project  for which an application is requested, and the proposed scope (size) and  location of the proposed project. The department shall transmit application  forms to the applicant within seven days of the receipt of the letter of  intent. A letter of intent filed with the department shall be considered void  if an application is not filed for the project by the application deadline  specified in the RFA. 
    B. Application fees. The department shall collect application  fees for RFA applications that request a nursing home bed  certificate of public need. The fee required for an application is 1.0% of the  proposed capital expenditure for the project but no less than $1,000 and no  more than $20,000. No application will be deemed to be complete for review  until the required application fee is paid. 
    C. Filing application forms. Applications must be submitted  to the department and the appropriate regional health planning agency by the  application filing deadline specified in the RFA. All applications including  the required data and information shall be prepared in triplicate; two copies  to be submitted to the department; and one copy to be submitted to the  appropriate regional health planning agency. In order to verify the  department and the appropriate regional health planning agency's receipt of the  application, the applicant shall transmit the document electronically, or  prepare in triplicate two copies to be submitted to the department and one copy  to be submitted to the appropriate regional health planning agency and sent  by certified mail or a delivery service, return receipt requested, or shall  deliver the document by hand, with the a signed receipt to be  provided. No application shall be deemed to have been submitted until required  copies have been received by the department and the appropriate regional health  planning agency. 
    12VAC5-220-375. Consideration of RFA applications.
    Nursing home bed RFA applications proposed for  the same planning district shall be considered as competing applications by the  commissioner. The commissioner shall determine whether an application is  competing and provide written notification to the competing applicants and the  regional health planning agency. 
    VA.R. Doc. No. R10-2003; Filed September 1, 2009, 2:14 p.m. 
TITLE 12. HEALTH
BOARD OF BEHAVIORAL HEALTH AND DEVELOPMENTAL SERVICES
Fast-Track Regulation
    Title of Regulation: 12VAC35-180. Regulations to  Assure the Protection of Subjects in Human Research (amending 12VAC35-180-10 through  12VAC35-180-110, 12VAC35-180-130, 12VAC35-180-140, 12VAC35-180-150).
    Statutory Authority: §§ 37.2-203 and 37.2-402 of  the Code of Virginia.
    Public Hearing Information: No public hearings are  scheduled. 
    Public Comment Deadline: October 28, 2009.
    Effective Date: November 12, 2009.
    Agency Contact: Marion Greenfield, Office of Quality  Management, Department of Behavioral Health and Developmental Services, 1220 Bank  Street, Richmond, VA 23218, telephone (804) 786-4516, or email  marion.greenfield@co.dmhmrsas.virginia.gov.
    Basis: Section 37.2-402 of the Code of Virginia requires  that the board adopt regulations regarding human research. The current version  of these regulations became effective in 2004.
    Purpose: The purpose of the proposed changes in the  human research regulations is to eliminate unnecessary review requirements,  reflect the department's name change approved by the 2009 General Assembly, and  update the regulatory provisions to provide a more person-centered focus.
    Rationale for Using Fast-Track Process: Section 2.2-4012.1 of the Code of Virginia and Executive Order 36 (06) allow state  agencies to use a fast-track rulemaking process to expedite regulatory changes  that are expected to be noncontroversial. The changes being made in the human  research regulations eliminate unnecessary review provisions, reflect the  department's name change approved by the 2009 General Assembly, and update the  regulatory provisions to provide a more person-centered focus. None of these  changes are controversial or establish any additional regulatory burdens.
    Substance: The proposed amendments make the  regulatory language more person-centered, change the department's name, and  eliminate requirements that are no longer needed.
    Issues: The primary advantages of the proposed changes  to the public are: (i) correcting unnecessary and confusing regulatory  language; (ii) adjusting section titles and language to clarify the role of the  Review Committees; and (iii) eliminating activities that place unnecessary  restrictions on the Review Committee and the organization conducting the  research.
    The primary advantage to the agency is that the proposed  changes will: (i) clarify the role of the state board and commissioner; (ii)  more clearly describe the department's responsibilities; and (iii) remove the  board's review responsibilities.
    Other pertinent matters of interest to the regulated community,  government officials, and the public include: (i) changing the name of the  department; and (ii) adding a requirement that certain agreements now permitted  by the regulation between entities conducting research be in writing.
    The Department of Planning and Budget's Economic Impact  Analysis: 
    Summary of the Proposed Amendments to Regulation. The Board of  Behavioral Health and Developmental Services proposes to delete its review  responsibilities and more clearly describe those of the department and agency  head, to make the regulatory language more person-centered, to change the name  of the department, and to eliminate selected provisions of the requirements  that are no longer needed.
    Result of Analysis. There is insufficient data to accurately  compare the magnitude of the benefits versus the costs.
    Estimated Economic Impact. The Board of Behavioral Health and  Developmental Services proposes to delete its review responsibilities and more  clearly describe those of the department and agency head, to make the  regulatory language more person-centered, to change the name of the department1,  and to eliminate selected provisions of the requirements that are no longer  needed.
    The above proposed changes are not expected to create a  significant economic impact as they mainly clarify the language, update new  agency name, and clarify the responsibilities. Thus, no significant economic  effect is expected as a result of these proposed changes.
    However, the proposed changes also include adding a provision  barring officials and employees of the agency conducting or authorizing  research from acting as a legally authorized representative for an individual  participating in the research; changing the section title for  "certification process" to "affiliation with a research review  committee" and deleting several requirements contained within this  section; mandating that in the case of several cooperating institutions, a lead  institution be established and that the agreement designating such institution  must be in writing; mandating that written reports of suspension or termination  due to protocol violations be provided by the chair of the research review  committee to the head of the institution; deleting several designated  categories of certain kinds of human research activities that involve no more  than minimal risk; modifying the section concerning informed consent to clarify  what is required when consent is secured orally; changing the records retention  requirement from three to six years; removing a requirement that institutions  or agencies notify the agency head or the board annually of their compliance  with federal policy.
    The changes described above may have the potential to create  somewhat significant economic impact, but there is no available information  from the department to substantiate the extent of their potential impact.
    Businesses and Entities Affected. The proposed regulations  apply to 40 community service boards, approximately 612 private providers, and  16 state facilities.
    Localities Particularly Affected. The proposed regulations  apply throughout the Commonwealth.
    Projected Impact on Employment. Based on available information,  no significant effect on employment is expected.
    Effects on the Use and Value of Private Property. Based on  available information, no significant effect on the use and value of private  property is expected.
    Small Businesses: Costs and Other Effects. Most of the 612  private providers are believed to be small businesses. However, based on  available information, no significant costs or other economic effects are  expected on small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. Based on available information, no significant adverse impact is  expected on small businesses.
    Real Estate Development Costs. Based on available information,  no significant effect on real estate development costs is expected.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  36 (06). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    __________________________
    1 Until July 1, 2009, this agency was known as the  Department of Mental Health, Mental Retardation, and Substance Abuse Services.  Chapter 813 of the 2009 Acts of Assembly changed the name.
    Agency's Response to the Department of Planning and Budget's  Economic Impact Analysis: The agency concurs with the economic impact  analysis prepared by the Department of Planning and Budget.
    Summary: 
    The proposed amendments delete the Board of Behavioral  Health and Developmental Services' review responsibilities and more clearly  describe the responsibilities of the department and agency head, make the  regulatory language more person-centered, change the name of the department,  and eliminate selected provisions of the requirements that are no longer  needed.
    12VAC35-180-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Affiliated with the institution" means employed by  the institution or a member of a household containing an employee of the  institution. 
    "Board" means the State Mental Health, Mental  Retardation and Substance Abuse Services Board of Behavioral Health and  Developmental Services. 
    "Commissioner" means the Commissioner of the  Department of Mental Health, Mental Retardation and Substance Abuse Behavioral  Health and Developmental Services. 
    "Community services board" or "CSB"  means a public body established pursuant to § 37.2-501 of the Code of  Virginia that provides mental health, mental retardation, and substance abuse  services to individuals within each city or county that established it. For the  purpose of these regulations, community services board also includes a  behavioral health authority established pursuant to § 37.2-602 of the Code  of Virginia.
    "Department" means the Department of Mental  Health, Mental Retardation and Substance Abuse Behavioral Health and  Developmental Services. 
    "Health information" means any information, whether  oral or recorded in any form or medium, that: 
    1. Is created or received by a health care provider, health  plan, public health authority, employer, life insurer, school or university, or  health care clearinghouse; and 
    2. Relates to the past, present, or future physical or mental  health or condition of an individual; the provision of health care to an  individual; or the past, present or future payment for the provision of health  care to an individual. 
    "Human research" means any systematic  investigation, including research development, testing, and evaluation,  utilizing human subjects, that is designed to develop or contribute to  generalized knowledge. Human research shall not be deemed to include research  exempt from federal research regulation pursuant to 45 CFR 46.101(b). 
    "Human subject" or "subject" means a  living individual about whom an investigator (whether professional or student)  conducting research obtains (i) data through intervention or interaction with  the individual, or (ii) protected health information. 
    "Individual" means a human subject pursuant to  45 CFR 46.102 (f) about whom an investigator (whether professional or student)  conducting research obtains (i) data through interaction with the individual;  or (ii) protected health information. 
    "Individually identifiable health information"  means information that is a subset of health information, including demographic  information collected from an individual, and: 
    1. Is created or received by a health care provider, health  plan, employer, or health care clearinghouse; and 
    2. Relates to the past, present, or future physical or mental  health or condition of an individual; the provision of health care to an  individual; or the past, present, or future payment for the provision of health  care to an individual; and 
    a. That identifies the individual; or 
    b. With respect to which there is a reasonable basis to  believe the information can be used to identify the individual. 
    "Informed consent" means the knowing and voluntary  agreement, without undue inducement or any element of force, fraud, deceit,  duress, or other form of constraint or coercion, of a person an  individual who is capable of exercising free power of choice. For the  purposes of human research, the basic elements of information necessary for  such consent shall include: 
    1. A reasonable and comprehensible explanation to the person  individual of the proposed procedures or protocols to be followed, and  their purposes, including descriptions of any attendant discomforts, risks and  benefits reasonably to be expected, how the results of the human  research will be disseminated, and how the identity of the individual will be  protected; 
    2. A disclosure of any appropriate alternative procedures or  therapies that might be advantageous for the person individual  together with their side effects, risks, and benefits; 
    3. A description of any adverse consequences and risks to be  expected and an indication whether there may be other significant risks not yet  identified; 
    4. An instruction that the person individual may  withdraw his consent and discontinue participation in the human research at any  time without prejudice to him or fear of reprisal; 
    5. An explanation of any costs or compensation that may accrue  to the person individual and, if applicable, the availability of  third party reimbursement for the proposed procedures or protocols or any  medical care that may be available if an injury occurs; and; 
    6. An offer to answer and answers to any inquiries by the person  individual or, if applicable, his legally authorized  representative concerning the procedures and protocols and a description of the  ways in which concerns may be raised or questions asked; 
    "Institution" or "agency" means any  community services board or any facility or program operated, funded, or  licensed by the department. 
    "Interaction" includes communication or  interpersonal contact between investigator and the individual who is the  subject of the human research. 
    "Intervention" includes both physical procedures by  which data are gathered (for example, venipuncture) and manipulations of the subject  individual or subject's individual's environment that are  performed for human research purposes. 
    "Legally authorized representative" means in the  following specified order of priority, (i) the parent or parents having custody  of an individual who is a prospective subject of human research  who is a minor, (ii) the agent appointed under an advance directive as defined  in § 54.1-2982 of the Code of Virginia, executed by the individual who is  the prospective subject of human research, provided the advance  directive authorizes the agent to make decisions regarding the prospective  subject's individual's participation in human research, (iii) the  legal guardian of an individual who is a prospective subject of human  research, (iv) the spouse of individual who is a prospective subject  of human research, except where a suit for divorce has been filed and  the divorce decree is not yet final, (v) an adult child of the an individual  who is a prospective subject of human research, (vi) a parent of the  individual who is a prospective subject of human research when  the subject individual is an adult, (vii) an adult brother or  sister of the individual who is a prospective subject of human  research, or (viii) any person or judicial or other body authorized by law  or regulation to consent on behalf of an individual who is a prospective  subject of human research to such subject's individual's  participation in the particular human research. For the purposes of this  definition, any person authorized by law or regulation to consent on behalf of an  individual who is a prospective subject of human research to his  participation in the particular human research shall include an  attorney-in-fact appointed under a durable power of attorney, to the extent the  power grants the authority to make such a decision. The attorney-in-fact shall  not be employed by the person, institution or agency conducting the human  research. No official or employee of the institution or agency conducting or  authorizing the human research shall be qualified to act as a legally  authorized representative. 
    "Minimal risk" means that the risks of harm  anticipated in the proposed human research are not greater, considering  probability and magnitude, than those ordinarily encountered in daily life or  during the performance of routine physical or psychological examinations,  tests, or treatments. 
    "Nontherapeutic research" means human research in  which there is no reasonable expectation of direct benefit to the physical or  mental condition of the human subject individual. 
    "Protected health information (PHI)" means  individually identifiable health information that is created or received by or  on behalf of the institution or agency that is maintained or transmitted in any  medium, including electronic media. PHI excludes individually identifiable  health information in: 
    1. Education records covered by the Family Educational Rights  and Privacy Act, as amended, 20 USC § 1232g; 
    2. Records described at 20 USC § 1232g(a)(4)(B)(iv)  (educational records not otherwise covered under the Family Educational Rights  Privacy Act in subdivision 1 of this definition); or 
    3. Employment records held by a covered entity in its role as  an employer. 
    "Research" means a systematic investigation,  including research development, testing and evaluation, designed to develop or  contribute to general knowledge. Activities which meet this definition  constitute research for purposes of this chapter, whether or not they are  supported or funded under a program which is considered research for other  purposes. For example, some "demonstration" and "service"  programs may include research activities. 
    "Research review committee" or  "committee" means a committee of professionals to provide complete  and adequate review of human research activities pursuant to  § 32.1-162.19 of the Code of Virginia. 
    12VAC35-180-30. Applicability.
    This chapter shall apply to the Department of Mental  Health, Mental Retardation and Substance Abuse Behavioral Health and  Developmental Services, any community services board, and any facility  operated, funded or licensed by the department which conducts or which proposes  to conduct or authorize human research in which uses individuals  participate as human subjects. 
    12VAC35-180-40. Policy.
    A. No human research may be conducted without obtaining the  informed consent of the subject individual or his legally  authorized representative. The This informed consent of the  subject or his legally authorized representative to participate in the  research must shall be documented in writing and supported by the  signature of a witness. Arrangements Adequate and appropriate  arrangements shall be made for those who need special assistance in  understanding the consequences of participating in the human research. 
    B. No official or employee of the institution or agency  conducting or authorizing the human research shall be qualified to act as a  legally authorized representative for an individual participating in the  particular human research.
    C. Each human research activity shall be approved by a  research review committee composed of representatives of varied backgrounds who  shall assure the competent, complete, and professional review of human research  activities.
    C. D. Institutions or agencies, as defined by  this chapter, may participate in human research activity when such activity has  been considered and approved by a university institutional review board (IRB)  that complies with the relevant requirements of § 32.1-162.19 of the Code of  Virginia. 
    D. E. Nontherapeutic human research using  subjects individuals receiving care services in a  residential or hospital setting is prohibited unless it is determined by the  research review committee that such nontherapeutic human research will  present no more than a minor increase over minimal risk to the human subject  individual. 
    E. F. The individual person,  institution, or agency conducting the human research shall be  required to notify all individuals who are subjects of the human  research of the risks caused by the human research which that  are discovered after the human research has concluded. 
    12VAC35-180-50. Certification process Affiliation  with a research review committee.
    A. Institutions or agencies seeking to conduct or sponsor  human research are required to submit statements to the department assuring  that all human research activities will be reviewed and approved by an internal  or external research review committee. Institutions shall report annually to  the commissioner giving assurance that a committee exists and is functioning.  These reports shall include a list of committee members, their qualifications  for service on the committee, their institutional or agency affiliation and a  copy of the minutes of committee meetings. 
    B. Prior to the initiation of a human research project,  institutions shall also send to the commissioner a description of the research  project to be undertaken, which shall include a statement of the criteria for  inclusion of a subject in the research project, a description of what will be  done to the subjects, and a copy of the informed consent statement. 
    C. Each person engaged in the conduct of human  research or proposing to conduct human research shall affiliate himself with an  institution or agency having a research review committee, and such the  human research as he conducts or proposes to conduct shall be subject to  review and approval by the committee in the manner set forth in these  regulations. 
    D. The commissioner may inspect the records of the  committee. 
    E. The chairman of the committee shall report as soon as  possible to the head of the institution and to the commissioner any violation  of the research protocol which led the committee to either suspend or terminate  the research. 
    12VAC35-180-60. Composition of research review committees.
    A. Each research review committee shall have at least five  members, appointed by the head of the institution or agency, with varying  backgrounds to ensure the competent, complete and professional review of human  research activities commonly conducted by the institution or agency. The  committee shall be sufficiently qualified through the maturity, experience, and  diversity of its members, including consideration of race, gender and cultural  background, to promote respect for its advice and counsel in safeguarding the  rights and welfare of individuals who are the subjects in of  human research. In addition to possessing the professional competence necessary  to review specific human research activities, the committee must be able  to ascertain the acceptability of applications and proposals in terms of  institutional commitments and regulations, applicable law, standards of  professional conduct and practice, and community attitudes. If a committee  regularly reviews human research that has an impact on an individuals  who are institutionalized or other are otherwise vulnerable category  of subjects, including residents of individuals who reside in  mental health or mental retardation facilities or state training  centers, the committee shall have in its membership one or more individuals  persons who are primarily concerned with the welfare of these subjects  individuals and who have appropriate experience to serve in that  capacity.
    B. No committee shall consist entirely of members of one  profession, and at least one member must shall be an individual  a person whose primary concerns are in nonscientific areas (e.g.,  lawyers, ethicists, members of the clergy). 
    C. Each committee shall include at least one member who is  not otherwise affiliated with the institution or agency and who is not part of  the immediate family of a person who is affiliated with the institution or  agency.
    D. No member of a committee shall participate in the  committee's initial or continuing review of any project in which the member is  directly involved or for which he has administrative approval authority, except  to provide information requested by the committee. The committee has  responsibility shall be responsible for determining whether a member  has a conflicting interest. The committee member shall be replaced in the case  of conflicting interests resulting in a decrease of the committee below five  persons. 
    E. A committee may, at its discretion, invite individuals  with competence in special areas to assist in the review of complex issues  which require expertise beyond or in addition to that available on the  committee. These individuals may not vote with the committee. 
    F. A quorum of the committee shall consist of a majority of  its members including at least one member whose primary concerns are in  nonscientific areas. 
    G. The committee and the institution or agency shall  establish procedures and rules of operation necessary to fulfill the  requirements of this chapter. 
    12VAC35-180-70. Elements of each committee's review process.
    A. No human research shall be conducted or authorized by such  an institution or agency unless the a research review  committee has reviewed and approved the proposed human research project giving  consideration to: 
    1. The adequacy of the description of the potential benefits  and risks involved and the adequacy of the methodology of the human  research; 
    2. The degree of the risk, and, if the human research  is nontherapeutic, whether it presents greater than minimal risk; 
    3. Whether the rights and welfare of the individuals who  are the subjects of the human research are adequately protected; 
    4. Whether the risks to the individuals who are the  subjects of human research are outweighed by the potential benefits to  them; 
    5. Whether the risks to subjects individuals are  minimized by using procedures that are consistent with sound human  research design and that do not unnecessarily expose subjects individuals  to risk and, whenever appropriate, by using procedures already being performed  on the subjects individuals for diagnostic or treatment purposes;  
    6. When some or all of the subjects individuals  are likely to be incapable of providing informed consent or are otherwise  vulnerable to coercion or undue influence, such as children, prisoners,  pregnant women, mentally disabled persons, or economically or educationally  disadvantaged persons, whether additional safeguards have been included in the  study to protect the rights and welfare of these subjects individuals;  
    7. Whether the informed consent is to be obtained by methods  that are adequate and appropriate and whether the written consent form is  adequate and appropriate in both content and language for the particular human  research and for the individuals who are the particular subjects of the human  research; 
    8. Whether the persons proposing to supervise or conduct the  particular human research are appropriately competent and qualified;
    9. Whether criteria for selection of individuals to  participate as human research subjects are equitable; and 
    10. Whether the human research conforms with such other  requirements as the board may establish of the department, where  applicable. 
    B. Each committee shall review approved projects to ensure  conformity with the approved proposal at least annually. 
    C. Research must be approved by the committee that has  jurisdiction over the subject. When cooperating institutions conduct some  or all of the human research involving some or all of the subjects  individuals, each cooperating institution is responsible for  safeguarding the rights and welfare of human subjects the individuals  and for complying with this chapter, except that in complying with this chapter  institutions may enter into joint review, rely upon the review of another  qualified committee, or make come to similar arrangements agreements  aimed at avoiding duplication of effort. These agreements must be in writing  and designate a lead institution, which shall be the institution responsible  for reporting and dealing with possible misconduct in human research. Such arrangements  agreements may be made by the committee chairperson chair  with the approval of a majority of the members present at a meeting of the  committee. If a given institution or agency does not have a research review  committee, this arrangement shall be approved by the chief executive officer of  the institution, or his designee. 
    D. The committee shall consider human research  proposals within 45 days after submission to the committee's chairman chair.  In order for the human research to be approved, it shall receive the  approval of a majority of those members present, including one nonscientific  person, at a meeting in which a quorum exists. A committee shall notify  investigators and the institution in writing of its decision to approve or  disapprove the proposed human research activity, or of modifications required  to secure committee approval. 
    E. The committee shall develop a written description of the  procedure to be followed by a subject an individual who has a  complaint about a human research project in which he is participating or  has participated. 
    F. Any subject individual who has a complaint  about a human research project in which he is participating or has  participated shall be referred to the chairperson of the committee who shall  refer it to the committee to determine if there has been a violation of the  protocol. 
    G. The chair of the committee shall provide a written  report as soon as possible to the head of the institution of any violation of  the human research protocol that led the committee to either suspend or  terminate the human research.
    G. H. The committee shall require periodic written  reports to ensure that the project is being carried out in conformity with the  proposal. The frequency of such reports should reflect the nature and degree of  risk of each human research project. 
    H. I. The committee shall ensure compliance  with the Health Insurance Portability and Accountability Act of 1996 (Public  Law 104-19 104-191) and the federal and state  regulations promulgated thereunder regarding the use and disclosure of  PHI created for human research. In particular, authorization shall be  obtained for the use and disclosure of PHI created for the purpose of human  research, except as otherwise permitted by 45 CFR 164.512(i). 
    12VAC35-180-80. Kinds of human research exempt from  committee review.
    Research Human research activities in which the  only involvement of human individuals as subjects will  be in is limited to one or more of the following categories are  exempt from this chapter unless the human research is covered by other  sections of this chapter: 
    1. Research Human research conducted in  established or commonly accepted educational settings, involving commonly used  educational practices, such as: 
    a. Research on regular and special education instructional  strategies; or 
    b. Research on the effectiveness of or the comparison among  instructional techniques, curriculum or classroom management methods. 
    2. Research Human research involving solely the  use and analysis of the results of educational tests, whether cognitive,  diagnostic, aptitude, or achievement, if the data from such tests are recorded  in such a manner so that subjects individuals cannot be  identified, directly or through identifiers linked to the subjects individuals.
    3. Research Human research involving survey or  interview procedures, unless responses are recorded in such a manner that the subjects  individuals can be identified, directly or through identifiers linked to  the subjects individuals; and either: 
    a. The subject's individual's responses, if they  became known outside the human research, could reasonably place the  subject at risk of criminal or civil liability or be damaging to the subject's  individual's financial standing, employability, or reputation; or 
    b. The human research deals with sensitive aspects of  the subject's individual's own behavior, such as sexual behavior,  drug or alcohol use, or illegal conduct. 
    4. Research Human research involving solely the  observation (including observation by subjects) individuals who are  the subjects of human research) of public behavior, unless observations are  recorded in such a manner that subjects individuals can be  identified, directly or through identifiers linked to the subjects individuals,  and either: 
    a. The observations recorded about the individual, if they  became known outside the human research, could reasonably place the subject  individual at risk of criminal or civil liability or be damaging to the subject's  individual's financial standing, or employability, or reputation;  or 
    b. The human research deals with sensitive aspects of  the subject's individual's own behavior such as sexual behavior,  drug or alcohol use, or illegal conduct. 
    5. Research Human research involving solely the  collection or study of existing data, documents, records, or pathological or  diagnostic specimens, if these sources are publicly available or if the  information taken from these sources is recorded in such a manner that subjects  individuals cannot be identified, directly or through identifiers linked  to the subjects individuals. 
    6. Research Human research involving solely a  combination of any of the activities described in this section. 
    12VAC35-180-90. Expedited review procedures for certain kinds  of human research involving no more than minimal risk.
    A. The A research review committee may conduct  an expedited review of a human research project which that  involves no more than minimal risk to the individuals who are the  subjects of the human research if (i) another institution's or agency's  human research review committee has reviewed and approved the project,  or (ii) the review involves only minor changes in previously approved human  research and the changes occur during the approved project period. Under an  expedited review procedure, the review may be carried out by the committee chairperson  chair and one two or more experienced reviewers designated  by the chairperson chair from among members of the committee. In  reviewing the human research, the reviewers may exercise all of the  authority of the committee except that the reviewers may not disapprove the human  research. A human research activity may be disapproved only after review  in accordance with the nonexpedited procedure set forth in 12VAC35-180-70. 
    B. Each committee which uses an expedited review procedure  shall adopt a method for keeping all members advised of human research  proposals which have been approved under the procedure. 
    C. Research activities involving no more than minimal risk  and in which the only involvement of human subjects will be in one or more of  the following categories (carried out through standard methods) may be reviewed  by the research review committee through the expedited review procedure. 
    1. Collection of hair and nail clippings, in a  nondisfiguring manner; nonpermanent teeth at a time of natural loss or if  patient care indicates a need for extraction; and permanent teeth if patient  care indicates a need for extraction. 
    2. Collection of excreta and external secretions including  sweat, uncannulated saliva, placenta removed at delivery, and amniotic fluid at  the time of rupture of the membrane prior to or during labor. 
    3. Recording of data from subjects 18 years of age or older  using noninvasive procedures routinely employed in clinical practice. This  includes the use of physical sensors that are applied either to the surface of  the body or at a distance and do not involve input of matter or significant  amounts of energy into the subject or an invasion of the  subject's privacy. It also includes such procedures as weighing, testing  sensory acuity, electrocardiography, electroencephalography, thermography,  detection of naturally occurring radioactivity, diagnostic echography, and  electroretinography. It does not include exposure to electromagnetic radiation  outside the visible range (for example, x-rays, microwaves). 
    4. Collection of blood samples by venipuncture or less  invasive procedures, in amounts not exceeding 450 milliliters in an eight-week  period and no more often than two times per week, from subjects 18 years of age  or older and who are in good health and not pregnant. 
    5. Collection of both supra-gingival and subgingival dental  plaque and calculus, provided the procedure is not more invasive than routine  prophylactic scaling of the teeth and the process is accomplished in accordance  with accepted prophylactic techniques. 
    6. Voice recordings made for research purposes such as  investigations of speech defects. 
    7. Moderate exercise by healthy volunteers. 
    8. The study of existing data, documents, records,  pathological specimens, or diagnostic specimens. 
    9. Research on individual or group behavior or  characteristics of individuals, such as studies of perception, cognition, game  theory, or test development, where the investigator does not manipulate  subjects' behavior and the research will not involve stress to subjects. 
    10. Research on drugs or devices for which an  investigational new drug exemption or an investigational device exemption is  not required. 
    12VAC35-180-100. Informed consent.
    A. No human research may shall be conducted in  this Commonwealth in the absence of informed consent subscribed to in  writing by the subject individual or by the subject's legally  individual's authorized representative except as provided for in  subsection F of this section. If the subject individual is  capable of providing informed consent, then it shall be subscribed to in  writing written consent must be provided by the subject individual  and witnessed. If the subject individual is incapable of making  an informed decision, as defined in § 54.1-2982 of the Code of Virginia, at the  time consent is required, then it shall be subscribed to in writing written  consent must be provided by the person's legally individual's  legally authorized representative and witnessed. If the subject individual  is a minor otherwise capable of rendering informed consent, the consent shall  be subscribed to provided by both the minor and his legally  authorized representative. An investigator shall seek such consent only under  circumstances that provide the individual who is the prospective subject  or the representative sufficient opportunity to consider whether or not  to participate and that minimize the possibility of coercion or undue  influence. The information that is given to the subject individual  or, if applicable the individual's legally authorized representative  shall be in language understandable to the subject individual or  the representative. 
    If two or more persons who qualify as legally authorized  representatives have equal decision-making priority under this chapter inform  the principal investigator or attending physician that they disagree as to  participation of the prospective subject individual in human  research, the subject individual shall not be enrolled in the  human research that is the subject of the consent. 
    B. No individual shall participate in human research  unless this requirement is met for each individual. The giving of  informed consent by a legally an authorized representative shall be  subject to the provisions of subsection C of this section. No informed  consent shall include any language through which the subject individual  waives or appears to waive any of his legal rights, including any release of  any individual person, institution, or agency or any  agents thereof from liability for negligence. Notwithstanding the informed  consent by a legally authorized representative, no person individual  shall be forced to participate in any human research if the investigator  conducting the human research knows that participation in the human  research is protested by the prospective subject individual. In  the case of persons individuals suffering from organic brain  disease causing progressive deterioration of cognition for which there is no  known cure or medically accepted treatment, the implementation of experimental  courses of therapeutic treatment to which the legally authorized representative  has given informed consent shall not constitute the use of force. Each subject  individual shall be given a copy of the signed consent form required by  12VAC35-180-40 A except as provided for in subsection F of this section. 
    C. No legally authorized representative may consent to  nontherapeutic human research unless it is determined by the research  review committee that such nontherapeutic human research will present no  more than a minor increase over minimal risk to the subject individual.  A legally authorized representative may not consent to participation in human  research on behalf of a prospective subject an individual if the  legally authorized representative knows, or upon reasonable inquiry ought to know,  that any aspect of the human research protocol is contrary to the religious  beliefs or basic values of the prospective subject individual,  whether expressed orally or in writing. A legally authorized representative may  not consent to participation in human research involving nontherapeutic  sterilization, abortion, psychosurgery, or admission for human research  purposes to a facility or hospital as defined in § 37.1-1 § 37.2-100  of the Code of Virginia. No nontherapeutic human research shall be  performed without the consent of the subject individual or, if  applicable, his legally authorized representative. 
    D. The research review committee may approve a consent  procedure which that does not include, or which that  alters some or all of the elements of informed consent set forth in  12VAC35-180-10, or waive that waives the requirements to  obtain informed consent provided the committee finds and documents that: 
    1. The human research involves no more than minimal  risk to the subjects individuals; 
    2. The omission, waiver or alteration will not adversely  affect the rights and welfare of the subjects individuals; 
    3. The human research could not practicably be carried  out without the omission, waiver or alteration; and 
    4. Whenever appropriate, the subjects individuals  shall be provided with additional pertinent information after participation. 
    E. Except as provided in subsection F of this section, the  consent form may be either of the following: 
    1. E. A written consent document that embodies  the elements of informed consent required by 12VAC35-180-10. This form  may be read to the subject individual or, if applicable,  the subject's individual's legally authorized representative, but  in any event, the investigator shall give either the subject individual  or the legally authorized representative adequate opportunity to read it before  it is signed; or.
    2. A short form written consent document stating that the  elements of informed consent required by 12VAC35-180-10 have been presented  orally to the subject or the subject's legally authorized representative. When  this method is used, there shall be a witness to the oral presentation. Also,  the committee shall approve a written summary of what is to be said to the  subject or the legally authorized representative. Only the short form itself is  to be signed by the subject or the representative. However, the witness shall  sign both the short form and a copy of the summary, and the person actually  obtaining consent shall sign a copy of the summary. A copy of the summary shall  be given to the subject or the representative, in addition to a copy of the  short form.
    F. The committee may waive the requirement in subsection E  of this section for the investigator to obtain a written informed consent  form for some or all subjects individuals if it finds that the  only record linking the subject individual and the human  research would be the consent document and the principal risk would be  potential harm resulting from a breach of confidentiality. Each subject individual  shall be asked whether the subject individual wants documentation  linking the subject individual with the human research,  and the subject's individual's wishes shall govern. In cases  where the documentation requirement is waived, the committee may require the  investigator to provide subjects individuals with a written  statement explaining the human research. 
    12VAC35-180-110. Committee records. 
    A. An institution or agency, or when appropriate a committee  shall prepare and maintain adequate documentation of committee activities,  including the following: 
    1. Copies of all human research proposals reviewed,  scientific evaluations, if any, that accompany the proposals, approved sample  consent documents, progress reports submitted by investigators, and reports of  injuries to individuals who are subjects of the human research. 
    2. Minutes of committee meetings which shall be in sufficient  detail to show attendance at the meetings; actions taken by the committee; the  vote on these actions including the number of members voting for, against, and  abstaining; the basis for requiring changes in or disapproving human  research; and a written summary of the discussion of controverted issues  about which opposition has been voiced and their resolution. 
    3. Records of continuing review activities. 
    4. Copies of all correspondence between the committee and the  investigators. 
    5. A list of committee members. 
    6. Written procedures for the committee. 
    7. Statements of significant new findings provided to subjects  individuals. 
    B. The records required by this chapter shall be retained for  at least three years, and records relating to human research which is  conducted shall be retained for at least three six years after  completion of the human research. All records shall be accessible for  inspection and copying by authorized employees or agents of the department at  reasonable times and in a reasonable manner. An overview of approved human  research projects and the results of such projects shall be made public on the  website of the institution or agency conducting the human research unless  otherwise exempt from disclosure under the Virginia Freedom of Information Act,  (§ 2.2-3700 et seq. of the Code of Virginia).
    12VAC35-180-130. Role of the department, and  commissioner, and the board. 
    A. The commissioner shall establish and maintain records  of institutional assurances, annual reports, and summary descriptions of  research projects to be reviewed by the board. 
    B. The commissioner shall review communications from  committees reporting violations of research protocols which led to suspension  or termination of the research to ensure that appropriate steps have been taken  for the protection of the rights of human research subjects. The board shall be  kept informed.
    C. The commissioner shall arrange for the printing and  dissemination of copies of this chapter. 
    The commissioner shall assure that the department's human  rights program, through procedures described in 12VAC35-115, protects the  rights of individuals who are admitted to a state hospital, training center, or  other facility operated, funded, or licensed by the department to refuse to  participate as a subject of human research and assure that written and informed  consent is received from individuals or their legally authorized representative  prior to their participation as a subject of human research. 
    12VAC35-180-140. Applicability of state policies.
    Nothing in this chapter shall be construed as limiting in any  way the rights of subjects individuals in human research  under regulations promulgated by the board State Board of Behavioral  Health and Developmental Services pursuant to § 37.1-84.1 § 37.2-400  of the Code of Virginia.
    12VAC35-180-150. Applicability of federal policies.
    Human research at institutions or agencies which are subject  to policies and regulations for the protection of human subjects individuals  promulgated by any agency of the federal government shall be exempt from this  chapter. Such institutions or agencies shall notify the commissioner and the  board annually of their compliance with the policies and regulations of federal  agencies. 
    VA.R. Doc. No. R10-1787; Filed September 8, 2009, 2:37 p.m. 
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Proposed Regulation
    Title of Regulation: 13VAC5-31. Virginia Amusement  Device Regulations (amending 13VAC5-31-20, 13VAC5-31-50,  13VAC5-31-75).
    Statutory Authority: § 36-98.3 of the Code of  Virginia.
    Public Hearing Information:
    January 25, 2010 - 10 a.m. - Virginia Housing Development  Authority, Virginia Housing Center, 4224 Cox Road, Glen Allen, VA
    Public Comment Deadline: January 25, 2010.
    Agency Contact: Stephen W. Calhoun, Regulatory  Coordinator, Department of Housing and Community Development, Main Street  Center, 600 East Main Street, Richmond, VA 23219, telephone (804) 371-7000, FAX  (804) 371-7090, TTY (804) 371-7089, or email steve.calhoun@dhcd.virginia.gov.
    Summary:
    The proposed amendments:
    1. Move the definition of the term "kiddie ride"  to the definitions section;
    2. Clarify existing continuing education requirements in  conjunction with correlating changes to the Uniform Statewide Building Code;
    3. Conform liability insurance requirements for amusement  devices with industry standards and for consistency with language used in prior  provisions in the regulation; 
    4. To correct an error made in a previous regulatory  action, reinstate language that specifies that 13VAC5-31-75 F applies only to  amusement devices permanently affixed to a site and the requirement for  midseason inspection of rides; and
    5. Correct an erroneous standard designation from ASTM F628  to ASTM F698.
    13VAC5-31-20. Definitions.
    A. The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise: 
    "Amusement device" means (i) a device or structure  open to the public by which persons are conveyed or moved in an unusual manner  for diversion and (ii) passenger tramways. 
    "Bungee cord" means the elastic rope to which the  jumper is attached which lengthens and shortens to produce a bouncing action. 
    "Carabineer" means a shaped metal device with a  gate used to connect sections of a bungee cord, jump rigging, equipment, or  safety gear. 
    "DHCD" means the Virginia Department of Housing and  Community Development. 
    "Gravity ride" means a ride that is installed on an  inclined surface, which depends on gravity for its operation to convey a  passenger from the top of the incline to the bottom, and which conveys a  passenger in or on a carrier tube, bag, bathing suit, or clothes. 
    "Ground operator" means a person who assists the  jump master to prepare a jumper for jumping. 
    "Harness" means an assembly to be worn by a bungee  jumper to be attached to a bungee cord. It is designed to prevent the wearer  from becoming detached from the bungee system. 
    "Jump master" means a person who has responsibility  for the bungee jumper and who takes the jumper through the final stages to the  actual jump. 
    "Jump zone" means the space bounded by the maximum  designed movements of the bungee jumper. 
    "Jumper" means the person who departs from a height  attached to a bungee system. 
    "Kiddie ride" means an amusement device where  the passenger or patron height is limited to 54 inches or less, the design  capacity of passengers or patrons is 12 or less, and the assembly time for the  device is two hours or less. 
    "Landing area" means the surface area of ground or  water directly under the jump zone, the area where the lowering device moves  the bungee jumper to be landed away from the jump space and the area covered by  the movement of the lowering device. 
    "Local building department" means the agency or agencies  of the governing body of any city, county or town in this Commonwealth charged  with the enforcement of the USBC.
    "Operating manual" means the document that contains  the procedures and forms for the operation of bungee jumping equipment and  activity at a site. 
    "Passenger tramway" means a device used to  transport passengers uphill, and suspended in the air by the use of steel  cables, chains or belts, or ropes, and usually supported by trestles or towers  with one or more spans. 
    "Platform" means the equipment attached to the  structure from which the bungee jumper departs. 
    "Private inspector" means a person performing  inspections who is independent of the company, individual or organization  owning, operating or having any vested interest in an amusement device being  inspected. 
    "Ultimate tensile strength" means the greatest  amount of load applied to a bungee cord prior to failure. 
    "USBC" means the Virginia Uniform Statewide  Building Code (13VAC5-63). 
    B. Words and terms used in this chapter which are defined in  the USBC shall have the meaning ascribed to them in that regulation unless the  context clearly indicates otherwise. 
    C. Words and terms used in this chapter which are defined in  the standards incorporated by reference in this chapter shall have the meaning  ascribed to them in those standards unless the context clearly indicates  otherwise. 
    13VAC5-31-50. Certification of amusement device inspectors.
    A. Any person, including local building department personnel,  inspecting an amusement device relative to a certificate of inspection shall  possess a valid certificate of competence certification as an  amusement device inspector from the Virginia Board of Housing and Community  Development in accordance with the Virginia Certification Standards  (13VAC5-21). 
    B. Local building department personnel enforcing this chapter  and private inspectors shall attend 16 hours every two years of continuing  education and periodic maintenance training courses approved or  required as designated by DHCD. Additional In addition to  the periodic maintenance training required above, local building department  personnel and private inspectors shall attend 16 hours of continuing  education hours shall not be required if more than one every two  years as approved by DHCD. If local building department personnel or private  inspectors possess more than one BHCD certificate is held, the 16  hours shall satisfy the continuing education requirement for all BHCD  certificates. 
    Part II 
  Enforcement, Permits and Certificates of Inspection 
    13VAC5-31-75. Local building department.
    A. In accordance with §§ 36-98.3 and 36-105 of the Code of  Virginia, the local building department shall be responsible for the  enforcement of this chapter and may charge fees for such enforcement activity.  The total amount charged for any one permit to operate an amusement device or  devices or the renewal of such permit shall not exceed the following, except  that when a private inspector is used, the fees shall be reduced by 50%:
    1. $25 for each kiddie ride covered by the permit;
    2. $35 for each circular ride or flat-ride less than 20 feet  in height covered by the permit;
    3. $55 for each spectacular ride covered by the permit that  cannot be inspected as a circular ride or flat-ride in subdivision 2 of this  subsection due to complexity or height; and
    4. $150 for each coaster covered by the permit that exceeds 30  feet in height.
    B. Notwithstanding the provisions of subsection A of this  section, when an amusement device is constructed in whole or in part at a site  for permanent operation at that site and is not intended to be disassembled and  moved to another site, then the local building department may utilize permit  and inspection fees established pursuant to the USBC to defray the cost of  enforcement. This authorization does not apply to an amusement device that is  only being reassembled, undergoing a major modification at a site or being  moved to a site for operation.
    C. A permit application shall be made to the local building  department at least five days before the date in which the applicant intends to  operate an amusement device. The application shall include the name of the  owner, operator or other person assuming responsibility for the device or  devices, a general description of the device or devices including any serial or  identification numbers available, the location of the property on which the  device or devices will be operated and the length of time of operation. The  permit application shall indicate whether a private inspector will be utilized.  If a private inspector is not utilized, the applicant shall give reasonable  notice when an inspection is sought and may stipulate the day such inspection  is requested provided it is during the normal operating hours of the local  building department. In addition to the information required on the permit  application, the applicant shall provide proof of liability insurance of an  amount not less than $100,000 per person and $1,000,000 in the  aggregate for each amusement device insuring the owner or operator against  liability for injury suffered by persons riding the amusement device or by  persons in, on, under or near the amusement device; per occurrence  or proof of equivalent financial responsibility. The local building department  shall be notified of any change in the liability insurance or financial  responsibility during the period covered by the permit.
    D. Notwithstanding the provisions of subsection C of this  section, a permit application is not required for a kiddie ride in which the  passenger height is 54 inches or less, the design capacity is for 12 passengers  or less and that can be assembled in two hours or less, provided the kiddie  ride that has an unexpired certificate of inspection issued by any  local building department in this Commonwealth. In such cases, the local building  department shall be notified prior to the operation of the kiddie ride and the  information required on a permit application as listed in subsection C of this  section shall be provided to the local building department.
    E. Local building department personnel shall examine the  permit application within five days and issue the permit if all requirements  are met. A certificate of inspection for each amusement device shall be issued  when the device has been found to comply with this chapter by a private inspector  or by an inspector from the local building department. It shall be the  responsibility of the local building department to verify that the private  inspector possesses a valid certificate of competence as an amusement device  inspector from the Virginia Board of Housing and Community Development. In  addition, local building department personnel shall be responsible for assuring  that the certificate of inspection is posted or affixed on or in the vicinity  of the device in a location visible to the public. Permits shall indicate the  length of time the device or devices will be operated at the site, clearly  identify the device or devices to which it applies and the date of expiration  of the permit. Permits shall not be valid for longer than one year.
    F. In addition to obtaining a certificate of inspection in  conjunction with a permit application for amusement devices permanently  fixed to a site, a new certificate of inspection shall also be obtained  prior to the operation of an amusement device following a major modification,  prior to each seasonal operation of a device, at least once during the  operating season and prior to resuming the operation of a device following  an order from a local building department to cease operation. This requirement  shall not apply to kiddie rides meeting the conditions outlined in subsection D  of this section.
    G. For amusement devices manufactured prior to 1978, the  owner or operator shall have the information required by §§ 2.1 through  2.6 of ASTM F628 F698 available at the time of inspection. In  addition, the operator of any amusement device shall be responsible for  obtaining all manufacturer's notifications, service bulletins and safety alerts  issued pursuant to ASTM F853 and the operator shall comply with all recommendations  and requirements set out in those documents. A copy of all such documents shall  be made available during an inspection.
    H. In the enforcement of this chapter, local building  department personnel shall have authority to conduct inspections at any time an  amusement device would normally be open for operation or at any other time if  permission is granted by the owner or operator, to issue an order to  temporarily cease operation of an amusement device upon the determination that  the device may be unsafe or may otherwise endanger the public and to accept and  approve or deny requests for modifications of the rules of this chapter in  accordance with the modification provisions of the USBC.
    VA.R. Doc. No. R09-1892; Filed August 27, 2009, 10:00 a.m. 
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Proposed Regulation
    Title of Regulation: 13VAC5-51. Virginia Statewide  Fire Prevention Code (amending 13VAC5-51-21, 13VAC5-51-81,  13VAC5-51-85, 13VAC5-51-130, 13VAC5-51-132, 13VAC5-51-133, 13VAC5-51-135,  13VAC5-51-145, 13VAC5-51-150, 13VAC5-51-155; repealing 13VAC5-51-143).
    Statutory Authority: § 27-97 of the Code of  Virginia.
    Public Hearing Information:
    January 25, 2010 - 10 a.m. - Virginia Housing Development  Authority, Virginia Housing Center, 4224 Cox Road, Glen Allen, VA
    Public Comment Deadline: January 25, 2010.
    Agency Contact: Stephen W. Calhoun, Regulatory  Coordinator, Department of Housing and Community Development, Main Street  Center, 600 East Main Street, Richmond, VA 23219, telephone (804) 371-7000, FAX  (804) 371-7090, TTY (804) 371-7089, or email steve.calhoun@dhcd.virginia.gov.
    Summary:
    The Virginia Statewide Fire Prevention Code (SFPC) is a  regulation governing the maintenance of fire safety features in existing  buildings and structures and fire-safety related operations on property. The  SFPC incorporates by reference the International Fire Code (IFC), a nationally  recognized model code produced by the International Code Council as a companion  code to that used under the Virginia Uniform Statewide Building Code  (13VAC5-63). Every three years, a new edition of the model code becomes  available. At that time, the Board of Housing and Community Development  initiates a regulatory action to incorporate the newer edition of the model code  into the regulation through a proposed regulation. 
    Specific changes in the proposed regulation are:
    1. 13VAC5-51-21 E and H: Changes made due to the new  chapter numbering in the 2009 edition of the IFC, which is the new edition of  the IFC being incorporated into the SFPC and to a provision in the USBC that is  being renumbered in a correlating regulatory amendment action.
    2. 13VAC5-51-31: Updates the reference to the IFC from the  2006 to the 2009 edition, which is the new nationally recognized model code  used in the SFPC. 
    3. 13VAC5-51-81: Changes fee provisions to match state law  in accordance with § 27-97 of the Code of Virginia. As the catchline was  formerly entitled only "Permits," there was confusion over whether  separate fees could be charged for appeals even though state law clearly  provides for such separate fees.
    4. 13VAC5-51-85: Deletes the requirements for construction  permits and retains the requirements for operational permits. The construction  permit requirements were inserted under a prior regulatory action in an attempt  to correlate with when permits are needed under the USBC to assist persons  enforcing the SFPC in existing buildings when discovering work that needed a  permit under the USBC, so that the local building department responsible for  enforcement of the USBC could be notified. The requirement is being removed as  the permit requirements of the USBC change frequently thus making amendments to  this regulation necessary to remain consistent with the USBC.
    5. 13VAC5-51-130 A and C: Changes subsection A to correlate  with the same definition in the USBC and moves the group classifications from a  parenthetical reference to the text of the definition. The change to subsection  C deletes the definition of the term "canopy" to correlate with changes  made to the IFC to eliminate the need for the definition. Canopies are now  regulated under the USBC and only tents are regulated under the SFPC.
    6. 13VAC5-51-132, 13VAC5-51-133 and 13VAC5-51-135: Changes  to match the new numbering in the 2009 edition of the IFC.
    7. 13VAC5-51-143: Repealed because there were amendments to  the 2006 edition of the IFC that are now incorporated into the 2009 IFC,  thereby making the changes to the IFC unnecessary.
    8. 13VAC5-51-145, 13VAC5-51-150 and 13VAC5-51-155: Changes to  correlate with changes in the IFC from the 2006 to the 2009 edition; no  substantive changes are made.
    13VAC5-51-21. Section 102.0. Applicability.
    A. 102.1. General: The provisions of the SFPC shall apply to  all matters affecting or relating to structures, processes and premises as set  forth in Section 101.0. The SFPC shall supersede any fire prevention  regulations previously adopted by a local government or other political  subdivision.
    B. 102.1.1. Changes: No change shall be made in the use or  occupancy of any structure that would place the structure in a different  division of the same group of occupancies, unless such structure is made to  comply with the requirements of this code and the USBC.
    C. 102.2. Application to pre-1973 buildings and structures: Buildings  and structures constructed prior to the USBC (1973) shall comply with the  maintenance requirements of the SFPC to the extent that equipment, systems,  devices, and safeguards which were provided and approved when constructed shall  be maintained. Such buildings and structures, if subject to the state fire and  public building regulations (Virginia Public Building Safety Regulations, VR  394-01-05) in effect prior to March 31, 1986, shall also be maintained in  accordance with those regulations.
    D. 102.3. Application to post-1973 buildings and structures:  Buildings and structures constructed under any edition of the USBC shall comply  with the maintenance requirements of the SFPC to the extent that equipment,  systems, devices, and safeguards which were provided and approved when  constructed shall be maintained.
    E. 102.4. Referenced codes and standards: The codes and  standards referenced in the IFC shall be those listed in Chapter 45 47  and considered part of the requirements of the SFPC to the prescribed extent of  each such reference. Where differences occur between the provisions of this  code and the referenced standards, the provisions of this code shall apply.
    F. 102.5. State-owned buildings and structures: The SFPC  shall be applicable to all state-owned buildings and structures in the manner  and extent described in § 27-99 of the Code of Virginia and the State Fire  Marshal shall have the authority to enforce this code in state-owned buildings  and structures as is prescribed in §§ 27-98 and 27-99 of the Code of Virginia.
    G. 102.6. Relationship to USBC: In accordance with §§ 27-34.4, 36-105.1 and 36-119.1 of the Code of Virginia, the USBC does not  supersede the provisions of this code that prescribe standards to be complied  with in existing buildings and structures, provided that this code shall not  impose requirements that are more restrictive than those of the USBC under  which the buildings or structures were constructed. Subsequent alteration,  enlargement, rehabilitation, repair or conversion of the occupancy  classification of such buildings and structures shall be subject to the  construction and rehabilitation provisions of the USBC. Inspection of buildings  other than state-owned buildings under construction and the review and approval  of building plans for these structures for enforcement of the USBC shall be the  sole responsibility of the appropriate local building inspectors.
    Upon completion of such structures, responsibility for fire  safety protection shall pass to the local fire marshal or official designated  by the locality to enforce this code in those localities that enforce the SFPC  or to the State Fire Marshal in those localities that do not enforce this code.
    H. 102.7. Inspections for USBC requirements: The fire  official shall require that existing structures subject to the requirements of  the applicable retrofitting provisions relating to the fire protection  equipment and system requirements of the USBC, Part I, Construction, Sections  103.7 and 3411 3413, comply with the provisions located therein.
    13VAC5-51-81. Section 107.0. Permits and fees.
    A. 107.1. Prior notification: The fire official may require  notification prior to (i) activities involving the handling, storage or use of  substances, materials or devices regulated by the SFPC; (ii) conducting  processes which produce conditions hazardous to life or property; or (iii)  establishing a place of assembly.
    B. 107.2. Permits required: Permits may be required by the  fire official as permitted under the SFPC in accordance with Table 107.2,  except that the fire official shall require permits for the manufacturing,  storage, handling, use, and sale of explosives. An application for a permit to  manufacture, store, handle, use, or sell explosives shall only be made by an  individual certified as a blaster in accordance with Section 3301.4, or by a  person who has been issued a background clearance card in accordance with  Section 3301.2.3.1.1.
    Exception: Such permits shall not be required for the storage  of explosives or blasting agents by the Virginia Department of State Police  provided notification to the fire official is made annually by the Chief Arson  Investigator listing all storage locations.
    C. Add Table 107.2 as follows:
         
          Table 107.2.
  OPERATIONAL PERMIT REQUIREMENTS (to be filled in by local jurisdiction).
           | Description | Permit Required (yes or no)
 | Permit fee | Inspection fee | 
       | Aerosol products. An operational permit is required to    manufacture, store or handle an aggregate quantity of Level 2 or Level 3    aerosol products in excess of 500 pounds (227 kg) net weight. |   |   |   | 
       | Amusement buildings. An operational permit is required to    operate a special amusement building. |   |   |   | 
       | Aviation facilities. An operational permit is required to    use a Group H or Group S occupancy for aircraft servicing or repair and    aircraft fuel-servicing vehicles. Additional permits required by other    sections of this code include, but are not limited to, hot work, hazardous    materials and flammable or combustible finishes. |   |   |   | 
       | Carnivals and fairs. An operational permit is required to    conduct a carnival or fair. |   |   |   | 
       | Battery systems. An operational permit is required to    install stationary lead-acid battery systems having a liquid capacity of more    than 50 gallons (189 L). |   |   |   | 
       | Cellulose nitrate film. An operational permit is required to    store, handle or use cellulose nitrate film in a Group A occupancy. |   |   |   | 
       | Combustible dust-producing operations. An operational permit    is required to operate a grain elevator, flour starch mill, feed mill, or a    plant pulverizing aluminum, coal, cocoa, magnesium, spices or sugar, or other    operations producing combustible dusts as defined in Chapter 2. |   |   |   | 
       | Combustible fibers. An operational permit is required for    the storage and handling of combustible fibers in quantities greater than 100    cubic feet (2.8 m3). Exception: An operational permit is not required for    agricultural storage. |   |   |   | 
       | Compressed gas. An operational permit is required for the    storage, use or handling at normal temperature and pressure (NTP) of    compressed gases in excess of the amounts listed below.  Exception: Vehicles equipped for and using compressed gas as    a fuel for propelling the vehicle. |   |   |   | 
       | Permit Amounts for    Compressed Gases | 
       | Type of Gas | Amount (cubic feet at    NTP) | 
       | Corrosive | 200 | 
       | Flammable (except cryogenic    fluids and liquefied petroleum gases) | 200 | 
       | Highly toxic  | Any Amount | 
       | Inert and simple asphyxiant  | 6,000 | 
       | Oxidizing (including oxygen) | 504 | 
       | Toxic  | Any Amount | 
       | For SI: 1 cubic foot = 0.02832 m3. | 
       | Covered mall buildings. An operational permit is required    for: 1. The placement of retail fixtures and displays, concession    equipment, displays of highly combustible goods and similar items in the    mall. 2. The display of liquid- or gas-fired equipment in the    mall. 3. The use of open-flame or flame-producing equipment in the    mall. | 
       | Cryogenic fluids. An operational permit is required to    produce, store, transport on site, use, handle or dispense cryogenic fluids    in excess of the amounts listed below. Exception: Operational permits are not required for vehicles    equipped for and using cryogenic fluids as a fuel for propelling the vehicle    or for refrigerating the lading. | 
       | Permit Amounts for    Cryogenic Fluids | 
       | Type of Cryogenic    Fluid | Inside Building (gallons)
 | Outside Building(gallons)
 | 
       | Flammable | More than 1 | 60 | 
       | Inert | 60 | 500 | 
       | Oxidizing (includes oxygen) | 10 | 50 | 
       | Physical or health hazard not indicated above | Any Amount | Any Amount | 
       | For SI: 1 gallon = 3.785 L. | 
       | Cutting and welding. An operational permit is required to    conduct cutting or welding operations within the jurisdiction. | 
       | Dry cleaning plants. An operational permit is required to    engage in the business of dry cleaning or to change to a more hazardous    cleaning solvent used in existing dry cleaning equipment. | 
       | Exhibits and trade shows. An operational permit is required    to operate exhibits and trade shows. | 
       | Explosives. An operational    permit is required for the manufacture, storage, handling, sale or use of any    quantity of explosive, explosive material, fireworks, or pyrotechnic special    effects within the scope of Chapter 33. | 
       | Fire hydrants and valves. An operational permit is required    to use or operate fire hydrants or valves intended for fire suppression    purposes that are installed on water systems and accessible to a fire    apparatus access road that is open to or generally used by the public. Exception: An operational    permit is not required for authorized employees of the water company that    supplies the system or the fire department to use or operate fire hydrants or    valves. | 
       | Flammable and combustible liquids. An operational permit is    required: 1. To use or operate a pipeline for the transportation    within facilities of flammable or combustible liquids. This requirement shall    not apply to the offsite transportation in pipelines regulated by the    Department of Transportation (DOTn) (see § 3501.1.2) nor does it apply to    piping systems (see § 3503.6). 2. To store, handle or use Class I liquids in excess of 5    gallons (19 L) in a building or in excess of 10 gallons (37.9 L) outside of a    building, except that a permit is not required for the following: | 
       |   | 2.1. The storage or use of Class I liquids in the fuel tank    of a motor vehicle, aircraft, motorboat, mobile power plant or mobile heating    plant, unless such storage, in the opinion of the fire official, would cause    an unsafe condition. 2.2. The storage or use of paints, oils, varnishes or    similar flammable mixtures when such liquids are stored for maintenance,    painting or similar purposes for a period of not more than 30 days. | 
       | 3. To store, handle or use Class II or Class IIIA liquids in    excess of 25 gallons (95 L) in a building or in excess of 60 gallons (227 L)    outside a building, except for fuel oil used in connection with oil-burning    equipment. 4. To remove Class I or Class II liquids from an underground    storage tank used for fueling motor vehicles by any means other than the    approved, stationary on-site pumps normally used for dispensing purposes. 5. To operate tank vehicles, equipment, tanks, plants,    terminals, wells, fuel-dispensing stations, refineries, distilleries and    similar facilities where flammable and combustible liquids are produced,    processed, transported, stored, dispensed or used. 6. To install, alter, remove, abandon, place temporarily out    of service (for more than 90 days) or otherwise dispose of an underground,    protected above-ground or above-ground flammable or combustible liquid tank. 7. To change the type of contents stored in a flammable or    combustible liquid tank to a material that poses a greater hazard than that    for which the tank was designed and constructed. 8. To manufacture, process, blend or refine flammable or    combustible liquids. | 
       | Floor finishing. An    operational permit is required for floor finishing or surfacing operations    exceeding 350 square feet (33 m2) using Class I or Class II    liquids. | 
       | Fruit and crop ripening. An    operational permit is required to operate a fruit- or crop-ripening facility    or conduct a fruit-ripening process using ethylene gas. | 
       | Fumigation and thermal insecticidal fogging. An operational    permit is required to operate a business of fumigation or thermal    insecticidal fogging and to maintain a room, vault or chamber in which a    toxic or flammable fumigant is used. | 
       | Hazardous materials. An operational permit is required to    store, transport on site, dispense, use or handle hazardous materials in    excess of the amounts listed below. | 
       | Permit Amounts for    Hazardous Materials | 
       | Type of Material | Amount | 
       | Combustible liquids | See flammable and combustible liquids | 
       | Corrosive materials | 
       |   | GasesLiquids
 Solids
 | See compressed gases55 gallons
 1000 pounds
 | 
       | Explosive materials | See explosives | 
       | Flammable materials | 
       |   | GasesLiquids
 
 Solids
 | See compressed gasesSee flammable and combustible liquids
 100 pounds
 | 
       | Highly toxic materials | 
       |   | GasesLiquids
 Solids
 | See compressed gasesAny Amount
 Any Amount
 | 
       | Oxidizing materials | 
       |   | Gases | See compressed gases | 
       |   | Liquids | 
       |   |   | Class 4Class 3
 Class 2
 Class 1
 | Any Amount1 gallon
 10 gallons
 55 gallons
 | 
       |   | Solids | 
       |   |   | Class 4Class 3
 Class 2
 Class 1
 | Any Amount10 pounds
 100 pounds
 500 pounds
 | 
       | Organic peroxides | 
       |   | Liquids | 
       |   |   | Class IClass II
 Class III
 Class IV
 Class V
 | Any AmountAny Amount
 1 gallon
 2 gallons
 No Permit Required
 | 
       |   | Solids | 
       |   |   | Class IClass II
 Class III
 Class IV
 Class V
 | Any AmountAny Amount
 10 pounds
 20 pounds
 No Permit Required
 | 
       | Pyrophoric materials | 
       |   |   | GasesLiquids
 Solids
 | See compressed gasesAny Amount
 Any Amount
 | 
       | Toxic materials | 
       |   |   | GasesLiquids
 Solids
 | See compressed gases10 gallons
 100 pounds
 | 
       | Unstable (reactive) materials | 
       |   | Liquids | 
       |   |   | Class 4Class 3
 Class 2
 Class 1
 | Any AmountAny Amount
 5 gallons
 10 gallons
 | 
       |   | Solids | 
       |   |   | Class 4Class 3
 Class 2
 Class 1
 | Any AmountAny Amount
 50 pounds
 100 pounds
 | 
       | Water-reactive Materials | 
       |   | Liquids | 
       |   |   | Class 3Class 2
 Class 1
 | Any Amount5 gallons
 55 gallons
 | 
       |   | Solids | 
       |   |   | Class 3Class 2
 Class 1
 | Any Amount50 pounds
 500 pounds
 | 
       | For SI: 1 gallon = 3.785 L, 1 pound = 0.454 kg. | 
       | HPM facilities. An operational    permit is required to store, handle or use hazardous production materials. | 
       | High piled storage. An operational permit is required to use    a building or portion thereof as a high-piled storage area exceeding 500    square feet (46 m2). | 
       | Hot work operations. An operational permit is required for    hot work including, but not limited to: 1. Public exhibitions and demonstrations where hot work is    conducted. 2. Use of portable hot work equipment inside a structure. Exception: Work that is conducted under a construction    permit. 3. Fixed-site hot work equipment such as welding booths. 4. Hot work conducted within a hazardous fire area. 5. Application of roof coverings with the use of an    open-flame device. 6. When approved, the fire official shall issue a permit to    carry out a Hot Work Program. This program allows approved personnel to    regulate their facility's hot work operations. The approved personnel shall    be trained in the fire safety aspects denoted in this chapter and shall be    responsible for issuing permits requiring compliance with the requirements    found in this chapter. These permits shall be issued only to their employees    or hot work operations under their supervision. | 
       | Industrial ovens. An operational permit is required for    operation of industrial ovens regulated by Chapter 21. | 
       | Lumber yards and woodworking plants. An operational permit    is required for the storage or processing of lumber exceeding 100,000 board    feet (8,333 ft3) (236 m3). | 
       | Liquid- or gas-fueled vehicles or equipment in assembly    buildings. An operational permit is required to display, operate or    demonstrate liquid- or gas-fueled vehicles or equipment in assembly    buildings. | 
       | LP-gas. An operational permit    is required for: 1. Storage and use of LP-gas. Exception: An operational    permit is not required for individual containers with a 500-gallon (1893 L)    water capacity or less serving occupancies in Group R-3. 2. Operation of cargo tankers    that transport LP-gas. | 
       | Magnesium. An operational permit is required to melt, cast,    heat treat or grind more than 10 pounds (4.54 kg) of magnesium. | 
       | Miscellaneous combustible    storage. An operational permit is required to store in any building or upon    any premises in excess of 2,500 cubic feet (71 m3) gross volume of    combustible empty packing cases, boxes, barrels or similar containers, rubber    tires, rubber, cork or similar combustible material. | 
       | Open burning. An operational permit is required for the    kindling or maintaining of an open fire or a fire on any public street,    alley, road, or other public or private ground. Instructions and stipulations    of the permit shall be adhered to. Exception: Recreational fires. | 
       | Open flames and candles. An operational permit is required    to remove paint with a torch; use a torch or open-flame device in a hazardous    fire area; or to use open flames or candles in connection with assembly    areas, dining areas of restaurants or drinking establishments. | 
       | Organic coatings. An operational permit is required for any    organic-coating manufacturing operation producing more than 1 gallon (4 L) of    an organic coating in one day. | 
       | Assembly/educational. An operational permit is required to    operate a place of assembly /educational occupancy. | 
       | Private fire hydrants. An operational permit is required for    the removal from service, use or operation of private fire hydrants. Exception: An operational permit is not required for private    industry with trained maintenance personnel, private fire brigade or fire    departments to maintain, test and use private hydrants. | 
       | Pyroxylin plastics. An operational permit is required for    storage or handling of more than 25 pounds (11 kg) of cellulose nitrate    (pyroxylin) plastics and for the assembly or manufacture of articles    involving pyroxylin plastics. | 
       | Refrigeration equipment. An operational permit is required    to operate a mechanical refrigeration unit or system regulated by Chapter 6. | 
       | Repair garages and service    stations. An operational permit is required for operation of repair garages    and automotive, marine and fleet service stations. | 
       | Rooftop heliports. An operational permit is required for the    operation of a rooftop heliport. | 
       | Spraying or dipping. An operational permit is required to    conduct a spraying or dipping operation utilizing flammable or combustible    liquids or the application of combustible powders regulated by Chapter 15. | 
       | Storage of scrap tires and    tire byproducts. An operational permit is required to establish, conduct or    maintain storage of scrap tires and tire byproducts that exceeds 2,500 cubic    feet (71 m3) of total volume of scrap tires and for indoor storage    of tires and tire byproducts. | 
       | Temporary membrane structures and tents. An operational    permit is required to operate an air-supported temporary membrane structure    or a tent. Exceptions: 1. Tents used exclusively for recreational camping purposes. 2. Tents and air-supported structures that cover an area of    900 square feet (84 m2) or less, including all connecting areas or    spaces with a common means of egress or entrance and with an occupant load of    50 or less persons. | 
       | Tire-rebuilding plants. An operational permit is required    for the operation and maintenance of a tire-rebuilding plant. | 
       | Waste handling. An operational permit is required for the    operation of wrecking yards, junk yards and waste material-handling    facilities. | 
       | Wood products. An operational permit is required to store    chips, hogged material, lumber or plywood in excess of 200 cubic feet (6 m3). | 
       |  |  |  |  |  |  |  |  |  |  | 
  
         
          D. 107.3. Application for permit: Application for a permit  shall be made on forms prescribed by the fire official.
    E. 107.4. Issuance of permits: Before a permit is issued, the  fire official shall make such inspections or tests as are necessary to assure  that the use and activities for which application is made comply with the provisions  of this code.
    F. 107.5. Conditions of permit: A permit shall constitute  permission to store or handle materials or to conduct processes in accordance  with the SFPC, and shall not be construed as authority to omit or amend any of  the provisions of this code. Permits shall remain in effect until revoked or  for such period as specified on the permit. Permits are not transferable.
    G. 107.5.1. Special conditions for the State Fire Marshal's  Office: Permits issued by the State Fire Marshal's Office for the use of  explosives in special operations or under emergency conditions shall be valid  for one week from the date of issuance and shall not be renewable.
    H. 107.6. State Fire Marshal: Permits will not be required by  the State Fire Marshal except for the manufacturing, storage, handling, use,  and sale of explosives in localities not enforcing the SFPC, and for the  display of fireworks on state-owned property.
    Exception: Such permits shall not be required for the storage  of explosives or blasting agents by the Virginia Department of State Police  provided notification to the State Fire Marshal is made annually by the Chief  Arson Investigator listing all storage locations within areas where enforcement  is provided by the State Fire Marshal's office.
    I. 107.7. Annual: The enforcing agency may issue annual  permits for the manufacturing, storage, handling, use, or sales of explosives  to any state regulated public utility.
    J. 107.8. Approved plans: Plans approved by the fire official  are approved with the intent that they comply in all respects to this code. Any  omissions or errors on the plans do not relieve the applicant of complying with  all applicable requirements of this code.
    K. 107.9. Posting: Issued permits shall be kept on the  premises designated therein at all times and shall be readily available for  inspection by the fire official.
    L. 107.10. Suspension of permit: A permit shall become  invalid if the authorized activity is not commenced within six months after  issuance of the permit, or if the authorized activity is suspended or abandoned  for a period of six months after the time of commencement.
    M. 107.11. Revocation of permit: The fire official may revoke  a permit or approval issued under the SFPC if conditions of the permit have  been violated, or if the approved application, data or plans contain  misrepresentation as to material fact.
    N. 107.12. Local permit fees: Fees In  accordance with § 27-97 of the Code of Virginia, fees may be levied by  the local governing body in order to defray the cost of enforcement and appeals  under the SFPC.
    O. 107.13. State explosives, blasting agents and fireworks  permit fees: Fees for permits issued by the State Fire Marshal's office for the  storage, use, sale or manufacture of explosives or blasting agents, and for the  display of fireworks on state-owned property shall be as follows:
    1. $100 per year per magazine to store explosives and blasting  agents.
    2. $150 per year per city or county to use explosives and  blasting agents.
    3. $150 per year to sell explosives and blasting agents.
    4. $200 per year to manufacture explosives, blasting agents  and fireworks.
    5. $300 per day for fireworks, pyrotechnics or proximate  audience displays conducted in any state-owned building and $150 per day for  each subsequent day.
    6. $200 per day for fireworks, pyrotechnics or proximate  audience displays conducted out-of-doors on any state-owned property and $150  per day for each subsequent day.
    7. $75 per event for the use of explosives in special  operations or emergency conditions.
    P. 107.14 State annual inspection permit fees. Annual fees  for inspection permits issued by the State Fire Marshal's office for the  inspection of buildings shall be as follows:
    1. Nightclubs.
    1.1. $350 for occupant load of 100 or less.
    1.2. $450 for occupant load of 101 to 200.
    1.3. $500 for occupant load of 201 to 300.
    1.4. $500 plus $50 for each 100 occupants where occupant loads  exceed 300.
    2. Private college dormitories with or without assembly areas.  If containing assembly areas, such assembly areas are not included in the  computation of square footage.
    2.1. $150 for 3500 square feet or less.
    2.2. $200 for greater than 3500 square feet up to 7000 square  feet.
    2.3. $250 for greater than 7000 square feet up to 10,000  square feet.
    2.4. $250 plus $50 for each additional 3000 square feet where  square footage exceeds 10,000.
    3. Assembly areas that are part of private college  dormitories.
    3.1. $50 for 10,000 square feet or less provided the assembly  area is within or attached to a dormitory building.
    3.2. $100 for greater than 10,000 square feet up to 25,000  square feet provided the assembly area is within or attached to a dormitory  building, such as gymnasiums, auditoriums or cafeterias.
    3.3. $100 for up to 25,000 square feet provided the assembly  area is in a separate or separate buildings such as gymnasiums, auditoriums or  cafeterias.
    3.4. $150 for greater than 25,000 square feet for assembly  areas within or attached to a dormitory building or in a separate or separate  buildings such as gymnasiums, auditoriums or cafeterias.
    4. Hospitals.
    4.1. $300 for 1 to 50 beds.
    4.2. $400 for 51 to 100 beds.
    4.3. $500 for 101 to 150 beds.
    4.4. $600 for 151 to 200 beds.
    4.5. $600 plus $100 for each additional 100 beds where the  number of beds exceeds 200.
    Exception: Annual inspection permits for any building or  groups of buildings on the same site may not exceed $2500.
    Q. 107.15. Fee schedule: The local governing body may  establish a fee schedule. The schedule shall incorporate unit rates, which may  be based on square footage, cubic footage, estimated cost of inspection or  other appropriate criteria.
    R. 107.16. Payment of fees: A permit shall not be issued  until the designated fees have been paid.
    Exception: The fire official may authorize delayed payment of  fees.
    13VAC5-51-85. Section 108.0. Operational permits.
    A. 108.1. General. Operational permits shall be in accordance  with Section 108. The fire official may require notification prior to (i)  activities involving the handling, storage or use of substances, materials or  devices regulated by the SFPC; (ii) conducting processes which produce  conditions hazardous to life or property; or (iii) establishing a place of  assembly. 
    B. 108.1.1. Permits required. Operational permits may be  required by the fire official in accordance with Table 107.2. The fire official  shall require operational permits for the manufacturing, storage, handling, use  and sale of explosives. Issued permits shall be kept on the premises designated  therein at all times and shall be readily available for inspection by the fire  official. 
    Exceptions: 
    1. Operational permits will not be required by the State Fire  Marshal except for the manufacturing, storage, handling, use and sale of  explosives in localities not enforcing the SFPC. 
    2. Operational permits will not be required for the  manufacturing, storage, handling or use of explosives or blasting agents by the  Virginia Department of State Police provided notification to the fire official  is made annually by the Chief Arson Investigator listing all storage locations.  
    C. 108.1.2. Types Duration of operational  permits. There shall be two types of permits as follows: 
    1. Operational permit. An operational permit allows the  applicant to conduct an operation or a business for which a permit is required  by Section 108.1.1 for either: 
    1.1. 1. A prescribed period. 
    1.2. 2. Until renewed or revoked. 
    2. Construction permit. A construction permit is required,  and shall be issued in accordance with the USBC and shall be issued by the  building official. A construction permit allows the applicant to install or  modify systems and equipment for which a permit is required by section 108.5. 
    D. 108.1.3. Operational permits for the same location. When  more than one operational permit is required for the same location, the fire  official is authorized to consolidate such permits into a single permit  provided that each provision is listed in the permit. 
    E. 108.2. Application. Application for an operational permit  required by this code shall be made to the fire official in such form and  detail as prescribed by the fire official. Applications for permits shall be  accompanied by such plans as prescribed by the fire official. 
    F. 108.2.1. Refusal to issue permit. If the application for  an operational permit describes a use that does not conform to the requirements  of this code and other pertinent laws and ordinances, the fire official shall  not issue a permit, but shall return the application to the applicant with the  refusal to issue such permit. Such refusal shall, when requested, be in writing  and shall contain the reasons for refusal. 
    G. 108.2.2. Inspection authorized. Before a new operational  permit is approved, the fire official is authorized to inspect the receptacles,  vehicles, buildings, devices, premises, storage spaces or areas to be used to  determine compliance with this code or any operational constraints required. 
    H. 108.2.3. Time limitation of application. An application  for an operational permit for any proposed work or operation shall be deemed to  have been abandoned six months after the date of filing, unless such  application has been diligently prosecuted or a permit shall have been issued;  except that the fire official is authorized to grant one or more extensions of  time for additional periods not exceeding 90 days each if there is reasonable  cause. 
    I. 108.2.4. Action on application. The fire official shall  examine or cause to be examined applications for operational permits and  amendments thereto within a reasonable time after filing. If the application  does not conform to the requirements of pertinent laws, the fire official shall  reject such application in writing, stating the reasons. If the fire official  is satisfied that the proposed work or operation conforms to the requirements  of this code and laws and ordinances applicable thereto, the fire official  shall issue a permit as soon as practicable. 
    J. 108.3. Conditions of a permit. An operational permit shall  constitute permission to maintain, store or handle materials; or to conduct  processes in accordance with the SFPC, and shall not be construed as authority  to omit or amend any of the provisions of this code. The building official  shall issue permits to install equipment utilized in connection with such  activities; or to install or modify any fire protection system or equipment or  any other construction, equipment installation or modification in accordance  with the provisions of this code where a permit is required by section 108.5.  Such permission shall not be construed as authority to omit or amend any of the  provisions of this code. 
    K. 108.3.1. Expiration. An operational permit shall remain in  effect until reissued, renewed, or revoked for such a period of time as  specified in the permit. Permits are not transferable and any change in  occupancy, operation, tenancy or ownership shall require that a new permit be  issued. 
    L. 108.3.2. Extensions. A permittee holding an unexpired  permit shall have the right to apply for an extension of the time within which  the permittee will commence work under that permit when work is unable to be  commenced within the time required by this section for good and satisfactory  reasons. The fire official is authorized to grant, in writing, one or more  extensions of the time period of a permit for periods of not more than 90 days  each. Such extensions shall be requested by the permit holder in writing and  justifiable cause demonstrated. 
    M. 108.3.3. Annual. The enforcing agency may issue annual  operational permits for the manufacturing, storage, handling, use, or sales of  explosives to any state regulated public utility. 
    N. 108.3.4. Suspension of permit. An operational permit shall  become invalid if the authorized activity is not commenced within six months  after issuance of the permit, or if the authorized activity is suspended or  abandoned for a period of six months after the time of commencement. 
    O. 108.3.5. Posting. Issued operational permits shall be kept  on the premises designated therein at all times and shall be readily available  for inspection by the fire official. 
    P. 108.3.6. Compliance with code. The issuance or granting of  an operational permit shall not be construed to be a permit for, or an approval  of, any violation of any of the provisions of this code or of any other  ordinance of the jurisdiction. Operational permits presuming to give authority  to violate or cancel the provisions of this code or other ordinances of the  jurisdiction shall not be valid. The issuance of a permit based on other data  shall not prevent the fire official from requiring the correction of errors in  the provided documents and other data. Any addition to or alteration of  approved provided documents shall be approved in advance by the fire official,  as evidenced by the issuance of a new or amended permit. 
    Q. 108.3.7. Information on the permit. The fire official  shall issue all operational permits required by this code on an approved form  furnished for that purpose. The operational permit shall contain a general  description of the operation or occupancy and its location and any other  information required by the fire official. Issued permits shall bear the  signature of the fire official. 
    R. 108.4. Revocation. The fire official is authorized to  revoke an operational permit issued under the provisions of this code when it  is found by inspection or otherwise that there has been a false statement or  misrepresentation as to the material facts in the application or documents on  which the permit or approval was based including, but not limited to, any one  of the following: 
    1. The permit is used for a location or establishment other  than that for which it was issued. 
    2. The permit is used for a condition or activity other than  that listed in the permit. 
    3. Conditions and limitations set forth in the permit have  been violated. 
    4. Inclusion of any false statements or misrepresentations as  to a material fact in the application for permit or plans submitted or a  condition of the permit. 
    5. The permit is used by a different person or firm than the  person or firm for which it was issued. 
    6. The permittee failed, refused or neglected to comply with  orders or notices duly served in accordance with the provisions of this code  within the time provided therein. 
    7. The permit was issued in error or in violation of an  ordinance, regulation or this code. 
    S. 108.5. Required construction permits. The building  official is authorized to issue construction permits in accordance with the  USBC for work as set forth in Sections 108.5.1 through 108.5.12. 
    T. 108.5.1. Automatic fire-extinguishing systems. A  construction permit is required for installation of or modification to an  automatic fire-extinguishing system. Maintenance performed in accordance with  this code is not considered a modification and does not require a permit. 
    U. 108.5.2. Compressed gases. When the compressed gases in  use or storage exceed the amounts listed in Table 107.2, a construction permit  is required to install, repair damage to, abandon, remove, place temporarily  out of service, or close or substantially modify a compressed gas system. 
    Exceptions: 
    1. Routine maintenance. 
    2. For emergency repair work performed on an emergency  basis, application for permit shall be made within two working days of  commencement of work. 
    The permit applicant shall apply for approval to close  storage, use or handling facilities at least 30 days prior to the termination  of the storage, use or handling of compressed or liquefied gases. Such  application shall include any change or alteration of the facility closure plan  filed pursuant to § 2701.5.3 of the Code of Virginia. The 30-day period is  not applicable when approved based on special circumstances requiring such  waiver. 
    V. 108.5.3. Fire alarm and detection systems and related  equipment. A construction permit is required for installation of or  modification to fire alarm and detection systems and related equipment.  Maintenance performed in accordance with this code is not considered a  modification and does not require a permit. 
    W. 108.5.4. Fire pumps and related equipment. A  construction permit is required for installation of or modification to fire  pumps and related fuel tanks, jockey pumps, controllers, and generators.  Maintenance performed in accordance with this code is not considered a  modification and does not require a permit. 
    X. 108.5.5. Flammable and combustible liquids. A  construction permit is required: 
    1. To repair or modify a pipeline for the transportation of  flammable or combustible liquids. 
    2. To install, construct or alter tank vehicles, equipment,  tanks, plants, terminals, wells, fuel-dispensing stations, refineries, distilleries  and similar facilities where flammable and combustible liquids are produced,  processed, transported, stored, dispensed or used. 
    3. To install, alter, remove, abandon, place temporarily  out of service or otherwise dispose of a flammable or combustible liquid tank. 
    Y. 108.5.6. Hazardous materials. A construction permit is  required to install, repair damage to, abandon, remove, place temporarily out  of service, or close or substantially modify a storage facility or other area  regulated by Chapter 27 when the hazardous materials in use or storage exceed  the amounts listed in Table 107.2. 
    Exceptions: 
    1. Routine maintenance. 
    2. For emergency repair work performed on an emergency  basis, application for permit shall be made within two working days of commencement  of work. 
    Z. 108.5.7. Industrial ovens. A construction permit is  required for installation of industrial ovens covered by Chapter 21. 
    Exceptions: 
    1. Routine maintenance. 
    2. For repair work performed on an emergency basis,  application for permit shall be made within two working days of commencement of  work. 
    AA. 108.5.8. LP-gas. A construction permit is required for  installation of or modification to an LP-gas system. 
    BB. 108.5.9. Private fire hydrants. A construction permit  is required for the installation or modification of private fire hydrants. 
    CC. 108.5.10. Spraying or dipping. A construction permit  is required to install or modify a spray room, dip tank or booth. 
    DD. 108.5.11. Standpipe systems. A construction permit is  required for the installation, modification, or removal from service of a  standpipe system. Maintenance performed in accordance with this code is not  considered a modification and does not require a permit. 
    EE. 108.5.12. Membrane structures, air-supported  structures and tents . A construction permit is required to erect all membrane  structures or any tent or air-supported structure that covers an area greater  than 900 square feet (84 m²), including within that area all connecting areas  or spaces with a common means of egress or entrance, provided such tents or  structures have an occupant load of greater than 50 persons. Tents used  exclusively for recreational camping shall not be required to obtain a  construction permit. 
    13VAC5-51-130. IFC Section 202.0. Definitions. 
    A. Add the following definitions:
    Background clearance card: See Section 3302.1. 
    Blaster, restricted: See Section 3302.1.
    Blaster, unrestricted: See Section 3302.1.
    DHCD: The Virginia Department of Housing and Community  Development.
    Local government, local governing body or locality: The  governing body of any county, city, or town, other political subdivision and  state agency in this Commonwealth charged with the enforcement of the SFPC  under state law.
    Night club: Any building or portion thereof in which the main  use is a place of public assembly that provides exhibition, performance or  other forms or entertainment; serves alcoholic beverages; and provides music  and space for dancing.
    State Fire Marshal: The State Fire Marshal as provided for by  § 36-139.2 of the Code of Virginia.
    State Regulated Care Facility (SRCF): A building or part  thereof with an occupancy in Group R-2, R-3, R-4, or R-5 occupied by  persons in the care of others where program regulatory oversight is  provided by the Virginia Department of Social Services;, the  Virginia Department of Mental Health, Mental Retardation and  Substance Abuse  Behavioral Health and Developmental Services;,  the Virginia Department of Education or the Virginia Department of  Juvenile Justice (Groups R-2, R-3, R-4 and R-5).
    Technical Assistant: Any person employed by or under an  extended contract to a local enforcing agency for enforcing the SFPC. For the  purposes of this definition, an extended contract shall be a contract with an  aggregate term of 18 months or longer.
    TRB: The Virginia State Building Code Technical Review Board.
    USBC: The Virginia Uniform Statewide Building Code  (13VAC5-63).
    B. Add the following definition under the term  "Occupancy Classification--Residential Group R":
    R-5 Detached one and two-family dwellings and multiple  single-family dwellings (townhouses) not more than three stories high with  separate means of egress and their accessory structures. The terms  "R-5" and "one and two-family dwelling" where used in this  code shall be interchangeable.
    C. Change the following definitions to read:
    Canopy: A structure or architectural projection of rigid  construction over which a covering is attached that provides weather  protection, identity or decoration and may be structurally independent or  supported by attachment to a building on one end by not less than one stanchion  on the outer end. 
    Fire code official: The officer or other designated authority  charged with administration and enforcement of this code, or a duly authorized  representative. For the purpose of this code, the terms "code  official" and "fire official" shall have the same meaning as the  term "fire code official" and, in addition, such official shall have  the powers outlined in § 27-98.1 of the Code of Virginia.
    13VAC5-51-132. IFC Chapter 4. Emergency Planning and  Preparedness. 
    A. Add Section 401.1.1 to read:
    401.1.1. State Regulated Care Facilities: when a state license  is required by the Virginia Department of Social Services; Virginia Department  of Mental Health, Mental Retardation and Substance Abuse Services; Virginia  Department of Education; or Virginia Department of Juvenile Justice to operate,  SRCF shall comply with this section and the provisions of Section 404.0.
    B. Add item 14 15 to Section 404.2 to read:
    14. 15. SRCF.
    C. Add exception to Section 405.1 to read:
    Exception: Emergency evacuation drills shall not be conducted  in school buildings during periods of mandatory testing required by the  Virginia Board of Education.
    D. Add the following category to Table 405.2 to read:
           | Group or occupancy | Frequency | Participation | 
       | SRCF | Monthly | All occupants | 
  
    E. Add Section 405.2.1 to read:
    405.2.1. High-rise buildings. Fire exit drills shall be  conducted annually by building staff personnel or the owner of the building in  accordance with the fire safety plan and shall not affect other current  occupants.
    F. Add Section 408.1.1 to  read:
    408.1.1. Maintaining occupant load posting. Occupant load  postings required by the building code are required to be maintained.
    G. Change Section 408.2 to read:
    408.2. Group A occupancies. Group A occupancies shall comply  with applicable requirements of Sections 408.2.1 through 408.2.3 and 401  through 406.
    H. Add Sections 408.2.3, 408.2.3.1 and 408.2.3.2 to read:
    408.2.3. Night clubs. Night clubs shall comply with Sections  408.2.3.1 and 408.2.3.2.
    408.2.3.1. Audible announcements. Audible announcements shall  be made to the occupants no longer than 10 minutes prior to the start of the  entertainment and at each intermission to notify the occupants of the location  of the exits to be used in the event of a fire or other emergency.
    408.2.3.2. Occupant load count. Upon request of the fire code  official, the owner or operator, or both, will be required to keep a running  count of the occupant load to provide to the fire code official during  performance hours of operation, entertainment hours of operation, or both.
    13VAC5-51-133. IFC Chapter 5. Fire Service Features. 
    A. Delete Section 501.4. 
    B. Add exceptions to Section 503.1 to read: 
    Exceptions: 
    1. Fire apparatus access roads shall be permitted to be  provided and maintained in accordance with written policy that establish fire  apparatus access road requirements and such requirements shall be identified to  the owner or his agent prior to the building official's approval of the building  permit. 
    2. On construction and demolition sites fire apparatus access  roads shall be permitted to be provided and maintained in accordance with  Section 1410.1. 
    C. Change Section 508.5.1 507.5.1 to read: 
    508.5.1. 507.5.1. Where required. Fire hydrant  systems shall be located and installed as directed by the fire department. Fire  hydrant systems shall conform to the written standards of the jurisdiction and  the fire department. 
    D. Add Section 503.7 to read: 
    503.7. Fire lanes for existing buildings. The fire code  official is authorized to designate public and private fire lanes as deemed  necessary for the efficient and effective operation of fire apparatus. Fire  lanes shall comply with Sections 503.2 through 503.6. 
    E. Add Change Section 511 510 to  read:
    Section 511 510. 
  Maintenance of In-Building Emergency Communication Equipment. 
    511.1. 510.1. General. In-building emergency  communication equipment shall be maintained in accordance with USBC and the  provisions of this section.
    511.2. 510.2. Additional in-building emergency  communications installations. If it is determined by the locality that  increased amplification of their emergency communication system is needed, the  building owner shall allow the locality access as well as provide appropriate space  within the building to install and maintain necessary additional communication  equipment by the locality. If the building owner denies the locality access or  appropriate space, or both, the building owner shall be responsible for the  installation and maintenance of these additional systems.
    511.3. 510.3. Field tests. After providing  reasonable notice to the owner or their representative, the fire official,  police chief, or their agents shall have the right during normal business  hours, or other mutually agreed upon time, to enter onto the property to  conduct field tests to verify that the required level of radio coverage is  present at no cost to the owner. 
    13VAC5-51-135. IFC Chapter 9. Fire Protection Systems. 
    A. Change Section 901.4.2 to read:
    901.4.2. Nonrequired fire protection systems. Nonrequired fire  protection systems shall be maintained to function as originally installed. If  any such systems are to be reduced in function or discontinued, approval shall  be obtained from the building official in accordance with Section 103.8.1 of  Part I of the USBC.
    B. Delete Section 901.4.3.
    C. Change Section 901.6 to read:
    901.6. Inspection, testing and maintenance. To the extent that  equipment, systems, devices, and safeguards, such as fire detection, alarm and extinguishing  systems, which were provided and approved by the building official when  constructed, shall be maintained in an operative condition at all times. And  where such equipment, systems, devices, and safeguards are found not to be in  an operative condition, the fire official shall order all such equipment to be  rendered safe in accordance with the USBC.
    D. Add Section 901.10 to read:
    901.10. Defective equipment. When the fire official determines  through investigation or testing or reports by a nationally recognized testing  agency that specific, required water sprinkler or water-spray extinguishing  equipment has been identified as failing to perform or operate through not less  than 30 randomly selected sprinkler heads at four or more building sites anywhere  in the nation, the fire official shall order all such equipment to be rendered  safe.
    E. Change the following definition in Section 902 to read:
    Automatic fire-extinguishing system. An approved system of  devices and equipment which automatically detects a fire and discharges an  approved fire-extinguishing agent onto or in the area of a fire. Such system  shall include an automatic sprinkler system, unless otherwise expressly stated.
    F. Change item 1 in Section 906.1 to read:
    1. In Group A, B, E, F, H, I, M, R-1, R-4 and S occupancies.
    G. Add a note to Section 906.1 to read:
    Note: In existing buildings, whether fire extinguishers are  needed is determined by the USBC or other code in effect when such buildings  were constructed.
    H. Change Section 907.20.2  907.9.2 to read:
    907.20.2. 907.9.2. Testing. Testing shall be  performed in accordance with the schedules in Chapter 10 of NFPA 72 or more  frequently where required by the fire code official. Where automatic testing is  performed at least weekly by a remotely monitored fire alarm control unit  specifically listed for the application, the manual testing frequency shall be  permitted to be extended to annual. In Group R-1 occupancies, battery-powered  single station smoke detectors shall be tested and inspected at one-month  intervals.
    Exception: Devices or equipment that are inaccessible for  safety considerations shall be tested during scheduled shutdowns where approved  by the fire code official, but not less than every 18 months.
    13VAC5-51-143. IFC Chapter 24. Tents, Canopies and Other  Membrane Structures. (Repealed.)
    A. Change the title of Chapter 24 to read "Tents and  Membrane Structures."
    B. Change Section 2401.1 to read:
    2401.1. Scope. Tents and membrane structures shall comply  with this chapter. The provisions of Section 2403 are applicable only to  temporary membrane structures. The provisions of Section 2404 are applicable to  temporary and permanent membrane structures.
    C. Delete the definition of the term "Canopy" in  Section 2402.1 and change the definition of the term "Tent" in  Section 2402.1 to read:
    Tent: Any structure, enclosure or shelter, other than a  canopy, with or without sidewalls or drops constructed of fabric or pliable  material supported by any manner except by air or the contents it protects.
    D. Change the title of Section 2403 to read  "Temporary Tents and Membrane Structures."
    E. Change Section 2403.1 to read:
    2403.1. General. All temporary tents and membrane  structures shall comply with this section.
    F. Change Section 2403.2 to read:
    2403.2. Approval required. Tents and membrane structures  having an area in excess of 200 square feet (19 m2) shall not be  erected, operated or maintained for any purpose without first obtaining a  permit and approval from the fire code official.
    Exception: Tents used exclusively for recreational camping  purposes.
    G. Change Section 2403.5 to  read:
    2403.5. Use period. Temporary tents and air-supported,  air-inflated or tensioned membrane structures shall not be erected for a period  of more than 180 days within a 12-month period on a single premises.
    H. Change Section 2403.6 to read:
    2403.6. Construction documents. A detailed site and floor  plan for tents or membrane structures with an occupant load of 50 or more shall  be provided with each application for approval. The tent or membrane structure  floor plan shall indicate details of the means of egress facilities, seating  capacity, arrangement of the seating and location and type of heating and  electrical equipment.
    I. Change Sections 2403.8, 2403.8.2 and 2403.8.5 to read:
    2403.8. Access, location and parking. Access location and  parking for temporary tents and membrane structures shall be in accordance with  this section.
    2403.8.2. Location. Tents or membrane structures shall not  be located within 20 feet (6096 mm) of lot lines, buildings, other tents or  membrane structures, parked vehicles or internal combustion engines. For the  purpose of determining required distances, support ropes and guy wires shall be  considered as part of the temporary membrane structure or tent.
    Exceptions:
    1. Separation distance between membrane structures and  tents not used for cooking, is not required when the aggregate floor area does  not exceed 15,000 square feet (1394 m2).
    2. Membrane structures or tents need not be separated from  buildings when all of the following conditions are met:
    2.1. The aggregate floor area of the membrane structure or  tent shall not exceed 10,000 square feet (929 m2).
    2.2. The aggregate floor area of the building and membrane  structure or tent shall not exceed the allowable floor area including increases  as indicated in the International Building Code.
    2.3. Required means of egress provisions are provided for  both the building and the membrane structure or tent, including travel  distances.
    2.4. Fire apparatus access roads are provided in accordance  with Section 503.
    2403.8.5. Fire break. An unobstructed fire break passageway  or fire road not less than 12 feet (3658 mm) wide and free from guy ropes or  other obstructions shall be maintained on all sides of all tents and membrane  structures unless otherwise approved by the fire code official.
    J. Change Section 2403.9 to read:
    2403.9. Anchorage required. Tents or membrane structures  and their appurtenances shall be adequately roped, braced and anchored to  withstand the elements of weather and prevent against collapsing. Documentation  of structural stability shall be furnished to the fire code official on  request.
    K. Change Section 2403.11 to read:
    2403.11. Seating arrangements. Seating in tents or membrane  structures shall be in accordance with Chapter 10.
    L. Change Sections 2403.12, 2403.12.1, 2403.12.2 and Table  2403.2 to read:
    2403.12. Means of egress. Means of egress for temporary  tents and membrane structures shall be in accordance with Sections 2403.12.1  through 2403.12.8.
    2403.12.1. Distribution. Exits shall be spaced at  approximately equal intervals around the perimeter of the tent or membrane  structure, and shall be located such that all points are 100 feet (30 480 mm)  or less from an exit.
    2403.12.2. Number. Tents or membrane structures or a usable  portion thereof shall have at least one exit and not less than the number of  exits required by Table 2403.12.2. The total width of means of egress in inches  (mm) shall not be less than the total occupant load served by a means of egress  multiplied by 0.2 inches (5 mm) per person.
           | Table 2403.12.2.Minimum Number of Means of Egress and Means of Egress Widths from Temporary    Membrane Structures and Tents.
 | 
       | Occupant Load
 | Minimum Number of Means of Egress
 | Minimum Width of Each Means of Egress (inches)
 | Minimum Width of Each Means of Egress (inches)
 | 
       | Tent
 | Membrane Structure
 | 
       | 10 to 199
 | 2
 | 72
 | 36
 | 
       | 200 to 499
 | 3
 | 72
 | 72
 | 
       | 500 to 999
 | 4
 | 96
 | 72
 | 
       | 1,000 to 1,999
 | 5
 | 120
 | 96
 | 
       | 2,000 to 2,999
 | 6
 | 120
 | 96
 | 
       | Over 3,000a
 | 7
 | 120
 | 96
 | 
       | For SI: 1 inch = 25.4 mm
 aWhen the occupant load exceeds 3,000, the    total width of means of egress (in inches) shall not be less than the total    occupant load multiplied by 0.2 inches per person.
 | 
  
    M. Change the title of Section 2404 to read  "Temporary and Permanent Tents and Membrane Structures."
    N. Change Section 2404.1 to read:
    2404.1. General. All tents and membrane structures, both  temporary and permanent, shall be in accordance with this section. Permanent  tents and membrane structures shall also comply with the International Building  Code.
    O. Change Section 2404.2 to read:
    2404.2. Flame propagation performance treatment. Before a  permit is granted, the owner or agent shall file with the fire code official a  certificate executed by an approved testing laboratory certifying that the  tents and membrane structures and their appurtenances; sidewalls, drops and  tarpaulins; floor coverings, bunting and combustible decorative materials and  effects, including sawdust when used on floors or passageways, shall be  composed of material meeting the flame propagation performance criteria of NFPA  701 or shall be treated with a flame retardant in an approved manner and meet  the flame propagation performance criteria of NFPA 701, and that such flame  propagation performance criteria are effective for the period specified by the  permit.
    P. Change Section 2404.3 to read:
    2404.3. Label. Membrane structures or tents shall have a  permanently affixed label bearing the identification of size and fabric or  material type.
    Q. Change Section 2404.4 to read:
    2404.4. Certification. An affidavit or affirmation shall be  submitted to the fire code official and a copy retained on the premises on  which the tent or air-supported structure is located. The affidavit shall  attest to the following information relative to the flame propagation  performance criteria of the fabric:
    1. Names and address of the owners of the tent or  air-supported structure.
    2. Date the fabric was last treated with flame-retardant  solution.
    3. Trade name or kind of chemical used in treatment.
    4. Name of person or firm treating the material.
    5. Name of testing agency and test standard by which the  fabric was tested.
    R. Change Section 2404.5 to read:
    2404.5. Combustible materials. Hay, straw, shavings or  similar combustible materials shall not be located within any tent or membrane  structure containing an assembly occupancy, except the materials necessary for  the daily feeding and care of animals. Sawdust and shavings utilized for a  public performance or exhibit shall not be prohibited provided the sawdust and  shavings are kept damp. Combustible materials shall not be permitted under  stands or seats at any time. The areas within and adjacent to the tent or  air-supported structure shall be maintained clear of all combustible materials  or vegetation that could create a fire hazard within 20 feet (6096 mm) of the  structure. Combustible trash shall be removed at least once a day from the  structure during the period the structure is occupied by the public.
    S. Change Section 2404.6 to read:
    2404.6. Smoking. Smoking shall not be permitted in tents or  membrane structures. Approved "No Smoking" signs shall be  conspicuously posted in accordance with Section 310.
    T. Change Section 2404.7 to read:
    2404.7. Open or exposed flame. Open flame or other devices  emitting flame, fire or heat or any flammable or combustible liquids, gas,  charcoal or other cooking device or any other unapproved devices shall not be  permitted inside or located within 20 feet (6096 mm) of the tent or membrane  structures while open to the public unless approved by the fire code official.
    U. Change Section 2404.8 to read:
    2404.8. Fireworks. Fireworks shall not be used within 100  feet (30 480 mm) of tents or membrane structures.
    V. Change Section 2404.10 to read:
    2404.10. Safety film. Motion pictures shall not be  displayed in tents or membrane structures unless the motion picture film is  safety film.
    W. Change Sections 2404.15.2, 2404.15.5 and 2404.15.6 to  read:
    2404.15.2. Venting. Gas, liquid and solid fuel-burning  equipment designed to be vented shall be vented to the outside air as specified  in the International Fuel Gas Code and the International Mechanical Code. Such  vents shall be equipped with approved spark arresters when required. Where  vents or flues are used, all portions of the tent or membrane structure shall  be not less than 12 inches (305 mm) from the flue or vent.
    2404.15.5. Cooking tents. Tents where cooking is performed  shall be separated from other tents or membrane structures by a minimum of 20  feet (6096 mm).
    2404.15.6. Outdoor cooking. Outdoor cooking that produces  sparks or grease-laden vapors shall not be performed within 20 feet (6096 mm)  of a tent or membrane structure.
    X. Change Sections 2404.16.2 and 2404.16.3 to read:
    2404.16.2. Location of containers. LP-gas containers shall  be located outside. Safety release valves shall be pointed away from the tent  or membrane structure.
    2404.16.3. Protection and security. Portable LP-gas  containers, piping, valves and fittings which are located outside and are being  used to fuel equipment inside a tent or membrane structure shall be adequately  protected to prevent tampering, damage by vehicles or other hazards and shall  be located in an approved location. Portable LP-gas containers shall be  securely fastened in place to prevent unauthorized movement.
    Y. Change Sections 2404.17.1, 2404.17.2 and 2404.17.3 to  read:
    2404.17.1. Use. Flammable-liquid-fueled equipment shall not  be used in tents or membrane structures.
    2404.17.2. Flammable and combustible liquid storage.  Flammable and combustible liquids shall be stored outside in an approved manner  not less than 50 feet (15 240 mm) from tents or membrane structures. Storage  shall be in accordance with Chapter 34.
    2404.17.3. Refueling. Refueling shall be performed in an  approved location not less than 20 feet (6096 mm) from tents or membrane  structures.
    Z. Change Sections 2404.18, 2404.18.2 and 2404.18.5 to  read:
    2404.18. Display of motor vehicles. Liquid- and gas-fueled  vehicles and equipment used for display within tents or membrane structures  shall be in accordance with Sections 2404.18.1 through 2404.18.5.3.
    2404.18.2. Fuel systems. Vehicles or equipment shall not be  fueled or defueled within the tent or membrane structure.
    2404.18.5. Competitions and demonstrations. Liquid and  gas-fueled vehicles and equipment used for competition or demonstration within  a tent or membrane structure shall comply with Sections 2404.18.5.1 through  2404.18.5.3.
    AA. Change Section 2404.19 to read:
    2404.19. Separation of generators. Generators and other  internal combustion power sources shall be separated from tents or membrane  structures by a minimum of 20 feet (6096 mm) and shall be isolated from contact  with the public by fencing, enclosure or other approved means.
    BB. Change Section 2404.20 to read:
    2404.20. Standby personnel. When, in the opinion of the  fire code official, it is essential for public safety in a tent or membrane  structure used as a place of assembly or any other use where people congregate,  because of the number of persons, or the nature of the performance, exhibition,  display, contest or activity, the owner, agent or lessee shall employ one or  more qualified persons, as required and approved, to remain on duty during the  times such places are open to the public, or when such activity is being  conducted.
    Before each performance or the start of such activity,  standby personnel shall keep diligent watch for fires during the time such  place is open to the public or such activity is being conducted and take prompt  measures for extinguishment of fires that occur and assist in the evacuation of  the public from the structure.
    There shall be trained crowd managers or crowd manager  supervisors at a ratio of one crowd manager/supervisor for every 250 occupants,  as approved.
    CC. Change Section 2404.21 to read:
    2404.21. Vegetation removal. Combustible vegetation shall  be removed from the area occupied by a tent or membrane structure, and from  areas within 30 feet (9144 mm) of such structures.
    DD. Change Section 2404.22 to read:
    2404.22. Waste material. The floor surface inside tents or  membrane structures and the grounds outside and within a 30-foot (9144 mm)  perimeter shall be kept clear of combustible waste. Such waste shall be stored  in approved containers until removed from the premises. 
    13VAC5-51-145. IFC Chapter 27. Hazardous Materials - General  Provisions. 
    A. Change Add the following language to the end of  Section 2701.5.1 to read: 
    2701.5.1. Hazardous Materials Management Plan. Where  required by the fire code official, each application for a permit shall include  a Hazardous Materials Management Plan (HMMP). The HMMP shall be maintained  onsite for use by emergency responders, and shall be updated not less than  annually. The HMMP shall include a facility site plan designating the  following: 
    1. Storage and use areas. 
    2. Maximum amount of each material stored or used in each  area. 
    3. Range of container sizes. 
    4. Locations of emergency isolation and mitigation valves  and devices. 
    5. Product conveying piping containing liquids or gases,  other than utility-owned fuel gas lines and low-pressure fuel gas lines. 
    6. On and off positions of valves for valves that are of  the self-indicating type. 
    7. Storage plan showing the intended storage arrangement,  including the location and dimensions of aisles. 
    8. The location and type of emergency equipment. The plans  shall be legible and drawn approximately to scale. Separate distribution  systems are allowed to be shown on separate pages. 
    B. Change Add the following language to the end of  Section 2701.5.2 to read: 
    2701.5.2. Hazardous Materials Inventory Statement (HMIS).  Where required by the fire code official, an application for a permit shall  include an HMIS, such as SARA (Superfund Amendments and Reauthorization Act of  1986) Title III, Tier II Report, or other approved statement. The HMIS  shall be maintained onsite or readily available through another means where  approved by the fire code official for use by temporary responders, and shall  be updated not less than annually. The HMIS shall include the following  information: 
    1. Manufacturer's name. 
    2. Chemical name, trade names, hazardous ingredients. 
    3. Hazard classification. 
    4. MSDS or equivalent. 
    5. United Nations (UN), North America (NA) or the Chemical  Abstract Service (CAS) identification number. 
    6. Maximum quantity stored or used on-site at one time. 
    7. Storage conditions related to the storage type,  temperature and pressure. 
    C. Add Sections 2701.5.3, 2701.5.3.1 and 2701.5.3.2 to read: 
    2701.5.3. Repository container. When a HMMP or HMIS is  required, the owner or operator shall provide a repository container (lock box)  or other approved means for the storage of items required in Sections 2701.5.1  and 2701.5.2 so as to be readily available to emergency response personnel. 
    2701.5.3.1. Location and identification. The repository  container (lock box) shall be located, installed and identified in an approved  manner. 
    2701.5.3.2. Keying. All repository containers (lock boxes)  shall be keyed as required by the fire code official. 
    D. Change Section 2703.3.1.4  to read: 
    2703.3.1.4. Responsibility for cleanup. The person, firm or  corporation responsible for an unauthorized discharge shall institute and  complete all actions necessary to remedy the effects of such unauthorized  discharge, whether sudden or gradual, at no cost to the jurisdiction. The fire  code official may require records and receipts to verify cleanup and proper  disposal of unauthorized discharges. When deemed necessary by the fire code  official, cleanup may be initiated by the fire department or by an authorized individual  or firm. Costs associated with such cleanup shall be borne by the owner,  operator or other person responsible for the unauthorized discharge. 
    13VAC5-51-150. IFC Chapter 33. Explosives and Fireworks. 
    A. Change exception 4 in Section 3301.1 to read:
    4. The possession, storage, and use of not more than 15 pounds  (6.81 kg) of commercially manufactured sporting black powder, 20 pounds (9 kg)  of smokeless powder and any amount of small arms primers for hand loading of  small arms ammunition for personal consumption.
    B. Add exceptions 10, 11 and 12 to Section 3301.1 to read:
    10. The storage, handling, or use of explosives or blasting  agents pursuant to the provisions of Title 45.1 of the Code of Virginia.
    11. The display of small arms primers in Group M when in the  original manufacturer's packaging.
    12. The possession, storage and use of not more than 50 pounds  (23 kg) of commercially manufactured sporting black powder, 100 pounds (45 kg)  of smokeless powder, and small arms primers for hand loading of small arms  ammunition for personal consumption in Group R-3 or R-5, or 200 pounds (91 kg)  of smokeless powder when stored in the manufacturer's original containers in  detached Group U structures at least 10 feet (3048 mm) from inhabited buildings  and are accessory to Group R-3 or R-5.
    C. Change exception 4 in Section 3301.1.3 to read:
    4. The possession, storage, sale, handling and use of  permissible fireworks where allowed by applicable local or state laws,  ordinances and regulations provided such fireworks comply with CPSC 16 CFR,  Parts 1500-1507, and DOTn 49 CFR, Parts 100-178, for consumer fireworks.
    D. Add exception 5 to Section 3301.1.3 to read:
    5. The sale or use of materials or equipment when such  materials or equipment is used or to be used by any person for signaling or  other emergency use in the operation of any boat, railroad train or other  vehicle for the transportation of persons or property.
    E. Change entire Section 3301.2 to read:
    3301.2. Permit required. Permits shall be required as set  forth in Section 107.2 and regulated in accordance with this section. The  manufacture, storage, possession, sale and use of fireworks or explosives shall  not take place without first applying for and obtaining a permit.
    3301.2.1. Residential uses. No person shall keep or store, nor  shall any permit be issued to keep, possess or store, any fireworks or  explosives at any place of habitation, or within 100 feet (30,480 mm) thereof.
    Exception: Storage of smokeless propellant, black powder, and  small arms primers for personal use and not for resale in accordance with  Section 3306.
    3301.2.2. Sale and retail display. Except for the Armed Forces  of the United States, Coast Guard, National Guard, federal, state and local  regulatory, law enforcement and fire agencies acting in their official  capacities, explosives shall not be sold, given, delivered or transferred to  any person or company not in possession of a valid permit. The holder of a  permit to sell explosives shall make a record of all transactions involving  explosives in conformance with Section 3303.2 and include the signature of any  receiver of the explosives. No person shall construct a retail display nor  offer for sale explosives, explosive materials, or fireworks upon highways,  sidewalks, public property, or in assembly or educational occupancies.
    3301.2.3. Permit restrictions. The fire official is authorized  to limit the quantity of explosives, explosive materials, or fireworks  permitted at a given location. No person, possessing a permit for storage of  explosives at any place, shall keep or store an amount greater than authorized  in such permit. Only the kind of explosive specified in such a permit shall be  kept or stored.
    3301.2.3.1. Permit applicants. The fire official shall not  issue a permit to manufacture, store, handle, use or sell explosives or  blasting agents to any individual applicant who is not certified by the SFMO as  a blaster in accordance with Section 3301.4.1, or who is not in the possession  of a background clearance card or to designated persons representing an  applicant that is not an individual and who is not in possession of a  background clearance card issued in accordance with Section 3301.2.3.1.1. The  SFMO shall process all applications for a background clearance card for  compliance with § 27-97.2 of the Code of Virginia and will be the sole provider  of background clearance cards.
    3301.2.3.1.1. Background clearance card: A background  clearance card may be issued upon completion of the following requirements:
    1. Any firm or company manufacturing, storing, using or  selling explosives in the Commonwealth shall provide the name of a designated  person or persons who will be a representative of the company and be  responsible for (i) ensuring compliance with state law and regulations relating  to blasting agents and explosives and (ii) applying for permits from the fire  official.
    2. Using a form provided by the SFMO, all individual  applicants and all designated persons representing an applicant that is not an  individual, shall submit to a background investigation, to include a national  criminal history record check, for a permit to manufacture, store, handle, use  or sell explosives, and for any applicant for certification as a blaster.
    3. Each such applicant shall submit fingerprints and provide  personal descriptive information to the SFMO to be forwarded through the  Central Criminal Records Exchange to the Federal Bureau of Investigation for  the purpose of obtaining a national criminal history record check regarding  such applicant.
    3301.2.3.1.2. Issuance of a background clearance card: The  issuance of a background clearance card shall be denied if the applicant or  designated person representing an applicant has been convicted of any felony,  whether such conviction occurred under the laws of the Commonwealth, or any  other state, the District of Columbia, the United States or any territory  thereof, unless his civil rights have been restored by the Governor or other  appropriate authority.
    3301.2.3.1.3. Fee for background clearance card: The fee for  obtaining or renewing a background clearance card from SFMO shall be $150 plus  any additional fees charged by other agencies for fingerprinting and for  obtaining a national criminal history record check through the Central Criminal  Records Exchange to the Federal Bureau of Investigation.
    3301.2.3.1.4. Revocation of a background clearance card: After  issuance of a background clearance card, subsequent conviction of a felony will  be grounds for immediate revocation of a background clearance card, whether  such conviction occurred under the laws of the Commonwealth, or any other  state, the District of Columbia, the United States or any territory thereof.  The card shall be returned to the SFMO immediately. An individual may reapply  for his background clearance card if his civil rights have been restored by the  Governor or other appropriate authority.
    3301.2.4. Financial responsibility. Before a permit is issued,  as required by Section 3301.2, the applicant shall file with the jurisdiction a  corporate surety bond in the principal sum of $500,000 or a public liability  insurance policy for the same amount, for the purpose of the payment of all  damages to persons or property which arise from, or are caused by, the conduct  of any act authorized by the permit upon which any judicial judgment results.  The legal department of the jurisdiction may specify a greater amount when  conditions at the location of use indicate a greater amount is required.  Government entities shall be exempt from this bond requirement.
    3301.2.4.1. Blasting. Before approval to do blasting is  issued, the applicant for approval shall file a bond or submit a certificate of  insurance in such form, amount, and coverage as determined by the legal  department of the jurisdiction to be adequate in each case to indemnify the  jurisdiction against any and all damages arising from permitted blasting but in  no case shall the value of the coverage be less than $500,000.
    Exception: Filing a bond or submitting a certificate of  liability insurance is not required for blasting on real estate parcels of five  or more acres conforming to the definition of "real estate devoted to  agricultural use" or "real estate devoted to horticultural use"  in § 58.1-3230 of the Code of Virginia and conducted by the owner of such real  estate.
    3301.2.4.2. Fireworks display. The permit holder shall furnish  a bond or certificate of insurance in an amount deemed adequate by the legal  department of the jurisdiction for the payment of all potential damages to a  person or persons or to property by reason of the permitted display, and  arising from any acts of the permit holder, the agent, employees or  subcontractors.
    F. Change entire Section 3301.4 to read:
    3301.4. Qualifications. Persons in charge of magazines,  blasting, fireworks display, or pyrotechnic special effect operations shall not  be under the influence of alcohol or drugs which impair sensory or motor  skills, shall be at least 21 years of age and possess knowledge of all safety  precautions related to the storage, handling or use of explosives, explosive materials  or fireworks.
    3301.4.1. Certification of blasters. Certificates as a  restricted or unrestricted blaster will be issued upon proof of successful  completion of an examination approved by the SFMO and a background  investigation for compliance with § 27-97.2 of the Code of Virginia. The  applicant for certification shall submit proof to the SFMO of the following  experience:
    1. For certification as a restricted blaster, at least one  year under direct supervision by a certified unrestricted blaster, certified  restricted blaster or other person(s) approved by the SFMO.
    2. For certification as an unrestricted blaster, at least one  year under direct supervision by a certified unrestricted blaster or other  person or persons approved by the SFMO.
    The SFMO shall process all certification applicants for  compliance with § 27-97.2 of the Code of Virginia and will be the sole provider  of blaster certifications.
    Exception: The owner of real estate parcels of five or more  acres conforming to the definition of "real estate devoted to agricultural  use" or "real estate devoted to horticultural use" in § 58.1-3230 of the Code of Virginia when blasting on such real estate.
    3301.4.2. Certification issuance. The issuance of a  certification as a blaster shall be denied if the applicant has been convicted  of any felony, whether such conviction occurred under the laws of the  Commonwealth, or any other state, the District of Columbia, the United States  or any territory thereof, unless his civil rights have been restored by the Governor  or other appropriate authority.
    3301.4.3. Fee for certification. The fee for obtaining or  renewing a blaster certificate from SFMO shall be $150 plus any additional fees  charged by other agencies for fingerprinting and for obtaining a national  criminal history record check through the Central Criminal Records Exchange to  the Federal Bureau of Investigation.
    3301.4.4. Revocation of a blaster certification. After  issuance of a blaster certification, subsequent conviction of a felony will be  grounds for immediate revocation of a blaster certification, whether such  conviction occurred under the laws of the Commonwealth, or any other state, the  District of Columbia, the United States or any territory thereof. The  certification shall be returned to the SFMO immediately. An individual may  subsequently reapply for his blaster certification if his civil rights have  been restored by the Governor or other appropriate authority.
    3301.4.5. Expiration and renewal of a blaster certification. A  certificate for an unrestricted or restricted blaster shall be valid for three  years from the date of issuance. A background clearance card shall be valid for  three years from the date of issuance. Renewal of the unrestricted blaster  certificate will be issued upon proof of at least 16 hours of continued  training or education in the use of explosives within three consecutive years  and a background investigation for compliance with § 27-97.2 of the Code of  Virginia. Renewal of the restricted blaster certificate will be issued upon proof  of at least eight hours of continued training or education in the use of  explosives within three consecutive years and a background investigation for  compliance with § 27-97.2 of the Code of Virginia. The continued training or  education required for renewal of a blaster certificate shall be obtained  during the three years immediately prior to the certificate's published  expiration date. Failure to renew a blaster certificate in accordance with this  section shall cause an individual to obtain another blaster certificate upon  compliance with Section 3301.4.1 to continue engaging in the unsupervised use  of explosives.
    G. Change Section 3301.7 to  read:
    3301.7. Seizure. The fire  official is authorized to remove or cause to be removed or disposed of in an approved  manner, at the expense of the owner, fireworks offered or exposed for sale,  stored, possessed or used in violation of this chapter.
    H. Add the following definitions to Section 3302.1 to read:
    Background clearance card. An identification card issued to an  individual who is not a certified blaster and is representing himself or acting  as a representative of a company, corporation, firm or other entity, solely for  the purpose of submitting an application to the fire official for a permit to  manufacture, use, handle, store, or sell explosive materials.
    Blaster, restricted. Any person engaging in the use of  explosives or blasting agents utilizing five pounds (2.25 kg) or less per  blasting operation and using instantaneous detonators.
    Blaster, unrestricted. Any person engaging in the use of  explosives or blasting agents without limit to the amount of explosives or  blasting agents or type of detonator.
    Permissible fireworks. Any sparklers, fountains, Pharaoh's  serpents, caps for pistols, or pinwheels commonly known as whirligigs or  spinning jennies.
    I. Change the following definitions in Section 3302.1 to  read:
    Fireworks. Any firecracker, torpedo, skyrocket, or other  substance or object, of whatever form or construction, that contains any  explosive or inflammable compound or substance, and is intended, or commonly  known, as fireworks and that explodes, rises into the air or travels laterally,  or fires projectiles into the air. Fireworks shall not include automobile  flares, paper caps containing not more than an average of 0.25 grain (16 mg) of  explosive content per cap or toy pistols, toy canes, toy guns or other devices  utilizing such caps and items commonly known as party poppers, pop rocks and  snap-n-pops. Fireworks may be further delineated and referred to as:
    Fireworks, 1.4G. (Formerly known as Class C, Common  Fireworks.) Small fireworks devices containing restricted amounts of  pyrotechnic composition designed primarily to produce visible or audible  effects by combustion. Such 1.4G fireworks that comply with the construction,  chemical composition, and labeling regulations of the DOTn for Fireworks, UN  0336, and the U.S. Consumer Product Safety Commission as set forth in CPSC 16  CFR: Parts 1500 and 1507, are not explosive materials for the purpose of this  code.
    Fireworks, 1.3G. (Formerly Class B, Special Fireworks.) Large  fireworks devices, which are explosive materials, intended for use in fireworks  displays and designed to produce audible or visible effects by combustion,  deflagration, or detonation. Such 1.3G fireworks include, but are not limited  to, firecrackers containing more than 130 milligrams (2 grains) of explosive  composition, aerial shells containing more than 40 grams of pyrotechnic  composition, and other display pieces that exceed the limits for classification  as 1.4G fireworks. Such 1.3G fireworks are also described as Fireworks, UN0335  by the DOTn.
    Smokeless propellants. Solid propellants, commonly referred to  as smokeless powders or any propellant classified by DOTn as a smokeless  propellant in accordance with "NA3178, Smokeless Powder for Small  Arms," used in small arms ammunition, firearms, cannons, rockets,  propellant-actuated devices, and similar articles.
    J. Change Section 3305.1 to read:
    3305.1. General. The manufacture, assembly and testing of  explosives, ammunition, blasting agents and fireworks shall comply with the  requirements of this section, Title 59.1, Chapter 11 of the Code of Virginia,  and NFPA 495 or NFPA 1124.
    Exceptions:
    1. The hand loading of small arms ammunition prepared for personal  use and not offered for resale.
    2. The mixing and loading of blasting agents at blasting sites  in accordance with NFPA 495.
    3. The use of binary explosives or plosophoric materials in  blasting or pyrotechnic special effects applications in accordance with NFPA  495 or NFPA 1126.
    K. Add Section 3305.1.1 to read:
    3305.1.1. Permits. Permits for the manufacture, assembly and  testing of explosives, ammunition, blasting agents and fireworks shall be  required as set forth in Section 107.2 and regulated in accordance with this  section. A permit to manufacture any explosive material in any quantity shall  be prohibited unless such manufacture is authorized by a federal license and  conducted in accordance with recognized safety practices.
    L. Change Section 3306.4 to read:
    3306.4. Storage in residences. Propellants for personal use in  quantities not exceeding 50 pounds (23 kg) of black powder or 100 pounds (45  kg) of smokeless powder shall be stored in original containers in occupancies  limited to Group R-3 and R-5, or 200 pounds (91 kg) of smokeless powder when  stored in the manufacturer's original containers in detached Group U structures  that are at least 10 feet from inhabited buildings and are accessory to Group  R-3 or R-5. In other than Group R-3 or R-5, smokeless powder in quantities  exceeding 20 pounds (9 kg) but not exceeding 50 pounds (23 kg) shall be kept in  a wooden box or cabinet having walls of at least one inch (25 mm) nominal  thickness or equivalent.
    M. Delete Sections 3306.4.1 and 3306.4.2.
    N. Change Section 3306.5.1.1 to read:
    3306.5.1.1. Smokeless propellant. No more than 100 pounds (45  kg) of smokeless propellants, in containers of 8 pounds (3.6 kg) or less  capacity, shall be displayed in Group M occupancies.
    O. Delete Section 3306.5.1.3.
    P. Change Section 3306.5.2.1 to read:
    3306.5.2.1 Smokeless propellant. Commercial stocks of  smokeless propellants shall be stored as follows:
    1. Quantities exceeding 20 pounds (9 kg), but not exceeding  100 pounds (45 kg) shall be stored in portable wooden boxes having walls of at  least one inch (25 mm) nominal thickness or equivalent.
    2. Quantities exceeding 100 pounds (45 kg), but not exceeding  800 pounds (363 kg), shall be stored in storage cabinets having walls at least  one inch (25 mm) nominal thickness or equivalent. Not more than 400 pounds (182  kg) shall be stored in any one cabinet, and cabinets shall be separated by a  distance of at least 25 feet (7620 mm) or by a fire partition having a  fire-resistance rating of at least one hour.
    3. Storage of quantities exceeding 800 pounds (363 kg), but  not exceeding 5,000 pounds (2270 kg) in a building shall comply with all of the  following:
    3.1. The storage is inaccessible to unauthorized personnel.
    3.2. Smokeless propellant shall be stored in nonportable  storage cabinets having wood walls at least one inch (25 mm) nominal thickness  or equivalent and having shelves with no more than three feet (914 mm) of  vertical separation between shelves.
    3.3. No more than 400 pounds (182 kg) is stored in any one  cabinet.
    3.4. Cabinets shall be located against walls with at least 40  feet (12 192 mm) between cabinets. The minimum required separation between  cabinets may be reduced to 20 feet (6096 mm) provided that barricades twice the  height of the cabinets are attached to the wall, midway between each cabinet.  The barricades must extend a minimum of 10 feet (3048 mm) outward, be firmly  attached to the wall, and be constructed of steel not less than 0.25 inch thick  (6.4 mm), two-inch (51 mm) nominal thickness wood, brick, or concrete block.
    3.5. Smokeless propellant shall be separated from materials  classified as combustible liquids, flammable liquids, flammable solids, or  oxidizing materials by a distance of 25 feet (7620 mm) or by a fire partition  having a fire-resistance rating of one hour.
    3.6. The building shall be equipped throughout with an  automatic sprinkler system installed in accordance with Section 903.3.1.1.
    4. Smokeless propellants not stored according to Item 1, 2, or  3 above shall be stored in a Type 2 or 4 magazine in accordance with Section  3304 and NFPA 495.
    Q. Change Section 3307.1 to read:
    3307.1. General. Blasting operations shall be conducted only  by persons certified by the SFMO as a restricted or unrestricted blaster or  shall be supervised on-site by a person properly certified by the SFMO as a  restricted or unrestricted blaster.
    R. Add Section 3307.16 to read:
    3307.16. Blast records. A record of each blast shall be kept  and retained for at least five years and shall be available for inspection by  the code official. The record shall contain the following minimum data:
    1. Name of contractor;
    2. Location and time of blast;
    3. Name of certified blaster in charge;
    4. Type of material blasted;
    5. Number of holes bored and spacing;
    6. Diameter and depth of holes;
    7. Type and amount of explosives;
    8. Amount of explosive per delay of 8 milliseconds or greater;
    9. Method of firing and type of circuit;
    10. Direction and distance in feet to nearest dwelling, public  building, school, church, commercial or institutional building;
    11. Weather conditions;
    12. Whether or not mats or other precautions were used;
    13. Type of detonator and delay period;
    14. Type and height of stemming; and
    15. Seismograph record when utilized.
    Exception: Subdivisions 8 and 13 of this section are not applicable  to restricted blasters.
    S. Add exception to Section  3308.2 to read:
    Exception: Permits are not required for the supervised use or  display of permissible fireworks on private property with the consent of the  owner of such property.
    T. Delete Section 3308.11.
    13VAC5-51-155. IFC Chapter 45 47. Referenced  Standards.
    Change the referenced standards as follows (standards not  shown remain the same):
           |   | Standard reference number | Title | Referenced in code section number | 
       |   | CGA C-6 (2001) | Standards for Visual Inspection of Steel Compressed Gas    Cylinders | 3806.4 | 
       |   | NFPA 10-07
 | Portable Fire Extinguishers
 | Table 901.6.1, 906.2, 906.3, Table 906.3(1), Table    906.3(2), 2106.3
 | 
       |   | NFPA 13-07
 | Installation of Sprinkler Systems
 | Table 704.1, 903.3.1.1, 903.3.2, 903.3.5.1.1, 903.3.5.2,    904.11, 905.3.4, 907.9, 2301.1, 2304.2, Table 2306.2, 2306.9, 2307.2,    2307.2.1, 2308.2.2, 2308.2.2.1, 2310.1, 2501.1, 2804.1, 2806.5.7, 3404.3.3.9,    Table 3404.3.6.3(7), 3404.3.7.5.1, 3404.3.8.4
 | 
       |   | NFPA 13D-07
 | Installation of Sprinkler Systems in One-and Two-Family    Dwellings and Manufactured Homes
 | 903.3.1.3, 903.3.5.1.1
 | 
       |   | NFPA 13R-07
 | Installation of Sprinkler Systems in Residential    Occupancies up to and Including Four Stories in Height
 | 903.3.1.2, 903.3.5.1.1, 903.3.5.1.2, 903.4
 | 
       |   | NFPA 14-07
 | Installation of Standpipe and Hose Systems
 | 905.2, 905.3.4, 905.4.2, 905.8
 | 
       |   | NFPA 20-07
 | Installation of Stationary Pumps for Fire Protection
 | 913.1, 913.2, 913.5.1
 | 
       |   | NFPA 24-07
 | Installation of Private Fire Service Mains and their    Appurtenances
 | 508.2.1, 1909.5
 | 
       |   | NFPA 25-08
 | Inspection, Testing and Maintenance of Water-based Fire    Protection Systems
 | 508.5.3, Table 901.6.1, 904.7.1, 912.6, 913.5
 | 
       |   | NFPA 30B-07
 | Manufacture and Storage of Aerosol Products
 | 2801.1, 2803.1, 2804.1, Table 2804.3.1, Table 2804.3.2,    Table 2804.3.2.2, 2804.4.1, 2804.5.2, 2804.6, Table 2806.2, 2806.2.3,    2806.3.2, Table 2806.4, 2806.5.1, 2806.5.6, 2807.1
 | 
       |   | NFPA 33-07
 | Spray Application Using Flammable or Combustible    Materials
 | 1504.3.2
 | 
       |   | NFPA 72-07
 | National Fire Alarm Code
 | 509.1, Table 901.6.1, 903.4.1, 904.3.5, 907.2, 907.2.1.1,    907.2.10, 907.2.10.4, 907.2.11.2, 907.2.11.3, 907.2.12.2.3, 907.2.12.3,    907.3, 907.5, 907.6, 907.10.2, 907.11, 907.15, 907.17, 907.18, 907.20,    907.20.2, 907.20.5
 | 
       |   | NFPA 704-07
 | Identification of the Hazards of Materials for Emergency    Response
 | 606.7, 1802.1, 2404.2, 2703.2.2.1, 2703.2.2.2, 2703.5,    2703.10.2, 2705.1.10, 2705.2.1.1, 2705.4.4, 3203.4.1, 3404.2.3.2 
 | 
  
    DOCUMENTS INCORPORATED BY REFERENCE (13VAC5-51) 
    The International Fire Code – 2006 2009  Edition, International Code Council, Inc., 500 New Jersey Avenue, NW, 6th  Floor, Washington, DC 20001-2070.
    NFPA 10-07, Portable Fire Extinguishers, 2007 Edition,  National Fire Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 13-07, Installation of Sprinkler Systems, 2007  Edition, National Fire Protection Association, Batterymarch Park, Quincy, MA  02269.
    NFPA 13D-07, Installation of Sprinkler Systems in One-and  Two-Family Dwellings and Manufactured Homes, 2007 Edition, National Fire  Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 13R-07, Installation of Sprinkler Systems in  Residential Occupancies up to and Including Four Stories in Height, 2007  Edition, National Fire Protection Association, Batterymarch Park, Quincy, MA  02269.
    NFPA 14-07, Installation of Standpipe and Hose Systems,  2007 Edition, National Fire Protection Association, Batterymarch Park, Quincy,  MA 02269.
    NFPA 20-07, Installation of Stationary Pumps for Fire  Protection, 2007 Edition, National Fire Protection Association, Batterymarch  Park, Quincy, MA 02269.
    NFPA 24-07, Installation of Private Fire Service Mains and  their Appurtenances, 2007 Edition, National Fire Protection Association,  Batterymarch Park, Quincy, MA 02269.
    NFPA 25-08, Inspection, Testing and Maintenance of Water-based  Fire Protection Systems, 2007 Edition, National Fire Protection Association,  Batterymarch Park, Quincy, MA 02269.
    NFPA 30B-07, Manufacture and Storage of Aerosol Products,  2007 Edition, National Fire Protection Association, Batterymarch Park, Quincy, MA  02269.
    NFPA 33-07, Spray Application Using Flammable or  Combustible Materials, 2007 Edition, National Fire Protection Association,  Batterymarch Park, Quincy, MA 02269. 
    NFPA 58 – 04, Liquefied Petroleum Gas Code, 2004 Edition,  National Fire Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 72, 07, National Fire Alarm Code, 2007 Edition,  National Fire Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 704-07, Identification of the Hazards of Materials  for Emergency Response, 2007 Edition, National Fire Protection Association,  Batterymarch Park, Quincy, MA 02269. 
    CGA C-6 – 2001, Standards for Visual Inspection of Steel  Compressed Gas Cylinders, Eighth Edition, Compressed Gas Association, 1725  Jefferson Davis Highway, 5th Floor, Arlington, VA 22202-4102.
    VA.R. Doc. No. R09-1893; Filed August 24, 2009, 10:42 a.m. 
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Proposed Regulation
    Title of Regulation: 13VAC5-63. Virginia Uniform  Statewide Building Code (amending 13VAC5-63-10, 13VAC5-63-20,  13VAC5-63-30, 13VAC5-63-50, 13VAC5-63-60, 13VAC5-63-70, 13VAC5-63-150,  13VAC5-63-190, 13VAC5-63-200, 13VAC5-63-210, 13VAC5-63-220, 13VAC5-63-230,  13VAC5-63-240, 13VAC5-63-245, 13VAC5-63-250, 13VAC5-63-267, 13VAC5-63-290,  13VAC5-63-300, 13VAC5-63-310, 13VAC5-63-320, 13VAC5-63-330, 13VAC5-63-350,  13VAC5-63-360, 13VAC5-63-400, 13VAC5-63-434, 13VAC5-63-440, 13VAC5-63-450,  13VAC5-63-480, 13VAC5-63-500, 13VAC5-63-520, 13VAC5-63-530, 13VAC5-63-540;  repealing 13VAC5-63-436, 13VAC5-63-437). 
    Statutory Authority: § 36-98 of the Code of  Virginia.
    Public Hearing Information:
    January 25, 2010 - 10 a.m. - Virginia Housing Development  Authority, Virginia Housing Center, 4224 Cox Road, Glen Allen, VA
    Public Comment Deadline:  January 25, 2010.
    Agency Contact: Stephen W. Calhoun, Regulatory  Coordinator, Department of Housing and Community Development, Main Street  Center, 600 East Main Street, Richmond, VA 23219, telephone (804) 371-7000, FAX  (804) 371-7090, TTY (804) 371-7089, or email steve.calhoun@dhcd.virginia.gov.
    Background:
    The Virginia Uniform Statewide Building Code (USBC) governs  the construction, maintenance, and rehabilitation of new and existing building  and structures. The USBC uses nationally recognized model building codes and  standards produced by the International Code Council and other standard-writing  groups as the basis for the technical provisions of the regulation. Every three  years, new editions of the model codes become available. At that time, the  Board of Housing and Community Development initiates a regulatory action to  incorporate the newest editions of the model codes into the regulation through  the publishing of a proposed regulation. Those affected by the regulation then  review the proposed regulation to assure that the newest model codes and  standards reflect the minimum requirements necessary for buildings and  structures. After the publishing of the proposed regulation, the board  establishes a comment period for the acceptance of code change proposals to  modify the model codes or standards or any provisions of the entire regulation.  Code change proposals are assimilated into a compilation document containing a  staff evaluation of each proposal and the compilation document is reviewed by  client groups during a second comment period and additional comment on each  proposal is accepted. A public hearing is also held. The board then considers  all comments on all proposals and develops a final regulation to complete the  regulatory process.
    Summary:
    The proposed amendments (i) incorporate the newest editions  of the nationally recognized model codes and standards into the regulation;  (ii) make general clarifications and correlation changes to conform to  statutory language, coordinate the application of the regulations with the  other building and fire regulations of the board, and remove provisions in the  existing USBC that have been successfully added to the latest model codes  through the code changes process of the model code organization, thus  eliminating the need for those changes in the USBC; (iii) update exemptions  from the USBC; (iv) provide that no change shall be made in the existing  occupancy classification of any structure when the current USBC requires a  greater degree of accessibility; (v) clarify that handrail and guardrail  configuration and height on a reconstructed deck are excluded from the  requirement that reconstructed decks must meet the current code provisions for  structural loading, connections, and structural attachment; (vi) require state  enforcement personnel to comply with certification, periodic maintenance  training, and continuing education requirements; (vii) clarify continuing  education requirements; (viii) clarify that the limitations of authority by the  local government on the building official are not applicable to the third-party  inspector policy nor do such limitations have the effect of altering the  provisions of the code or creating building regulations; (ix) require that the  local board of building code appeals must meet at least once annually, appoint  officers, and receive training on the code as appropriate or necessary; (x)  require that a townhouse be separated from adjacent townhouses by a common  two-hour wall assembly; (xi) require standards for optional sprinkler systems;  (xii) add new requirements to the 2009 IBC for exiting from stages; (xiii) add  elevator machine rooms and elevator machine spaces to the list of exempt  locations for automatic sprinklers; (xiv) change an existing requirement for  the residual pressure in standpipe fire-fighting systems to be less when a  sprinkler system is installed to include sprinkler systems for small  residential buildings; (xv) add language to the IBC to exempt raised areas used  for religious purposes from the necessity of having to provide wheelchair  access; (xvi) change the language in the 2009 IBC regarding the construction of  elevator rooms to include rooms housing elevator controllers in the exceptions  to permit the reduction in fire rating for the walls of such rooms; (xvii) add  a requirement to the 2009 IBC for accessibility for persons with disabilities  to be consistent with the Americans with Disabilities Act; (xviii) add a  requirement to the International Property Maintenance Code (IPMC) for the  service and maintenance of grease interceptor, grease traps, and automatic  grease removal devices; and (xix) change the criteria in the IPMC for  inspecting water damaged electrical equipment to permit a certified electrician  to evaluate the safety of the equipment.
    Part I 
  Construction 
    13VAC5-63-10. Chapter 1 Administration; Section 101 General. 
    A. Section 101.1 Short title. The Virginia Uniform Statewide  Building Code, Part I, Construction, may be cited as the Virginia Construction  Code. The term "USBC" shall mean the Virginia Construction Code  unless the context in which the term is used clearly indicates it to be an  abbreviation for the entire Virginia Uniform Statewide Building Code or for a  different part of the Virginia Uniform Statewide Building Code. 
    B. Section 101.2 Incorporation by reference. Chapters 2 - 35  of the 2006 2009 International Building Code, published by the  International Code Council, Inc., are adopted and incorporated by reference to  be an enforceable part of the USBC. The term "IBC" means the 2006  2009 International Building Code, published by the International Code  Council, Inc. Any codes and standards referenced in the IBC are also considered  to be part of the incorporation by reference, except that such codes and  standards are used only to the prescribed extent of each such reference. In  addition, any provisions of the appendices of the IBC specifically identified  to be part of the USBC are also considered to be part of the incorporation by  reference. 
    Note 1: The IBC references the whole family of International  Codes including the following major codes: 
    2006 2009 International Plumbing Code 
    2006 2009 International Mechanical Code 
    2005 2008 National Electrical Code 
    2006 2009 International Fuel Gas Code 
    2006 2009 International Energy Conservation Code  
    2006 2009 International Residential Code 
    Note 2: The International Residential Code is applicable to  the construction of detached one- and two-family dwellings and townhouses as  set out in Section 310. 
    C. Section 101.3 Numbering system. A dual numbering system is  used in the USBC to correlate the numbering system of the Virginia  Administrative Code with the numbering system of the IBC. IBC numbering system  designations are provided in the catchlines of the Virginia Administrative Code  sections. Cross references between sections or chapters of the USBC use only  the IBC numbering system designations. The term "chapter" is used in  the context of the numbering system of the IBC and may mean a chapter in the  USBC, a chapter in the IBC or a chapter in a referenced code or standard,  depending on the context of the use of the term. The term "chapter"  is not used to designate a chapter of the Virginia Administrative Code, unless  clearly indicated. 
    D. Section 101.4 Arrangement of code provisions. The USBC is  comprised of the combination of (i) the provisions of Chapter 1,  Administration, which are established herein, (ii) Chapters 2 - 35 of the IBC,  which are incorporated by reference in Section 101.2, and (iii) the changes to  the text of the incorporated chapters of the IBC that are specifically  identified. The terminology "changes to the text of the incorporated  chapters of the IBC that are specifically identified" shall also be  referred to as the "state amendments to the IBC." Such state  amendments to the IBC are set out using corresponding chapter and section  numbers of the IBC numbering system. In addition, since Chapter 1 of the IBC is  not incorporated as part of the USBC, any reference to a provision of Chapter 1  of the IBC in the provisions of Chapters 2 - 35 of the IBC is generally  invalid. However, where the purpose of such a reference would clearly  correspond to a provision of Chapter 1 established herein, then the reference  may be construed to be a valid reference to such corresponding Chapter 1  provision. 
    E. Section 101.5 Use of terminology and notes. The term  "this code," or "the code," where used in the provisions of  Chapter 1, in Chapters 2 - 35 of the IBC or in the state amendments to the IBC  means the USBC, unless the context clearly indicates otherwise. The term "this  code" or "the code" where used in a code or standard referenced  in the IBC means that code or standard, unless the context clearly indicates  otherwise. The use of notes in Chapter 1 is to provide information only and  shall not be construed as changing the meaning of any code provision. Notes in  the IBC, in the codes and standards referenced in the IBC and in the state  amendments to the IBC may modify the content of a related provision and shall  be considered to be a valid part of the provision, unless the context clearly  indicates otherwise. 
    F. Section 101.6 Order of precedence. The provisions of  Chapter 1 of this code supersede any conflicting provisions of Chapters 2 - 35  of the IBC and any conflicting provisions of the codes and standards referenced  in the IBC. In addition, the state amendments to the IBC supersede any  conflicting provisions of Chapters 2 - 35 of the IBC and any conflicting  provisions of the codes and standards referenced in the IBC. Further, the  provisions of Chapters 2 - 35 of the IBC supersede any conflicting provisions  of the codes and standards referenced in the IBC. 
    G. Section 101.7 Administrative provisions. The provisions of  Chapter 1 establish administrative requirements, which include but are not  limited to provisions relating to the scope of the code, enforcement, fees,  permits, inspections and disputes. Any provisions of Chapters 2 - 35 of the IBC  or any provisions of the codes and standards referenced in the IBC that address  the same subject matter and impose differing requirements are deleted and  replaced by the provisions of Chapter 1. Further, any administrative  requirements contained in the state amendments to the IBC shall be given the  same precedence as the provisions of Chapter 1. Notwithstanding the above,  where administrative requirements of Chapters 2 - 35 of the IBC or of the codes  and standards referenced in the IBC are specifically identified as valid  administrative requirements in Chapter 1 of this code or in the state  amendments to the IBC, then such requirements are not deleted and replaced. 
    Note: The purpose of this provision is to eliminate overlap,  conflicts and duplication by providing a single standard for administrative,  procedural and enforcement requirements of this code. 
    H. Section 101.8 Definitions. The definitions of terms used  in this code are contained in Chapter 2 along with specific provisions  addressing the use of definitions. Terms may be defined in other chapters or  provisions of the code and such definitions are also valid. 
    Note:  The order of precedence outlined in Section 101.6  may be determinative in establishing how to apply the definitions in the IBC  and in the referenced codes and standards. 
    13VAC5-63-20. Section 102 Purpose and scope.
    A. Section 102.1 Purpose. In accordance with § 36-99 of the  Code of Virginia, the purpose of the USBC is to protect the health, safety and  welfare of the residents of the Commonwealth of Virginia, provided that  buildings and structures should be permitted to be constructed at the least  possible cost consistent with recognized standards of health, safety, energy  conservation and water conservation, including provisions necessary to prevent  overcrowding, rodent or insect infestation, and garbage accumulation; and  barrier-free provisions for the physically handicapped and aged. 
    B. Section 102.2 Scope. This section establishes the scope of  the USBC in accordance with § 36-98 of the Code of Virginia. The USBC shall  supersede the building codes and regulations of the counties, municipalities  and other political subdivisions and state agencies. This code also shall  supersede the provisions of local ordinances applicable to single-family  residential construction that (i) regulate dwelling foundations or crawl  spaces, (ii) require the use of specific building materials or finishes in  construction, or (iii) require minimum surface area or numbers of windows;  however, this code shall not supersede proffered conditions accepted as a part  of a rezoning application, conditions imposed upon the grant of special exceptions,  special or conditional use permits or variances, conditions imposed upon a  clustering of single-family homes and preservation of open space development  through standards, conditions, and criteria established by a locality pursuant  to subdivision 8 of § 15.2-2242 of the Code of Virginia or subdivision A  12 of § 15.2-2286 of the Code of Virginia, or land use requirements in  airport or highway overlay districts, or historic districts created pursuant to  § 15.2-2306 of the Code of Virginia, or local flood plain regulations adopted  as a condition of participation in the National Flood Insurance Program. 
    Note: Requirements relating to functional design are  contained in Section 103.11 of this code. 
    C. Section 102.2.1 Invalidity of provisions. To the extent that  any provisions of this code are in conflict with Chapter 6 (§ 36-97 et  seq.) of Title 36 of the Code of Virginia or in conflict with the scope of the  USBC, those provisions are considered to be invalid to the extent of such  conflict. 
    D. Section 102.3 Exemptions. The following are exempt from  this code: 
    1. Equipment and, related wiring, and poles  and towers supporting the related wiring installed by a provider of  publicly regulated utility service or a franchised cable television operator  and electrical equipment and related wiring used for radio, broadcast or cable  television, telecommunications or information service transmission. The  exemption shall apply only if under applicable federal and state law the  ownership and control of the equipment and wiring is by the service provider or  its affiliates. Such exempt equipment and wiring shall be located on either  public rights-of-way or private property for which the service provider has  rights of occupancy and entry; however, the structures, including their service  equipment, housing or supporting such exempt equipment and wiring shall be  subject to the USBC. The installation of equipment and wiring exempted by this  section shall not create an unsafe condition prohibited by the USBC. 
    2. Manufacturing and processing machines, including all of the  following service equipment associated with the manufacturing or processing  machines. 
    2.1. Electrical equipment connected after the last  disconnecting means. 
    2.2. Plumbing piping and equipment connected after the last  shutoff valve or backflow device and before the equipment drain trap. 
    2.3. Gas piping and equipment connected after the outlet  shutoff valve. 
    3. Parking lots and sidewalks, which are not part of an  accessible route. 
    4. Nonmechanized playground or recreational equipment such as  swing sets, sliding boards, climbing bars, jungle gyms, skateboard ramps, and  similar equipment where no admission fee is charged for its use or for  admittance to areas where the equipment is located. 
    5. Industrialized buildings subject to the Virginia  Industrialized Building Safety Regulations (13VAC5-91) and manufactured homes  subject to the Virginia Manufactured Home Safety Regulations (13VAC5-95);  except as provided for in Section 421 424. 
    6. Farm buildings and structures, except for a building or a  portion of a building located on a farm that is operated as a restaurant as  defined in § 35.1-1 of the Code of Virginia and licensed as such by the  Virginia Board of Health pursuant to Chapter 2 (§ 35.1-11 et seq.) of  Title 35.1 of the Code of Virginia. However, farm buildings and structures  lying within a flood plain or in a mudslide-prone area shall be subject to  flood-proofing regulations or mudslide regulations, as applicable. 
    7. Federally owned buildings and structures unless federal  law specifically requires a permit from the locality. 
    13VAC5-63-30. Section 103 Application of code. 
    A. Section 103.1 General. In accordance with § 36-99 of the  Code of Virginia, the USBC shall prescribe building regulations to be complied  with in the construction and rehabilitation of buildings and structures, and  the equipment therein. 
    B. Section 103.2 When applicable to new construction.  Construction for which a permit application is submitted to the local building  department after May 1, 2008 (insert effective date), shall  comply with the provisions of this code, except for permit applications  submitted during a one-year period after May 1, 2008 (insert  effective date). The applicant for a permit during such one-year period  shall be permitted to choose whether to comply with the provisions of this code  or the provisions of the code in effect immediately prior to May 1, 2008  (insert effective date). This provision shall also apply to subsequent  amendments to this code based on the effective date of such amendments. In  addition, when a permit has been properly issued under a previous edition of  this code, this code shall not require changes to the approved construction  documents, design or construction of such a building or structure, provided the  permit has not been suspended or revoked. 
    C. Section 103.3 Change of occupancy. No change shall be made  in the existing occupancy classification of any structure when the current USBC  requires a greater degree of accessibility, structural strength, fire  protection, means of egress, ventilation or sanitation. When such a greater  degree is required, the owner or the owner's agent shall make written  application to the local building department for a new certificate of occupancy  and shall obtain the new certificate of occupancy prior to the use of the  structure under the new occupancy classification. When impractical to achieve  compliance with this code for the new occupancy classification, the building  official shall consider modifications upon application and as provided for in  Section 106.3. 
    Exception: This section shall not be construed to permit  noncompliance with any applicable flood load or flood-resistant construction  requirements of this code. 
    D. Section 103.4 Additions. Additions to buildings and  structures shall comply with the requirements of this code for new construction  and an existing building or structure plus additions shall comply with the  height and area provisions of Chapter 5. Further, this code shall not require  changes to the design or construction of any portions of the building or  structure not altered or affected by an addition, unless the addition has the  effect of lowering the current level of safety. 
    Exception: This section shall not be construed to permit  noncompliance with any applicable flood load or flood-resistant construction  requirements of this code. 
    E. Section 103.5 Reconstruction, alteration or repair. The  following criteria is applicable to reconstruction, alteration or repair of  buildings or structures: 
    1. Any reconstruction, alteration or repair shall not  adversely affect the performance of the building or structure, or cause the  building or structure to become unsafe or lower existing levels of health and  safety. 
    2. Parts of the building or structure not being reconstructed,  altered or repaired shall not be required to comply with the requirements of  this code applicable to newly constructed buildings or structures. 
    3. The installation of material or equipment, or both, that is  neither required nor prohibited shall only be required to comply with the  provisions of this code relating to the safe installation of such material or  equipment. 
    4. Material or equipment, or both, may be replaced in the same  location with material or equipment of a similar kind or capacity. 
    Exceptions: 
    1. This section shall not be construed to permit noncompliance  with any applicable flood load or flood-resistant construction requirements of  this code. 
    2. Reconstructed decks, balconies, porches and similar  structures located 30 inches (762 mm) or more above grade shall meet the  current code provisions for structural loading capacity, connections and  structural attachment. This requirement excludes the configuration and  height of handrails and guardrails. 
    F. Section 103.6. Use of rehabilitation code. Compliance with  Part II of the Virginia Uniform Statewide Building Code, also known as the  "Virginia Rehabilitation Code," shall be an acceptable alternative to  compliance with this code for the rehabilitation of such existing buildings and  structures within the scope of that code. For the purposes of this section, the  term "rehabilitation" shall be as defined in the Virginia  Rehabilitation Code. 
    G. Section 103.7. Retrofit requirements. The local building  department shall enforce the provisions of Section 3411 3413,  which require certain existing buildings to be retrofitted with fire protection  systems and other safety equipment. Retroactive fire protection system  requirements contained in the International Fire Code shall not be applicable unless  required for compliance with the provisions of Section 3411 3413.  
    H. Section 103.8 Nonrequired equipment. The following  criteria for nonrequired equipment is in accordance with § 36-103 of the  Code of Virginia. Building owners may elect to install partial or full fire  alarms or other safety equipment that was not required by the edition of the  USBC in effect at the time a building was constructed without meeting current  requirements of the code, provided the installation does not create a hazardous  condition. Permits for installation shall be obtained in accordance with this  code. In addition, as a requirement of this code, when such nonrequired  equipment is to be installed, the building official shall notify the  appropriate fire official or fire chief. 
    I. Section 103.8.1 Reduction in function or discontinuance of  nonrequired fire protection systems. When a nonrequired fire protection system  is to be reduced in function or discontinued, it shall be done in such a manner  so as not to create a false sense of protection. Generally, in such cases, any  features visible from interior areas shall be removed, such as sprinkler heads,  smoke detectors or alarm panels or devices, but any wiring or piping hidden  within the construction of the building may remain. Approval of the proposed  method of reduction or discontinuance shall be obtained from the building  official. 
    J. Section 103.9 Equipment changes. Upon the replacement or  new installation of any fuel-burning appliances or equipment in existing  buildings, an inspection or inspections shall be conducted to ensure that the  connected vent or chimney systems comply with the following: 
    1. Vent or chimney systems are sized in accordance with either  the International Residential Code, the International Mechanical Code or the  International Fuel Gas Code, depending on which is applicable based on the fuel  source and the occupancy classification of the structure. 
    2. Vent or chimney systems are clean, free of any obstruction  or blockages, defects or deterioration and are in operable condition. 
    Where not inspected by the local building department, persons  performing such changes or installations shall certify to the building official  that the requirements of Items 1 and 2 of this section are met. 
    K. Section 103.10 Use of certain provisions of referenced  codes. The following provisions of the IBC and of other indicated codes or  standards are to be considered valid provisions of this code. Where any such  provisions have been modified by the state amendments to the IBC, then the  modified provisions apply. 
    1. Special inspection requirements in Chapters 2 - 35. 
    2. Chapter 34, Existing Structures, except that Section 3410  3412, Compliance Alternatives, shall not be used to comply with the  retrofit requirements identified in Section 103.7 and shall not be construed to  permit noncompliance with any applicable flood load or flood-resistant  construction requirements of this code. 
    3. Testing requirements and requirements for the submittal of  construction documents in any of the ICC codes referenced in Chapter 35. 
    4. Section R301.2 of the International Residential Code  authorizing localities to determine climatic and geographic design criteria. 
    5. Flood load or flood-resistant construction requirements in  the IBC or the International Residential Code, including, but not limited to,  any such provisions pertaining to flood elevation certificates that are located  in Chapter 1 of those codes. Any required flood elevation certificate pursuant  to such provisions shall be prepared by a land surveyor licensed in Virginia or  an RDP.
    L. Section 103.11 Functional design. The following criteria  for functional design is in accordance with § 36-98 of the Code of Virginia.  The USBC shall not supersede the regulations of other state agencies that  require and govern the functional design and operation of building related  activities not covered by the USBC, including but not limited to (i) public  water supply systems, (ii) waste water treatment and disposal systems, (iii)  solid waste facilities, nor shall state agencies be prohibited from requiring,  pursuant to other state law, that buildings and equipment be maintained in  accordance with provisions of this code. In addition, as established by this  code, the building official may refuse to issue a permit until the applicant  has supplied certificates of functional design approval from the appropriate  state agency or agencies. For purposes of coordination, the locality may  require reports to the building official by other departments or agencies indicating  compliance with their regulations applicable to the functional design of a  building or structure as a condition for issuance of a building permit or  certificate of occupancy. Such reports shall be based upon review of the plans  or inspection of the project as determined by the locality. All enforcement of  these conditions shall not be the responsibility of the building official, but  rather the agency imposing the condition. 
    Note: Identified state agencies with functional design  approval are listed in the "Related Laws Package," which is available  from DHCD. 
    M. Section 103.12 Amusement devices and inspections. In  accordance with § 36-98.3 of the Code of Virginia, to the extent they are  not superseded by the provisions of § 36-98.3 of the Code of Virginia and  the VADR, the provisions of the USBC shall apply to amusement devices. In  addition, as a requirement of this code, inspections for compliance with the  VADR shall be conducted either by local building department personnel or  private inspectors provided such persons are certified as amusement device  inspectors under the VCS. 
    N. Section 103.13 State buildings and structures. This  section establishes the application of the USBC to state-owned buildings and  structures in accordance with § 36-98.1 of the Code of Virginia. The USBC shall  be applicable to all state-owned buildings and structures, with the exception  that §§ 2.2-1159, 2.2-1160 and 2.2-1161 of the Code of Virginia shall  provide the standards for ready access to and use of state-owned buildings by  the physically handicapped. 
    Any state-owned building or structure for which preliminary  plans were prepared or on which construction commenced after the initial  effective date of the USBC, shall remain subject to the provisions of the USBC  that were in effect at the time such plans were completed or such construction  commenced. Subsequent reconstruction, renovation or demolition of such building  or structure shall be subject to the pertinent provisions of this code. 
    Acting through the Division of Engineering and Buildings, the  Virginia Department of General Services shall function as the building official  for state-owned buildings. The department shall review and approve plans and  specifications, grant modifications, and establish such rules and regulations  as may be necessary to implement this section. It shall provide for the  inspection of state-owned buildings and enforcement of the USBC and standards  for access by the physically handicapped by delegating inspection and USBC  enforcement duties to the State Fire Marshal's Office, to other appropriate  state agencies having needed expertise, and to local building departments, all  of which shall provide such assistance within a reasonable time and in the  manner requested. State agencies and institutions occupying buildings shall pay  to the local building department the same fees as would be paid by a private  citizen for the services rendered when such services are requested by the  department. The department may alter or overrule any decision of the local building  department after having first considered the local building department's report  or other rationale given for its decision. When altering or overruling any  decision of a local building department, the department shall provide the local  building department with a written summary of its reasons for doing so. 
    Notwithstanding any provision of this code to the contrary,  roadway tunnels and bridges owned by the Virginia Department of Transportation  shall be exempt from this code. The Virginia Department of General Services  shall not have jurisdiction over such roadway tunnels, bridges and other  limited access highways; provided, however, that the Department of General  Services shall have jurisdiction over any occupied buildings within any  Department of Transportation rights-of-way that are subject to this code. 
    Except as provided in § 23-38.109 D of the Code of  Virginia, and notwithstanding any provision of this code to the contrary, at  the request of a public institution of higher education, the Virginia Department  of General Services, as further set forth in this provision, shall authorize  that institution of higher education to contract with a building official of  the locality in which the construction is taking place to perform any  inspection and certifications required for the purpose of complying with this  code. The department shall publish administrative procedures that shall be  followed in contracting with a building official of the locality. The authority  granted to a public institution of higher education under this provision to  contract with a building official of the locality shall be subject to the  institution meeting the conditions prescribed in § 23-38.88 B of the Code  of Virginia. 
    Note: In accordance with § 36-98.1 of the Code of Virginia,  roadway tunnels and bridges shall be designed, constructed and operated to  comply with fire safety standards based on nationally recognized model codes  and standards to be developed by the Virginia Department of Transportation in  consultation with the State Fire Marshal and approved by the Virginia  Commonwealth Transportation Board. Emergency response planning and activities  related to the standards approved by the Commonwealth Transportation Board  shall be developed by the Department of Transportation and coordinated with the  appropriate local officials and emergency service providers. On an annual  basis, the Department of Transportation shall provide a report on the  maintenance and operability of installed fire protection and detection systems  in roadway tunnels and bridges to the State Fire Marshal. 
    O. Section 103.13.1 Certification of state enforcement  personnel. State enforcement personnel shall comply with the applicable  requirements of Section 105 for certification, periodic maintenance training,  and continuing education. 
    13VAC5-63-50. Section 105 Local building department. 
    A. Section 105.1 Appointment of building official. Every  local building department shall have a building official as the executive  official in charge of the department. The building official shall be appointed  in a manner selected by the local governing body. After permanent appointment,  the building official shall not be removed from office except for cause after  having been afforded a full opportunity to be heard on specific and relevant  charges by and before the appointing authority. DHCD shall be notified by the  appointing authority within 30 days of the appointment or release of a  permanent or acting building official. 
    Note: Building officials are subject to sanctions in  accordance with the VCS. 
    B. Section 105.1.1 Qualifications of building official. The  building official shall have at least five years of building experience as a  licensed professional engineer or architect, building, fire or trade inspector,  contractor, housing inspector or superintendent of building, fire or trade  construction or at least five years of building experience after obtaining a  degree in architecture or engineering, with at least three years in responsible  charge of work. Any combination of education and experience that would confer  equivalent knowledge and ability shall be deemed to satisfy this requirement.  The building official shall have general knowledge of sound engineering  practice in respect to the design and construction of structures, the basic  principles of fire prevention, the accepted requirements for means of egress  and the installation of elevators and other service equipment necessary for the  health, safety and general welfare of the occupants and the public. The local  governing body may establish additional qualification requirements. 
    C. Section 105.1.2 Certification of building official. An  acting or permanent building official shall be certified as a building official  in accordance with the VCS within one year after being appointed as acting or  permanent building official. 
    Exception: A building official in place prior to April 1,  1983, shall not be required to meet the certification requirements in this  section while continuing to serve in the same capacity in the same locality. 
    D. Section 105.1.3 Noncertified building official. Except for  a building official exempt from certification under the exception to Section  105.1.2, any acting or permanent building official who is not certified as a  building official in accordance with the VCS shall attend the core module of  the Virginia Building Code Academy or an equivalent course in an individual or  regional code academy accredited by DHCD within 180 days of appointment. This  requirement is in addition to meeting the certification requirement in Section  105.1.2. 
    E. Section 105.1.4 Continuing Requirements for  periodic maintenance and continuing education requirements. Building  officials shall attend 16 hours every two years of continuing education and  periodic maintenance training courses approved or required as  designated by DHCD. Additional In addition to the periodic  maintenance training required above, building officials shall attend 16 hours  of continuing education hours shall not be required if more than one  every two years as approved by DHCD. If a building official possesses more  than one BHCD certificate is held, the 16 hours shall satisfy the  continuing education requirement for all BHCD certificates.
    F. Section 105.2 Technical assistants. The building official,  subject to any limitations imposed by the locality, shall be permitted to  utilize technical assistants to assist the building official in the enforcement  of the USBC. DHCD shall be notified by the building official within 60 days of  the employment of, contracting with or termination of all technical assistants.  
    Note: Technical assistants are subject to sanctions in  accordance with the VCS. 
    G. Section 105.2.1 Qualifications of technical assistants. A  technical assistant shall have at least three years of experience and general knowledge  in at least one of the following areas: building construction; building, fire  or housing inspections; plumbing, electrical or mechanical trades; or fire  protection, elevator or property maintenance work. Any combination of education  and experience that would confer equivalent knowledge and ability shall be  deemed to satisfy this requirement. The locality may establish additional  qualification requirements. 
    H. Section 105.2.2 Certification of technical assistants. A  technical assistant shall be certified in the appropriate subject area within  18 months after becoming a technical assistant. When required by local policy  to have two or more certifications, a technical assistant shall obtain the  additional certifications within three years from the date of such requirement.  
    Exception: A technical assistant in place prior to March 1,  1988, shall not be required to meet the certification requirements in this  section while continuing to serve in the same capacity in the same locality. 
    I. Section 105.2.3 Continuing Requirements for  periodic maintenance and continuing education requirements.  Technical assistants shall attend 16 hours every two years of continuing  education and periodic maintenance training courses approved or  required as designated by DHCD. Additional In addition to  the periodic maintenance training required above, technical assistants shall  attend 16 hours of continuing education hours shall not be required if  more than one every two years as approved by DHCD. If a technical  assistant possesses more than one BHCD certificate is held, the  16 hours shall satisfy the continuing education requirement for all BHCD  certificates.
    J. Section 105.3 Conflict of interest. The standards of  conduct for building officials and technical assistants shall be in accordance  with the provisions of the State and Local Government Conflict of Interests  Act, Chapter 31 (§ 2.2-3100 et seq.) of Title 2.2 of the Code of Virginia. 
    K. Section 105.4 Records. The local building department shall  retain a record of applications received, permits, certificates, notices and  orders issued, fees collected and reports of inspection in accordance with The  Library of Virginia's General Schedule Number Six.
    13VAC5-63-60. Section 106 Powers and duties of the building  official.
    A. Section 106.1 Powers and duties, generally. The building  official shall enforce this code as set out herein and as interpreted by the  State Review Board. 
    B. Section 106.2 Delegation of authority. The building  official may delegate powers and duties except where such authority is limited  by the local government. However, such limitations of authority by the local  government are not applicable to the third-party inspector policy required by  Section 113.7.1 nor shall such limitations of authority by the local government  have the effect of altering the provisions of this code or creating building  regulations. When such delegations are made, the building official shall be  responsible for assuring that they are carried out in accordance with the  provisions of this code. 
    C. Section 106.3 Issuance of modifications. Upon written  application by an owner or an owner's agent, the building official may approve  a modification of any provision of the USBC provided the spirit and functional  intent of the code are observed and public health, welfare and safety are  assured. The decision of the building official concerning a modification shall  be made in writing and the application for a modification and the decision of  the building official concerning such modification shall be retained in the  permanent records of the local building department. 
    Note: The USBC references nationally recognized model codes  and standards. Future amendments to such codes and standards are not  automatically included in the USBC; however the building official should give  them due consideration in deciding whether to approve a modification. 
    D. Section 106.3.1 Substantiation of modification. The  building official may require or may consider a statement from an RDP or other  person competent in the subject area of the application as to the equivalency  of the proposed modification. In addition, the building official may require  the application to include construction documents sealed by an RDP. 
    E. Section 106.3.2 Use of performance code. Compliance with  the provisions of a nationally recognized performance code when approved as a  modification shall be considered to constitute compliance with this code. All  documents submitted as part of such consideration shall be retained in the  permanent records of the local building department. 
    13VAC5-63-70. Section 107 Fees. 
    A. Section 107.1 Authority for charging fees. In accordance  with § 36-105 of the Code of Virginia, fees may be levied by the local  governing body in order to defray the cost of enforcement of the USBC. 
    B. Section 107.1.1 Fee schedule. The local governing body  shall establish a fee schedule incorporating unit rates, which may be based on  square footage, cubic footage, estimated cost of construction or other  appropriate criteria. A permit or any amendments to an existing permit shall  not be issued until the designated fees have been paid, except that the  building official may authorize the delayed payment of fees. 
    C. Section 107.1.2 Refunds. When requested in writing by a  permit holder, the locality shall provide a fee refund in the case of the  revocation of a permit or the abandonment or discontinuance of a building  project. The refund shall not be required to exceed an amount which correlates  to work not completed. 
    D. Section 107.2 Code academy fee levy. In accordance with  subdivision 7 of § 36-137 of the Code of Virginia, the local building  department shall collect a 1.75% 2.0% levy of fees charged for  building permits issued under this code and transmit it quarterly to DHCD to  support training programs of the Virginia Building Code Academy. The  foregoing levy shall remain effective until July 1, 2009, after which time the  fee levy shall be increased to 2.0%. Localities that maintain individual or  regional training academies accredited by DHCD shall retain such levy.
    13VAC5-63-150. Section 115 Violations. 
    A. Section 115.1 Violation a misdemeanor; civil penalty. In  accordance with § 36-106 of the Code of Virginia, it shall be unlawful for any  owner or any other person, firm or corporation, on or after the effective date  of any code provisions, to violate any such provisions. Any locality may adopt  an ordinance that establishes a uniform schedule of civil penalties for  violations of specified provisions of the code that are not abated or remedied  promptly after receipt of a notice of violation from the local enforcement  officer.
    Note: See the full text of § 36-106 of the Code of Virginia  for additional requirements and criteria pertaining to legal action relative to  violations of the code.
    B. Section 115.2 Notice of violation. The building official  shall issue a written notice of violation to the responsible party if any  violations of this code or any directives or orders of the building official  have not been corrected or complied with in a reasonable time. The notice shall  reference the code section upon which the notice is based and direct the  discontinuance and abatement of the violation or the compliance with such  directive or order. The notice shall be issued by either delivering a copy to  the responsible party by mail to the last known address or delivering the  notice in person or by leaving it in the possession of any person in charge of  the premises, or by posting the notice in a conspicuous place if the person in  charge of the premises cannot be found. The notice of violation shall indicate  the right of appeal by referencing the appeals section. When the owner of the  building or structure, or the permit holder for the construction in question,  or the tenants of such building or structure, are not the responsible party to  whom the notice of violation is issued, then a copy of the notice shall also be  delivered to the such owner, permit holder or tenants.
    C. Section 115.2.1 Notice not to be issued under certain  circumstances. When violations are discovered more than two years after the  certificate of occupancy is issued or the date of initial occupancy, whichever  occurred later, or more than two years after the approved final inspection for  an alteration or renovation, a notice of violation shall only be issued upon  advice from the legal counsel of the locality that action may be taken to  compel correction of the violation. When compliance can no longer be compelled  by prosecution under § 36-106 of the Code of Virginia, the building  official, when requested by the building owner, shall document in writing the  existence of the violation noting the edition of the USBC the violation is  under.
    D. Section 115.3 Further action when violation not corrected.  If the responsible party has not complied with the notice of violation, the  building official shall submit a written request to the legal counsel of the  locality to institute the appropriate legal proceedings to restrain, correct or  abate the violation or to require the removal or termination of the use of the  building or structure involved. In cases where the locality so authorizes, the  building official may issue or obtain a summons or warrant. Compliance with a  notice of violation notwithstanding, the building official may request legal  proceedings be instituted for prosecution when a person, firm or corporation is  served with three or more notices of violation within one calendar year for  failure to obtain a required construction permit prior to commencement of work  subject to this code.
    Note: See § 19.2-8 of the Code of Virginia concerning the  statute of limitations for building code prosecutions.
    E. Section 115.4 Penalties and abatement. Penalties for  violations of the USBC shall be as set out in § 36-106 of the Code of Virginia.  The successful prosecution of a violation of the USBC shall not preclude the  institution of appropriate legal action to require correction or abatement of a  violation.
    F. Section 115.5 Transfer of ownership. In accordance with  § 36-105 of the Code of Virginia, if the local building department has  initiated an enforcement action against the owner of a building or structure  and such owner subsequently transfers the ownership of the building or  structure to an entity in which the owner holds an ownership interest greater  than 50%, the pending enforcement action shall continue to be enforced against  the owner. 
    13VAC5-63-190. Section 119 Appeals. 
    A. Section 119.1 Establishment of appeals board. In  accordance with § 36-105 of the Code of Virginia, there shall be established  within each local building department a LBBCA. Whenever a county or a  municipality does not have such a LBBCA, the local governing body shall enter  into an agreement with the local governing body of another county or  municipality or with some other agency, or a state agency approved by DHCD for  such appeals resulting therefrom. Fees may be levied by the local governing  body in order to defray the cost of such appeals. In addition, as an  authorization in this code, separate LBBCAs may be established to hear appeals  of different enforcement areas such as electrical, plumbing or mechanical  requirements. Each such LBBCA shall comply with the requirements of this  section.
    B. Section 119.2 Membership of board. The LBBCA shall consist  of at least five members appointed by the locality for a specific term of  office established by written policy. Alternate members may be appointed to  serve in the absence of any regular members and as such, shall have the full  power and authority of the regular members. Regular and alternate members may  be reappointed. Written records of current membership, including a record of  the current chairman and secretary shall be maintained in the office of the  locality. In order to provide continuity, the terms of the members may be of  different length so that less than half will expire in any one-year period. The  LBBCA shall meet at least once annually to assure a duly constituted board,  appoint officers as necessary, and receive such training on the code as may be  appropriate or necessary from staff of the locality.
    C. Section 119.3 Officers and qualifications of members. The  LBBCA shall annually select one of its regular members to serve as chairman.  When the chairman is not present at an appeal hearing, the members present  shall select an acting chairman. The locality or the chief executive officer of  the locality shall appoint a secretary to the LBBCA to maintain a detailed  record of all proceedings. Members of the LBBCA shall be selected by the  locality on the basis of their ability to render fair and competent decisions  regarding application of the USBC and shall to the extent possible, represent  different occupational or professional fields relating to the construction  industry. At least one member should be an experienced builder; at least one  member should be an RDP, and at least one member should be an experienced  property manager. Employees or officials of the locality shall not serve as  members of the LBBCA.
    D. Section 119.4 Conduct of members. No member shall hear an  appeal in which that member has a conflict of interest in accordance with the  State and Local Government Conflict of Interests Act (§ 2.2-3100 et seq. of the  Code of Virginia). Members shall not discuss the substance of an appeal with  any other party or their representatives prior to any hearings.
    E. Section 119.5 Right of appeal; filing of appeal  application. The owner of a building or structure, the owner's agent or any  other person involved in the design or construction of a building or structure  may appeal a decision of the building official concerning the application of  the USBC to such building or structure and may also appeal a refusal by the  building official to grant a modification to the provisions of the USBC  pertaining to such building or structure. The applicant shall submit a written  request for appeal to the LBBCA within 30 calendar days of the receipt of the  decision being appealed. The application shall contain the name and address of  the owner of the building or structure and in addition, the name and address of  the person appealing, when the applicant is not the owner. A copy of the  building official's decision shall be submitted along with the application for  appeal and maintained as part of the record. The application shall be marked by  the LBBCA to indicate the date received. Failure to submit an application for  appeal within the time limit established by this section shall constitute  acceptance of a building official's decision.
    Note: To the extent that a decision of a building official  pertains to amusement devices there may be a right of appeal under the VADR.
    F. Section 119.6 Meetings and postponements. The LBBCA shall  meet within 30 calendar days after the date of receipt of the application for  appeal, except that a longer time period shall be permitted if agreed to by all  the parties involved in the appeal. A notice indicating the time and place of  the hearing shall be sent to the parties in writing to the addresses listed on  the application at least 14 calendar days prior to the date of the hearing,  except that a lesser time period shall be permitted if agreed to by all the  parties involved in the appeal. When a quorum of the LBBCA is not present at a  hearing to hear an appeal, any party involved in the appeal shall have the  right to request a postponement of the hearing. The LBBCA shall reschedule the  appeal within 30 calendar days of the postponement, except that a longer time  period shall be permitted if agreed to by all the parties involved in the  appeal.
    G. Section 119.7 Hearings and decision. All hearings before  the LBBCA shall be open meetings and the appellant, the appellant's  representative, the locality's representative and any person whose interests  are affected by the building official's decision in question shall be given an  opportunity to be heard. The chairman shall have the power and duty to direct  the hearing, rule upon the acceptance of evidence and oversee the record of all  proceedings. The LBBCA shall have the power to uphold, reverse or modify the  decision of the official by a concurring vote of a majority of those present.  Decisions of the LBBCA shall be final if no further appeal is made. The  decision of the LBBCA shall be by resolution signed by the chairman and  retained as part of the record of the appeal. Copies of the resolution shall be  sent to all parties by certified mail. In addition, the resolution shall  contain the following wording:
    "Any person who was a party to the appeal may appeal to  the State Review Board by submitting an application to such Board within 21  calendar days upon receipt by certified mail of this resolution. Application  forms are available from the Office of the State Review Board, 501 North  Second 600 East Main Street, Richmond, Virginia 23219, (804)  371-7150."
    H. Section 119.8 Appeals to the State Review Board. After final  determination by the LBBCA in an appeal, any person who was a party to the  appeal may further appeal to the State Review Board. In accordance with § 36-98.2 of the Code of Virginia for state-owned buildings and structures,  appeals by an involved state agency from the decision of the building official  for state-owned buildings or structures shall be made directly to the State  Review Board. The application for appeal shall be made to the State Review  Board within 21 calendar days of the receipt of the decision to be appealed.  Failure to submit an application within that time limit shall constitute an  acceptance of the building official's decision. For appeals from a LBBCA, a  copy of the building official's decision and the resolution of the LBBCA shall  be submitted with the application for appeal to the State Review Board. Upon  request by the office of the State Review Board, the LBBCA shall submit a copy  of all pertinent information from the record of the appeal. In the case of  appeals involving state-owned buildings or structures, the involved state  agency shall submit a copy of the building official's decision and other  relevant information with the application for appeal to the State Review Board.  Procedures of the State Review Board are in accordance with Article 2 (§ 36-108  et seq.) of Chapter 6 of Title 36 of the Code of Virginia. Decisions of the  State Review Board shall be final if no further appeal is made.
    13VAC5-63-200. Chapter 2 Definitions: Section 202 Definitions. 
    A. Add the following definitions to Section 202 of the IBC to  read: 
    Building regulations. Any law, rule, resolution, regulation,  ordinance or code, general or special, or compilation thereof, heretofore or  hereafter enacted or adopted by the Commonwealth or any county or municipality,  including departments, boards, bureaus, commissions, or other agencies thereof,  relating to construction, reconstruction, alteration, conversion, repair,  maintenance, or use of structures and buildings and installation of equipment  therein. The term does not include zoning ordinances or other land use controls  that do not affect the manner of construction or materials to be used in the  erection, alteration or repair of a building or structure. 
    Construction. The construction, reconstruction, alteration,  repair, or conversion of buildings and structures. 
    Day-night average sound level (Ldn). See Section 1202.1. 
    DHCD. The Virginia Department of Housing and Community  Development. 
    Emergency communication equipment. See Section 902.1.
    Emergency public safety personnel. See Section 902.1.
    Equipment. Plumbing, heating, electrical, ventilating,  air-conditioning and refrigeration equipment, elevators, dumbwaiters,  escalators, and other mechanical additions or installations. 
    Farm building or structure. A building or structure not used  for residential purposes, located on property where farming operations take  place, and used primarily for any of the following uses or combination thereof:  
    1. Storage, handling, production, display, sampling or sale of  agricultural, horticultural, floricultural or silvicultural products produced  in the farm. 
    2. Sheltering, raising, handling, processing or sale of  agricultural animals or agricultural animal products. 
    3. Business or office uses relating to the farm operations. 
    4. Use of farm machinery or equipment or maintenance or  storage of vehicles, machinery or equipment on the farm. 
    5. Storage or use of supplies and materials used on the farm. 
    6. Implementation of best management practices associated with  farm operations. 
    Industrialized building. A combination of one or more sections  or modules, subject to state regulations and including the necessary  electrical, plumbing, heating, ventilating and other service systems,  manufactured off-site and transported to the point of use for installation or  erection, with or without other specified components, to comprise a finished  building. Manufactured homes shall not be considered industrialized buildings  for the purpose of this code. 
    LBBCA. Local board of building code appeals (LBBCA).  See Section 119.1. 
    Local building department. The agency or agencies of any local  governing body charged with the administration, supervision, or enforcement of  this code, approval of construction documents, inspection of buildings or  structures, or issuance of permits, licenses, certificates or similar  documents. 
    Local governing body. The governing body of any city, county  or town in this Commonwealth. 
    Locality. A city, county or town in this Commonwealth. 
    Manufactured home. A structure subject to federal regulation,  which is transportable in one or more sections; is eight body feet or more in  width and 40 body feet or more in length in the traveling mode, or is 320 or  more square feet when erected on site; is built on a permanent chassis; is designed  to be used as a single-family dwelling, with or without a permanent foundation,  when connected to the required utilities; and includes the plumbing, heating,  air-conditioning, and electrical systems contained in the structure. 
    Night club. Any building in which the main use is a place of  public assembly that provides exhibition, performance or other forms of  entertainment; serves alcoholic beverages; and provides music and space for  dancing. 
    Skirting. A weather-resistant material used to enclose the space  from the bottom of the manufactured home to grade. 
    Sound transmission class (STC) rating. See Section 1202.1. 
    State regulated care facility (SRCF). A building with an  occupancy in Group R-2, R-3, R-4 or R-5 occupied by persons in the care of  others where program oversight is provided by the Virginia Department of Social  Services, the Virginia Department of Mental Health, Mental Retardation and  Substance Abuse Behavioral Health and Developmental Services, the  Virginia Department of Education or the Virginia Department of Juvenile  Justice. 
    State Review Board. The Virginia State Building Code Technical  Review Board as established under § 36-108 of the Code of Virginia. 
    Technical assistant. Any person employed by or under an  extended contract to a local building department or local enforcing agency for  enforcing the USBC, including but not limited to inspectors and plans  reviewers. For the purpose of this definition, an extended contract shall be a  contract with an aggregate term of 18 months or longer. 
    VADR. The Virginia Amusement Device Regulations (13VAC5-31). 
    VCS. The Virginia Certification Standards (13VAC5-21). 
    Working day. A day other than Saturday, Sunday or a legal  local, state or national holiday. 
    B. Change the following definitions in Section 202 of the IBC  to read: 
    Building. A combination of materials, whether portable or  fixed, having a roof to form a structure for the use or occupancy by persons,  or property. The word "building" shall be construed as though  followed by the words "or part or parts thereof" unless the context  clearly requires a different meaning. "Building" shall not include  roadway tunnels and bridges owned by the Virginia Department of Transportation,  which shall be governed by construction and design standards approved by the  Virginia Commonwealth Transportation Board. 
    For application of this code, each portion of a building that  is completely separated from other portions by fire walls complying with  Section 705 706 shall be considered as a separate building (see IBC  Section 503.1). 
    Canopy. A structure or architectural projection of rigid  construction over which a covering is attached that provides weather  protection, identity or decoration and may be structurally independent or  supported by attachment to a building on one end by not less than one stanchion  on the outer end.
    Owner. The owner or owners of the freehold of the premises or  lesser estate therein, a mortgagee or vendee in possession, assignee of rents,  receiver, executor, trustee or lessee in control of a building or structure. 
    Registered Design Professional (RDP). An architect or  professional engineer, licensed to practice architecture or engineering, as  defined under § 54.1-400 of the Code of Virginia. 
    Structure. An assembly of materials forming a construction for  occupancy or use including stadiums, gospel and circus tents, reviewing stands,  platforms, stagings, observation towers, radio towers, water tanks, storage  tanks (underground and aboveground), trestles, piers, wharves, swimming pools,  amusement devices, storage bins, and other structures of this general nature  but excluding water wells. The word "structure" shall be construed as  though followed by the words "or part or parts thereof" unless the  context clearly requires a different meaning. "Structure" shall not  include roadway tunnels and bridges owned by the Virginia Department of  Transportation, which shall be governed by construction and design standards  approved by the Virginia Commonwealth Transportation Board.
    C. Delete the following definitions from Section 202 of the  IBC: 
    Agricultural, building. 
    Existing building structure.
    13VAC5-63-210. Chapter 3 Use and occupancy classification. 
    A. Change exception 15 13 of Section 307.1 of  the IBC to read:
    15. 13. The storage of black powder, smokeless propellant  and small arms primers in Groups M, R-3 and R-5 and special industrial  explosive devices in Groups B, F, M and S, provided such storage conforms to  the quantity limits and requirements prescribed in the International Fire Code,  as amended in Section 307.9.
    B. Add Section 307.9 to the IBC to read:
    307.9 Amendments. The following changes shall be made to the  International Fire Code for the use of Exception 15 13 in Section  307.1:
    1. Change Section 314.1 of the IFC to read as follows:
    314.1 General. Indoor displays constructed within any building  or structure shall comply with Sections 314.2 through 314.5.
    2. Add new Section 314.5 to the IFC to read as follows:
    314.5 Smokeless powder and small arms primers. Vendors shall  not store, display or sell smokeless powder or small arms primers during trade  shows inside exhibition halls except as follows:
    1. The amount of smokeless powder each vender may store is  limited to the storage arrangements and storage amounts established in Section  3306.5.2.1.
    2. Smokeless powder shall remain in the manufacturer's  original sealed container and the container shall remain sealed while inside  the building. The repackaging of smokeless powder shall not be performed inside  the building. Damaged containers shall not be repackaged inside the building  and shall be immediately removed from the building in such manner to avoid  spilling any powder.
    3. There shall be at least 50 feet separation between vendors  and 20 feet from any exit.
    4. Small arms primers shall be displayed and stored in the  manufacturer's original packaging and in accordance with the requirements of  Section 3306.5.2.3.
    3. Change Exception 4 and add Exceptions 10 and 11 to Section  3301.1 of the IFC as follows:
    4. The possession, storage and use of not more than 15 pounds  (6.75 kg) of commercially manufactured sporting black powder, 20 pounds (9 kg)  of smokeless powder and any amount of small arms primers for hand loading of  small arms ammunition for personal consumption.
    10. The display of small arms primers in Group M when in the  original manufacturer's packaging.
    11. The possession, storage and use of not more than 50 pounds  (23 kg) of commercially manufactured sporting black powder, 100 pounds (45 kg)  of smokeless powder, and small arms primers for hand loading of small arms  ammunition for personal consumption in Group R-3 or R-5, or 200 pounds (91 kg)  of smokeless powder when stored in the manufacturer's original containers in  detached Group U structures at least 10 feet (3048 mm) from inhabited buildings  and are accessory to Group R-3 or R-5.
    4. Change the definition of Smokeless Propellants in Section  3302.1 of the IFC as follows:
    SMOKELESS PROPELLANTS. Solid propellants, commonly referred to  as smokeless powders, or any propellants classified by DOTn as smokeless  propellants in accordance with NA3178 (Smokeless Powder for Small Arms), used  in small arms ammunition, firearms, cannons, rockets, propellant-actuated  devices and similar articles.
    5. Change Section 3306.4 of the IFC to read as follows:
    3306.4 Storage in residences. Propellants for personal use in  quantities not exceeding 50 pounds (23 kg) of black powder or 100 pounds (45  kg) of smokeless powder shall be stored in original containers in occupancies  limited to Group R-3 and R-5 or 200 pounds (91 kg) of smokeless powder when  stored in the manufacturer's original containers in detached Group U structures  at least 10 feet (3048 mm) from inhabited buildings and are accessory to Group  R-3 or R-5. In other than Group R-3 or R-5, smokeless powder in quantities exceeding  20 pounds (9 kg) but not exceeding 50 pounds (23 kg) shall be kept in a wooden  box or cabinet having walls of at least one inch (25 mm) nominal thickness or  equivalent.
    6. Delete Sections 3306.4.1 and 3306.4.2 of the IFC.
    7. Change Section 3306.5.1.1 of the IFC to read as follows:
    3306.5.1.1 Smokeless propellant. No more than 100 pounds (45  kg) of smokeless propellants in containers of eight pounds (3.6 kg) or less  capacity shall be displayed in Group M occupancies.
    8. Delete Section 3306.5.1.3 of the IFC.
    9. Change Section 3306.5.2.1 of the IFC as follows:
    3306.5.2.1 Smokeless propellant. Commercial stocks of  smokeless propellants shall be stored as follows:
    1. Quantities exceeding 20 pounds (9 kg), but not exceeding  100 pounds (45 kg) shall be stored in portable wooden boxes having walls of at  least one inch (25 mm) nominal thickness or equivalent.
    2. Quantities exceeding 100 pounds (45 kg), but not exceeding  800 pounds (363 kg), shall be stored in storage cabinets having walls at least  one inch (25 mm) nominal thickness or equivalent. Not more than 400 pounds (182  kg) shall be stored in any one cabinet, and cabinets shall be separated by a  distance of at least 25 feet (7620 mm) or by a fire partition having a  fire-resistance rating of at least one hour.
    3. Storage of quantities exceeding 800 pounds (363 kg), but  not exceeding 5,000 pounds (2270 kg) in a building shall comply with all of the  following:
    3.1. The storage is inaccessible to unauthorized personnel.
    3.2. Smokeless propellant shall be stored in nonportable  storage cabinets having wood walls at least one inch (25 mm) nominal thickness  or equivalent and having shelves with no more than 3 feet (914 mm) of vertical  separation between shelves.
    3.3. No more than 400 pounds (182 kg) is stored in any one  cabinet.
    3.4. Cabinets shall be located against walls with at least 40  feet (12 192 mm) between cabinets. The minimum required separation between  cabinets may be reduced to 20 feet (6096 mm) provided that barricades twice the  height of the cabinets are attached to the wall, midway between each cabinet.  The barricades must extend a minimum of 10 feet (3048 mm) outward, be firmly  attached to the wall, and be constructed of steel not less than 0.25 inch thick  (6.4 mm), 2-inch (51 mm) nominal thickness wood, brick, or concrete block.
    3.5. Smokeless propellant shall be separated from materials  classified as combustible liquids, flammable liquids, flammable solids, or  oxidizing materials by a distance of 25 feet (7620 mm) or by a fire partition  having a fire-resistance rating of 1 hour.
    3.6. The building shall be equipped throughout with an  automatic sprinkler system installed in accordance with Section 903.3.1.1.
    4. Smokeless propellants not stored according to Item 1, 2, or  3 above shall be stored in a Type 2 or 4 magazine in accordance with Section  3304 and NFPA 495.
    D. C. Change Section 308.5.2 of the IBC to  read:
    308.5.2 Child care facility. A facility other than family day  homes under Section 310.4 that provides supervision and personal care on less  than a 24-hour basis for more than five children 2-1/2 years of age or less  shall be classified as Group I-4.
    Exception: A child day care facility that provides care for  more than five but no more than 100 children 2-1/2 years or less of age, when  where the rooms where such in which the children are cared  for are located on the a level of exit discharge serving such  rooms and each of these child care rooms has an exit door directly to the  exterior, shall be classified as Group E.
    E. D. Change occupancy classifications  "R-1" and "R-4" and add new occupancy classification  "R-5" to Section 310 of the IBC to read:
    R-1 Residential occupancies containing sleeping units where  the occupants are primarily transient in nature, including:
    Boarding houses (transient)
    Hotels (transient)
    Motels (transient)
    Congregate living facilities (transient) with 10 or fewer  occupants are permitted to comply with the construction requirements for Group  R-3.
    Exceptions:
    1. Nonproprietor occupied bed and breakfast and other  transient boarding facilities not more than three stories above grade plane in  height with a maximum of 10 occupants total are permitted to be classified as  either Group R-3 or Group R-5 provided that smoke alarms are installed in  compliance with Section 907.2.10.1.2 for Group R-3 or Section 313.1 of the  International Residential Code for Group R-5.
    2. Proprietor occupied bed and breakfast and other transient  boarding facilities not more than three stories above grade plane in height,  that are also occupied as the residence of the proprietor, with a maximum of  five guest room sleeping units provided for the transient occupants are  permitted to be classified as either Group R-3 or R-5 provided that smoke  alarms are installed in compliance with Section 907.2.10.1.2 for Group R-3 or  Section 313.1 of the International Residential Code for Group R-5.
    R-4 Residential occupancies shall include buildings arranged  for occupancy as residential care/assisted living facilities including more  than five but not more than 16 occupants, excluding staff.
    Group R-4 occupancies shall meet the requirements for  construction as defined for Group R-3, except as otherwise provided for in this  code, or shall comply with the International Residential Code with the  additional requirement to provide IRC provided the building is protected  by an automatic sprinkler system installed in accordance with  Section 903.2.7.
    Exception: Group homes licensed by the Virginia Department of Mental  Health, Mental Retardation and Substance Abuse Behavioral Health and Developmental  Services or the Virginia Department of Social Services that house no more than  eight persons with one or more resident counselors shall be classified as Group  R-2, R-3, R-4 or R-5. Not more than five of the persons may require physical  assistance from staff to respond to an emergency situation.
    R-5 Residential occupancies in detached one- and two-family  dwellings, townhouses and accessory structures within the scope of the  International Residential Code, also referred to as the "IRC."
    F. E. Add Section 310.3 to the IBC to read:
    310.3 Group R-5. The construction of Group R-5 structures  shall comply with the IRC. The amendments to the IRC set out in Section 310.6  shall be made to the IRC for its use as part of this code. In addition, all  references to Section 101.2 in the IBC relating to the construction of such  structures subject to the IRC shall be considered to be references to this  section.
    G. F. Add Section 310.3.1 to the IBC to read:
    310.3.1 Additional requirements. Methods of construction, materials,  systems, equipment or components for Group R-5 structures not addressed by  prescriptive or performance provisions of the IRC shall comply with applicable  IBC requirements.
    H. G. Add Section 310.4 to the IBC to read:
    310.4 Family day homes. Family day homes where program  oversight is provided by the Virginia Department of Social Services shall be  classified as Group R-2, R-3 or R-5.
    Note: Family day homes may generally care for up to 12  children. See the DHCD Related Laws Package for additional information.
    I. H. Add Section 310.5 to the IBC to read:
    310.5 Radon-resistant construction in Group R-3 and R-4  structures. Group R-3 and R-4 structures shall be subject to the  radon-resistant construction requirements in Appendix F in localities enforcing  such requirements pursuant to Section R325 of the IRC.
    J. I. Add Section 310.6 to the IBC to read:
    310.6 Amendments to the IRC. The following changes shall be  made to the IRC for its use as part of this code:
    1. Add the following definitions to Section R202 to read:
    Air-impermeable insulation. An insulation having an air  permanence equal to or less than 0.02 L/s-m2 at 75 Pa pressure  differential tested according to ASTM E2178 or E283.
    Subsoil drain. A drain that collects subsurface water or  seepage water and conveys such water to a place of disposal.
    2. Change the definition of "Story above grade"  in Section R202 to read:
    Story above grade. Any story having its finished floor  surface entirely above grade, except that a basement shall be considered as a  story above grade where the finished surface of the floor above the basement  meets any one of the following:
    1. Is more than 6 feet (1829 mm) above the grade plane.
    2. Is more than 6 feet (1829 mm) above the finished ground  level for more than 50% of the total building perimeter.
    3. Is more than 12 feet (3658 mm) above the finished ground  level at any point.
    3. 1. Change Section R301.2.1 to read:
    R301.2.1 Wind limitations. Buildings and portions thereof  shall be limited by wind speed, as defined in Figure R301.2(1), and  construction methods in accordance with this code. Basic wind speeds shall be  determined from Table R301.2(4). Where different construction methods and  structural materials are used for various portions of a building, the  applicable requirements of this section for each portion shall apply. Where  loads for wall coverings, curtain walls, roof coverings, exterior windows,  skylights, garage doors and exterior doors are not otherwise specified, the  loads listed in Table R301.2(2) adjusted for height and exposure using Table  R301.2(3) shall be used to determine design load performance requirements for  wall coverings, curtain walls, roof coverings, exterior windows, skylights,  garage doors and exterior doors. Asphalt shingles shall be designed for wind speeds  in accordance with Section R905.2.6. Wind speeds for localities in special wind  regions, near mountainous terrain, and near gorges shall be based on elevation.  Areas at 4,000 feet in elevation or higher shall use 110 V mph (48.4 m/s) and  areas under 4,000 feet in elevation shall use 90 V mph (39.6 m/s). Gorge areas  shall be based on the highest recorded speed per locality or in accordance with  local jurisdiction requirements determined in accordance with Section 6.5.4 of  ASCE 7. 
    4. 2. Change Section R301.2.1.1 to read:
    R301.2.1.1 Design criteria. Construction in regions where the  basic wind speeds from Figure R301.2(4) equal or exceed 110 miles per hour (49  m/s) shall be designed in accordance with one of the following: methods.  The elements of design not addressed by those documents in items 1 through 4  shall be in accordance with this code.
    1. American Forest and Paper Association (AF&PA) Wood  Frame Construction Manual for One- and Two-Family Dwellings (WFCM); or
    2. Southern Building Code Congress International Standard  for Hurricane Resistant Residential Construction (SSTD 10) International  Code Council (ICC) Standards for Residential Construction in High Wind Regions  (ICC-600); or
    3. Minimum Design Loads for Buildings and Other Structures  (ASCE-7); or
    4. American Iron and Steel Institute (AISI), Standard for  Cold-Formed Steel Framing-Prescriptive Method for One- and Two-Family Dwellings  (COFS/PM) with Supplement to Standard for Cold-Formed Steel  Framing-Prescriptive Method for One- and Two-Family Dwellings (AISI  S230).
    5. Concrete construction shall be designed in  accordance with the provisions of this code.
    6. Structural insulated panel (SIP) walls shall be designed  in accordance with the provisions of this code.
    5. Change Table R301.7 to read:
           | Table R301.7Allowable Deflection of Structural Membersa,b,c,d
 | 
       | Structural Member
 | Allowable Deflection
 | 
       | Rafters having slopes greater than 3/12 with no finished    ceiling attached to rafters
 | L/180
 | 
       | Interior walls and partitions
 | H/180
 | 
       | Floors and plastered ceilings
 | L/360
 | 
       | All other structural members
 | L/240
 | 
       | Exterior walls with plaster or stucco finish
 | H/360
 | 
       | Exterior walls–wind loadsa with brittle    finishes
 | H/240
 | 
       | Exterior walls–wind loadsa with flexible    finishes
 | H/120d
 | 
       | Veneer masonry walls
 | L/600
 | 
       | Note: L = span length, H = span height.
 aThe wind load shall be permitted to be taken    as 0.7 times the Component and Cladding loads for the purpose of determining    deflection limits herein.
 bFor cantilever members, L shall be taken as    twice the length of the cantilever.
 cFor aluminum structural members or panels    used in roofs or walls of sunroom additions or patio covers, not supporting    edge of glass or sandwich panels, the total load deflection shall not exceed    L/60. For sandwich panels used in roofs or walls of sunroom additions or    patio covers, the total load deflection shall not exceed L/120.
 dDeflection for exterior walls with interior    gypsum board finish shall be limited to an allowable deflection of H/180.
 | 
  
    6. Change Section R302.1 to read:
    R302.1 Exterior walls. Construction, projections, openings  and penetrations of exterior walls of dwellings and accessory buildings shall  comply with Table R302.1.
    Exceptions:
    1. Walls, projections, openings or penetrations in walls  perpendicular to the line use to determine the fire separation distance.
    2. Walls of dwellings and accessory structures located on  the same lot.
    3. Detached tool sheds and storage sheds, playhouses and  similar structures exempted from permits are not required to provide wall  protection based on location on the lot. Projections beyond the exterior wall  shall not extend over the lot line.
    4. Detached garages accessory to a dwelling located within  two feet (610 mm) of a lot line are permitted to have roof eave projections not  exceeding four inches (102 mm).
    5. Foundation vents installed in compliance with this code  are permitted.
    3. Change the exception in Section R302.2 to require a  common two-hour fire-resistance-rated wall instead of a one-hour  fire-resistance-rated wall.
    4. Add the following sentence to the end of Section R302.3  to read:
    Dwelling unit separation wall assemblies that are  constructed on a lot line shall be constructed as required in Section R302.2  for townhouses.
    7. 5. Add an exception to Section R303.8 to  read:
    Exception: Seasonal structures not used as a primary residence  for more than 90 days per year, unless rented, leased or let on terms expressed  or implied to furnish heat, shall not be required to comply with this section.
    8. 6. Add Section R303.8.1 to read:
    R303.8.1 Nonowner occupied required heating. Every dwelling  unit or portion thereof which is to be rented, leased or let on terms either  expressed or implied to furnish heat to the occupants thereof shall be provided  with facilities in accordance with Section R303.8 during the period from  October 15 to May 1.
    9. 7. Add Section R303.9 to read:
    R303.9 Insect screens. Every door, window and other outside  opening required for ventilation purposes shall be supplied with approved  tightly fitted screens of not less than 16 mesh per inch (16 mesh per 25 mm)  and every screen door used for insect control shall have a self-closing device.
    10. 8. Add Section R306.5 to read:
    R306.5 Water supply sources and sewage disposal systems. The  water and drainage system of any building or premises where plumbing fixtures  are installed shall be connected to a public or private water supply and a  public or private sewer system. As provided for in Section 103.11 for  functional design, water supply sources and sewage disposal systems are  regulated and approved by the Virginia Department of Health and the Virginia  Department of Environmental Quality. 
    Note: See also the Memorandums of Agreement in the  "Related Laws Package," which is available from the Virginia  Department of Housing and Community Development.
    11. 9. Change Section R310.1 to read:
    R310.1 Emergency escape and rescue required. Basements and  each sleeping room designated on the construction documents shall have at least  one openable emergency escape and rescue opening. Such opening shall be  directly to the exterior of the building or to a deck, screen porch or egress  court, all of which shall provide access to a public street, public alley or  yard. Where emergency escape and rescue openings are provided, they shall have  a sill height of not more than 44 inches (1118 mm) above the floor. Where a  door opening having a threshold below the adjacent ground elevation serves as  an emergency escape and rescue opening and is provided with a bulkhead  enclosure, the bulkhead enclosure shall comply with Section R310.3. The net  clear opening dimensions required by this section shall be obtained by the  normal operation of the emergency escape and rescue opening from the inside,  except that tilt-out or removable sash designed windows shall be permitted to  be used. Emergency escape and rescue openings with a finished height below the  adjacent ground elevation shall be provided with a window well in accordance  with Section R310.2.
    Exceptions:
    1. Dwelling units equipped throughout with an approved  automatic sprinkler system installed in accordance with NFPA 13, 13R or 13D.
    2. Basements used only to house mechanical equipment and not  exceeding total floor area of 200 square feet (18.58 m2).
    12. 10. Change Section R310.1.1 to read:
    R310.1.1 Minimum opening area. All emergency escape and rescue  openings shall have a minimum net clear opening of 5.7 square feet (0.530 m2),  including the tilting or removal of the sash as the normal operation to comply  with sections R310.1.2 and R310.1.3.
    Exception: Grade floor openings shall have a minimum net clear  opening of 5 square feet (0.465 m2).
    13. 11. Change Section R311.5.3.1 R311.7.4.1  to read:
    R311.5.3.1 R311.7.4.1 Riser height. The maximum  riser height shall be 8-1/4 inches (210 mm). The riser shall be measured  vertically between the leading edges of the adjacent treads. The greatest riser  height within any flight of stairs shall not exceed the smallest by more than  3/8 inch (9.5 mm).
    14. 12. Change Section R311.5.3.2 R311.7.4.2  to read:
    R311.5.3.2 R311.7.4.2 Tread depth. The minimum  tread depth shall be 9 inches (229 mm). The tread depth shall be measured  horizontally between the vertical planes of the foremost projection of adjacent  treads and at a right angle to the tread's leading edge. The greatest tread  depth within any flight of stairs shall not exceed the smallest by more than  3/8 inch (9.5 mm). Consistently shaped winders at the walkline shall be  allowed within the same flight of stairs as rectangular treads and do not have  to be within 3/8 inch (9.5 mm) of the rectangular tread depth. Winder  treads shall have a minimum tread depth of 10 inches (254 mm) measured as  above at a point 12 inches (305 mm) from the side where the treads are narrower  between the vertical planes of the foremost projection of adjacent treads at  the intersection with the walkline. Winder treads shall have a minimum  tread depth of 6 inches (152 mm) at any point within the clear width of the  stair. Within any flight of stairs, the greatest largest  winder tread depth at the 12 inch (305 mm) walk line walkline  shall not exceed the smallest winder tread by more than 3/8 inch (9.5  mm). 
    15. 13. Change Section R311.5.5 R311.7.6  to read:
    R311.5.5 R311.7.6 Stairway walking surface. The  walking surface of treads and landings of stairways shall be level or sloped no  steeper than one unit vertical in 48 inches horizontal (two-percent slope).
    16. Change Section R317.1 to read:
    R317.1 Two-family dwellings. Dwelling units in two-family  dwellings shall be separated from each other by wall and/or floor assemblies  having not less than a 1-hour fire-resistance rating when tested in accordance  with ASTM E119. Fire-resistance-rated floor-ceiling and wall assemblies shall  extend to and be tight against the exterior wall, and wall assemblies shall  extend to and be tight against the underside of the roof sheathing. Dwelling  unit separation wall assemblies, which are constructed on a lot line, shall be  constructed as required in Section R317.1 for townhouses.
    Exceptions:
    1. A fire-resistance rating of 1/2 hour shall be permitted  in buildings located entirely on the same lot and equipped throughout with an  automatic sprinkler system installed in accordance with NFPA 13.
    2. For two-family dwellings located on the same lot, wall  assemblies need not extend through attic spaces when the ceiling is protected  by not less than 5/8-inch (15.9 mm) Type X gypsum board and an attic draft stop  constructed as specified in Section R502.12.1 is provided above and along the  wall assembly separating the dwellings. The structural framing supporting the  ceiling shall also be protected by not less than 1/2-inch (12.7 mm) gypsum  board or equivalent.
    14. Replace Section R313 with the following:
    Section R313.
    Automatic Fire Sprinkler Systems.
    R313.1 Townhouse automatic fire sprinkler systems.  Notwithstanding the requirements of Section 103.8, where installed, an  automatic residential fire sprinkler system for townhouses shall be designed  and installed in accordance with NFPA 13D or Section P2904.
    Exception: An automatic residential fire sprinkler system  shall not be required when additions or alterations are made to existing  townhouses that do not have an automatic residential fire sprinkler system  installed.
    R313.2 One- and two-family dwellings automatic fire  sprinkler systems. Notwithstanding the requirements of Section 103.8, where  installed, an automatic residential fire sprinkler system shall be designed and  installed in accordance with NFPA 13D or Section P2904.
    Exception: An automatic residential fire sprinkler system  shall not be required for additions or alterations to existing buildings that  are not already provided with an automatic residential fire sprinkler system.
    17. 15. Add Section R325 R324  Radon-Resistant Construction.
    18. 16. Add Section R325.1 R324.1  to read:
    R325.1 R324.1 Local enforcement of radon requirements.  Following official action under Article 7 (§ 15.2-2280 et seq.) of Chapter  22 of Title 15.2 of the Code of Virginia by a locality in areas of high radon  potential, as indicated by Zone 1 on the U.S. EPA Map of Radon Zones (IRC  Figure AF101), such locality shall enforce the provisions contained in Appendix  F.
    Exemption: Buildings or portions thereof with crawl space  foundations which are ventilated to the exterior, shall not be required to  provide radon-resistant construction.
    19. 17. Add Section R326 R325  Swimming Pools, Spas and Hot Tubs.
    20. 18. Add Section R326.1 R325.1  to read:
    R326.1 R325.1 Use of Appendix G for swimming  pools, spas and hot tubs. In addition to other applicable provisions of this  code, swimming pools, spas and hot tubs shall comply with the provisions in  Appendix G.
    21. 19. Add Section R327 R326  Patio Covers.
    22. 20. Add Section R327.1 R326.1  to read:
    R327.1 R326.1 Use of Appendix H for patio  covers. Patio covers shall comply with the provisions in Appendix H.
    23. 21. Add Section R328 R327  Sound Transmission.
    24. 22. Add Section R328.1 R327.1  to read:
    R328.1 R327.1 Sound transmission between  dwelling units. Construction assemblies separating dwelling units shall provide  airborne sound insulation as required in Appendix K.
    25. 23. Add Section R328.2 R327.2  to read:
    R328.2 R327.2 Airport noise attenuation. This  section applies to the construction of the exterior envelope of detached one-  and two-family dwellings and multiple single-family dwellings (townhouses) not  more than three stories high with separate means or egress within airport noise  zones when enforced by a locality pursuant to § 15.2-2295 of the Code of  Virginia. The exterior envelope of such structures shall comply with Section  1207.4 of the state amendments to the IBC.
    26. Change Section R401.4 to read:
    R401.4 Soil tests. Where quantifiable data created by sound  soil science methodologies indicate expansive, compressible, shifting or  unknown soil characteristics are likely to be present, the building official  shall determine whether to require a soil test to determine the soil's  characteristics at a particular location. This test shall be made by an  approved agency using an approved method.
    27. 24. Change Section R403.1 to read:
    R403.1 General. All exterior walls shall be supported on  continuous solid or fully grouted masonry or concrete footings, wood  foundations, or other approved structural systems which shall be of sufficient  design to accommodate all loads according to Section R301 and to transmit the  resulting loads to the soil within the limitations as determined from the  character of the soil. Footings shall be supported on undisturbed natural soils  or engineered fill.
    Exception: One-story detached accessory structures used as  tool and storage sheds, playhouses and similar uses, not exceeding 256 square  feet (23.7824 m2) of building area, provided all of the following  conditions are met:
    1. The building eave height is 10 feet or less.
    2. The maximum height from the finished floor level to grade  does not exceed 18 inches.
    3. The supporting structural elements in direct contact with  the ground shall be placed level on firm soil and when such elements are wood  they shall be approved pressure preservative treated suitable for ground  contact use.
    4. The structure is anchored to withstand wind loads as  required by this code.
    5. The structure shall be of light-frame construction whose  vertical and horizontal structural elements are primarily formed by a system of  repetitive wood or light gauge steel framing members, with walls and roof of  light weight material, not slate, tile, brick or masonry.
    28. Change Section R404.1 to read as follows and delete  Tables R404.1(1), R404.1(2) and R404.1(3):
    R404.1 Concrete and masonry foundation walls. Concrete and  masonry foundation walls shall be selected and constructed in accordance with  the provisions of Section R404 or in accordance with ACI 318, ACI 332, NCMA  TR68-A or ACI 530/ASCE 5/TMS 402 or other approved structural standards.
    29. Change Section R408.1 to read:
    R408.1 Ventilation. The under-floor space between the  bottom of the floor joists and the earth under any building (except space  occupied by a basement) shall have ventilation openings through foundation  walls or exterior walls. The minimum net area of ventilation openings shall not  be less than one square foot (0.0929 m2) for each 150 square feet  (14 m2) of under-floor space area. One such ventilating opening  shall be within three feet (914 mm) of each corner of the building.
    Exception: When the exposed earth is covered with a  continuous vapor barrier, the minimum net area of ventilation openings shall be  not less than one square foot (0.0929 m2) for each 1,500 square feet  (139 m2) of under-floor space area. Joints of the vapor retarder  shall overlap by six inches (152 mm).
    30. Change Section R408.2 to read:
    R408.2 Openings for under-floor ventilation. Ventilation  openings shall be covered for their height and width with any of the following  materials provided that the least dimension of the covering shall not exceed  1/4 inch (6.4 mm):
    1. Perforated sheet metal plates not less than 0.070 inch  (1.8 mm) thick.
    2. Expanded sheet metal plates not less than 0.047 inch  (1.2 mm) thick.
    3. Cast-iron grill or grating.
    4. Extruded load-bearing brick vents.
    5. Hardware cloth of 0.035 inch (0.89 mm) wire or heavier.
    6. Corrosion-resistant wire mesh, with the least dimension  being 1/8 inch (3.2 mm).
    31. Add Section R502.2.2.1 to read:
    R502.2.2.1 Deck ledger connection to band joist. For  residential applications and a total design load of 50 psf, the connection  between a pressure preservative treated southern pine (or approved  decay-resistant species) deck ledger and a two-inch nominal band joist bearing  on a sill plate or wall plate shall be constructed with 1/2-inch lag screws or  bolts with washers per Table R502.2.2.1.
     
         
      32. Add Table R502.2.2.1 to read:
           | Table R502.2.2.1
 Fastener Spacing for a    Residential Southern Pine Deck Ledger and a 2-inch Nominal Solid-Sawn Band    Joist (50 psf total load)c
 | 
       | Joist Span (ft)
 | 6' and less
 | 6'-1" to 8'
 | 8'-1" to 10'
 | 10'-1" to 12'
 | 12'-1" to 14'
 | 14'-1" to 16'
 | 16'-1" to 18'
 | 
       |   | On-Center Spacing of Fastenersd,e
 | 
       | 1/2" x 4" Lag Screwa,b
 | 30
 | 23
 | 18
 | 15
 | 13
 | 11
 | 10
 | 
       | 1/2" Bolt with washers
 | 36
 | 36
 | 34
 | 29
 | 24
 | 21
 | 19
 | 
       | aThe maximum gap between the face of the    ledger board and face of the house band joist shall be 1/2 inch.
 bThe tip of the lag screw shall fully extend    beyond the inside face of the band joist.
 cLedgers shall be flashed to prevent water    from contacting the house band joist.
 dLag screws and bolts shall be staggered as    set out in Section R502.2.2.1.1.
 eDeck ledger shall be 2x8 PPT No. 2 Southern    Pine (minimum) or other approved method and material as established by    standard engineering practice.
 | 
  
         
      33. Add Section R502.2.2.1.1 to read:
    R502.2.2.1.1 Placement of lag screws or bolts in  residential deck ledgers. The lag screws or bolts shall be placed two inches in  from the bottom or top of the deck ledgers and two inches in from the ends. The  lag screws or bolts shall be staggered from the top to the bottom along the  horizontal run of the deck ledger.
    34. 25. Change Section R506.2.1 to read:
    R506.2.1 Fill. Fill material shall be free of vegetation and  foreign material and shall be natural nonorganic material that is not  susceptible to swelling when exposed to moisture. The fill shall be compacted  to assure uniform support of the slab, and except where approved, the fill  depth shall not exceed 24 inches (610 mm) for clean sand or gravel and 8 inches  (203 mm) for earth.
    Exception: Material other than natural material may be used as  fill material when accompanied by a certification from an RDP and approved by  the building official.
    35. 26. Change Section R506.2.2 to read:
    R506.2.2 Base. A 4-inch-thick (102 mm) base course consisting  of clean graded sand, gravel or crushed stone passing a 2-inch (51 mm) sieve  shall be placed on the prepared subgrade when the slab is below grade.
    Exception: A base course is not required when the concrete  slab is installed on well drained or sand-gravel mixture soils classified as  Group I according to the United Soil Classification System in accordance with  Table R405.1. Material other than natural material may be used as base course  material when accompanied by a certification from an RDP and approved by the  building official.
    36. 27. Replace Section R602.10, including all  subsections, with the following:
    R602.10 Wall bracing. The use of this section is subject to  the following clarification of cross-references:
    1. In Sections R301.2.2.1.1 and R301.2.2.4.1, delete the  references to Table R602.10.1.
    2. In Section R301.3, delete the exception to Item 1.
    3. References to Table R602.10.1 in all other provisions of  the IRC except those in Items 1 and 2 above shall be references to Table  R602.10.1.5 of this section.
    4. In Section R403.1.6, delete the sentence that reads,  "In Seismic Design Categories D0, D1 and D2,  anchor bolts shall be spaced at 6 feet (1829 mm) on center and located within  12 inches (304 mm) of the ends of each plate section at interior braced wall  lines when required by Section R602.10.9 to be supported on a continuous  foundation." In addition, all references to Figure R602.10.5 in Section  R403.1.6 shall be references to Figure R602.10.3.3(1) of this section.
    5. Change the reference in Section R502.2.1 from Section  R602.10.8 to Section R602.10.5 of this section.
    All new buildings, additions and conversions shall be braced  in accordance with this section. Where a building, or portion thereof, does not  comply with one or more of the bracing requirements in this section, those  portions shall be designed and constructed in accordance with the International  Building Code. For structures in areas where the wind speed from Table  R301.2(1) is 110 mph or greater, an engineered design is required.
    The building official may require the permit applicant to identify  and locate on the construction documents bracing methods utilized.
    R602.10.1 Braced wall lines. Braced wall lines shall be  straight lines through the building plan at each level provided with braced  wall panels to resist lateral load. The percentage, location and construction  of braced wall panels shall be as specified in this section.
    R602.10.1.1 Spacing of braced wall lines. In each story,  spacing of parallel braced wall lines shall not exceed 50 feet (15 240 mm) as  shown in Figure R602.10.1.1. When braced wall lines exceed a spacing of 50 feet  (15 240 mm), intermediate braced wall line(s) shall be provided. Each end of a  braced wall line shall intersect perpendicularly with other braced wall lines  or their projections.
         
          
    R602.10.1.2 Braced wall panels. Braced wall panels shall be  full-height sections of wall constructed along a braced wall line to resist  lateral loads in accordance with the intermittent bracing methods specified in  Section R602.10.2 or the continuous sheathing methods specified in Section  R602.10.3. Mixing of bracing methods shall be permitted as follows:
    1. Mixing bracing methods from story to story shall be  permitted.
    2. Mixing bracing methods from braced wall line to braced wall  line within a story shall be permitted, except that continuous sheathing  methods shall conform to the additional requirements of Section R602.10.3.
    3. Mixing intermittent bracing methods along a braced wall  line shall be permitted for single-family dwellings in Seismic Design  Categories A, B and C and townhouses in Seismic Design Categories A and B. The  required percentage of bracing for the braced wall line with mixed methods  shall use the higher bracing percentage, per Table R602.10.1.5, of all methods  used.
    R602.10.1.3 Braced wall panel location. Braced wall panels  shall be located at least every 25 feet (7620 mm) on center and shall begin no  more than 12.5 feet (3810 mm) from each end of a braced wall line or its  projection as shown in Figure R602.10.1.3(1) and Figure R602.10.4, but not less  than the percentages given in Table R602.10.1.5. Braced wall lines with  continuous sheathing shall conform to the additional requirements of Section  R602.10.3.3.
    All braced wall panels shall be permitted to be offset  out-of-plane from the designated braced wall line up to 4 feet (1219 mm)  provided the total out-to-out offset in any braced wall line is not more than 8  feet (2438 mm) as shown in Figure R602.10.1.3(2).
    
    
    R602.10.1.4 Angled walls. The walls of a braced wall line  shall be permitted to angle out of plane for a maximum diagonal length of 8  feet (2438 mm). Where the angled wall occurs at a corner, the length of the  braced wall line shall be measured from the projected corner as shown in Figure  R602.10.1.4. Where the diagonal length is greater than 8 feet (2438 mm), it  shall be considered its own braced wall line.
    
    R602.10.1.5 Minimum required percentage of bracing. The  minimum required percentage of bracing along each braced wall line shall be in  accordance with Table R602.10.1.5 and shall be the greater of that required by  the Seismic Design Category or the design wind speed.
           | Table R602.10.1.5a,b,cMinimum Required Percentage of Wall Bracing
 | 
       | Seismic Design Category (SDC) or Wind Speed | Floor | Minimum Required Percentage of Full-height Bracing per Wall    Line | 
       | Braced wall line spacing less than or equal to 35' | Braced wall line spacing greater than 35' and less than or    equal to 50' | 
       | Methods WSP, CS-WSP, CS-G, CS-PF | All other methodsd | Methods WSP, CS-WSP, CS-G, CS-PF | All other methodsd | 
       | SDC A, B or wind speed ≤100 mph | 
 | One-story house or top floor of a two- or three-story house. | 16% | 16% | 23% | 23% | 
       | 
 | First floor of a two-story or second floor of a three-story    house. | 16% | 25% | 23% | 36% | 
       | 
 | First floor of a three-story house. | 25% | 35% | 36% | 50% | 
       | SDC C or wind speed <110 mph | 
 | One-story house or top floor of a two- or three-story house. | 16% | 25% | 23% | 36% | 
       | 
 | First floor of a two-story or second floor of a three-story    house. | 30% | 45% | 43% | 64% | 
       | 
 | First floor of a three-story house. | 45% | 60% | 64% | 86% | 
       | For SI: 1 foot = 305 mm aFoundation cripple wall panels shall be braced    in accordance with Section R602.10.8. bMethods of bracing shall be as described in    Sections R602.10.2 and R602.10.3. cThe total amount of bracing required for a given    braced wall line shall be the product of the minimum required percentage and    all the applicable adjustment factors described in Sections R602.10.4,    R602.10.7 and R602.10.8. dFor Method GB, the percentage required shall be    doubled for one-sided applications. | 
  
    R602.10.2 Intermittent bracing methods. Intermittent braced  wall panels shall comply with this section. The location of each panel shall be  identified on the construction documents.
    R602.10.2.1 Intermittent braced wall panels. Intermittent  braced wall panels shall be constructed in accordance with one of the methods  listed in Table R602.10.2.1.
           | Table R602.10.2.1Intermittent Bracing Methods
 | 
       | Method | Material | Minimum Thickness | Figure | Connection Criteria | 
       | LIB | Let-in-bracing | 1x4 wood or approved metal straps at 45° to 60° angles | 
 | Wood: 2-8d nail per studMetal: per manufacturer
 | 
       | DWB | Diagonal wood board at 24" spacing | 5/8" | 
 | 2-8d (2-1/2" x 0.113") nails or 2 staples,    1-3/4" per stud | 
       | WSP | Wood structural panel | 3/8" | 
 | 6d common (2" x 0.113" nails at 6" spacing    (panel edges) and at 12" spacing (intermediate supports) or 16 ga. x    1-3/4" staples: at 3" spacing (panel edges) at 6" spacing    (intermediate supports | 
       | SFB | Structural fiberboard sheathing | 1/2" or 25/32" for 16" stud spacing only | 
 | 1-1/2" galvanized roofing nails or 8d common    (2-1/2" x 0.113") nails at 3" spacing (panel edges) at 6"    spacing (intermediate supports) | 
       | GB | Gypsum board | 1/2" | 
 | Nails at 7" spacing at panel edges including top and    bottom plates: for exterior sheathing nail size, see Table R602.3(1); for    interior gypsum board nail size, see Table R702.3.5 | 
       | PBS | Particleboard sheathing | 3/8" or 1/2" for 16" stud spacing only | 
 | 1-1/2" galvanized roofing nails or 8d common    (2-1/2" x 0.113") nails at 3" spacing (panel edges) at 6"    spacing (intermediate supports) | 
       | PCP | Portland cement plaster | See Section R703.6 | 
 | 1-1/2", 11 gage, 7/16" head nails at 16"    spacing or 7/16", 16 gage staples at 6" spacing | 
       | HPS | Hardboard panel siding | 7/16" | 
 | 0.092" dia., 0.225" head nails with length to    accommodate 1-1/2" penetration into studs at 4" | 
       | ABW | Alternate braced wall | See Figure R602.10.1(1) | 
 | See Figure R602.10.1(1) | 
       | IPF | Intermittent portal frame | See Figure R602.10.1(2) | 
 | See Figure R602.10.1(2) | 
       | For SI: 1 inch = 25.4 mm, 1 foot = 305 mm | 
  
    
     
    
    R602.10.2.2 Minimum length of intermittent braced wall panels.  The minimum length of each intermittent braced wall panel shall comply with  Table R602.10.2.2. For Methods DWB, WSP, SFB, GB, PBS, PCP and HPS, each panel  shall cover at least three studs where studs are spaced 16 inches (406 mm) on  center or at least two studs where studs are spaced 24 inches (610 mm) on  center. Only those full-height braced wall panels complying with the length  requirements of Table R602.10.2.2(1) shall be permitted to contribute towards  the minimum required percentage of bracing.
    Exception: For Methods DWB, WSP, SFB, PBS, PCP and HPS, panel  lengths less than the dimensions shown in Table R602.10.2.2 shall be permitted  provided the effective lengths in accordance with Table R602.10.2(2) are used  in place of actual lengths when determining compliance with the percentage of  bracing required by Table R602.10.1.5.
           | Table R602.10.2.2(1)Minimum Length of Intermittent Braced Wall Panelsa,b
 | 
       | Bracing Method | Floor | Height of Intermittent Braced Wall Panel | 
       | 8' | 9' | 10' | 11' | 12' | 
       | DWB, WSP, SFB, GBc, PBS, PCP, HPS | All | 48" | 48" | 48" | 53" | 58" | 
       | ABW | All | 28" | 32" | 34" | 38" | 42" | 
       | IPF | 
 | One-story house | 16" | 16" | 16" | 18" | 20" | 
       | 
 | First floor of a two-story house | 24" | 24" | 24" | 27" | 29" | 
       | For SI: 1 foot = 305 mm, 1 inch = 25.4 mm aInterpolation shall be permitted. bWhen determining compliance with the percentage    of bracing required by Table R602.10.1.5, the effective length of Method LIB    shall be equivalent to 48" (1219 mm) provided it complies with the Table    R602.10.2.1. cGypsum board applied to both sides of the braced    wall panel; where the gypsum board is applied to one side, the required    length shall be doubled. | 
  
     
           | Table R602.10.2(2)Effective Lengths for Brace Wall Panels When Determining Percentage of    Bracinga
 | 
       | Actual Length of Braced Wall Panel | Wall Height | 
       | 8' | 9' | 10' | 
       | 48" | 48" | 48" | 48" | 
       | 42" | 36" | N/A | N/A | 
       | 36" | 27" | N/A | N/A | 
       | For SI: 1 inch = 25.4 mm aInterpolation is permitted. | 
  
    R602.10.2.3 Adhesive attachment of sheathing in Seismic Design  Category C. Adhesive attachment of wall sheathing shall not be permitted in  Seismic Design Category C.
    R602.10.3 Continuous sheathing methods. Braced wall lines with  continuous sheathing constructed in accordance with this section shall be  permitted.
    R602.10.3.1 Continuous sheathing braced wall panels.  Continuous sheathing methods require structural panel sheathing to be used on  all sheathable surfaces of a braced wall line including areas above and below  openings and gable end walls. Braced wall panels shall be constructed in  accordance with one of the methods listed in Table R602.10.3.1.
           | Table R602.10.3.1Continuous Sheathing Methods
 | 
       | Method | Material | Minimum Thickness | Figure | Connection Criteria | 
       | CS-WSP | Wood structural panel | 3/8" | 
 | 6d common (2" x 0.113") nails at 6" spacing    (panel edges) and at 12" spacing (intermediate supports) or 16 ga. x    1-3/4" staples: at 3" spacing (panel edges) and 6" spacing    (intermediate supports) | 
       | CS-Ga | Wood structural panel supporting roof load only adjacent    garage openings | 3/8" | 
 | See Method CS-WSP | 
       | CS-PFb | Continuous portal frame | See Figure R602.10.3.1 | 
 | See Figure R602.10.3.1 | 
       | For SI: 1 inch = 25.4 mm aApplies to one wall of a garage only. bThe number of continuous portal frame panels in    a braced wall line shall not exceed four. Continuous portal frame panels    shall not be stacked vertically in multi-story buildings. | 
  
    
    R602.10.3.2 Length of braced wall panels with continuous  sheathing. Braced wall panels along a braced wall line with continuous  sheathing shall be full-height with a length based on the adjacent clear  opening height in accordance with Table R602.10.3.2. Where a panel has an  opening on either side of differing heights, the taller opening shall govern  when determining the panel length from Table R602.10.3.2. Only those  full-height braced wall panels complying with the length requirements of Table  R602.10.3.2 shall be permitted to contribute towards the minimum required  percentage of bracing per Table R602.10.1.5. For Method CS‑PF, wall  height shall be measured from the top of the header to the bottom of the bottom  plate as shown in Figure R602.10.4.3.1.
           | Table R602.10.3.2Length Requirements for Braced Wall Panels In a Braced Wall Line with    Continuous Sheathinga
 | 
       | Method | Adjacent Clear Opening Height | Wall Height | 
       | 8' | 9' | 10' | 11' | 12' | 
       | CS-WSP | 64" | 24" | 27" | 30" | 33" | 36" | 
       | 68" | 26" | 27" | 30" | 33" | 36" | 
       | 72" | 28" | 27" | 30" | 33" | 36" | 
       | 76" | 29" | 30" | 30" | 33" | 36" | 
       | 80" | 31" | 33" | 30" | 33" | 36" | 
       | 84" | 35" | 36" | 33" | 36" | 36" | 
       | 88" | 39" | 39" | 36" | 38" | 36" | 
       | 92" | 44" | 42" | 39" | 41" | 36" | 
       | 96" | 48" | 45" | 42" | 43" | 39" | 
       | 100" |   | 48" | 45" | 47" | 42" | 
       | 104" |   | 51" | 48" | 48" | 44" | 
       | 108" |   | 54" | 51" | 51" | 47" | 
       | 112" |   |   | 54" | 53" | 50" | 
       | 116" |   |   | 57" | 56" | 53" | 
       | 120" |   |   | 60" | 58" | 55" | 
       | 124" |   |   |   | 61" | 58" | 
       | 128" |   |   |   | 63" | 61" | 
       | 132" |   |   |   | 66" | 64" | 
       | 136" |   |   |   |   | 66" | 
       | 140" |   |   |   |   | 69" | 
       | 144" |   |   |   |   | 72" | 
       | CS-G | ≤120" |   |   |   |   | 36" | 
       | CS-PF | ≤120" |   |   |   |   | 24" | 
       | For SI: 1 inch = 25.4 mm, 1 foot = 305 mm aInterpolation is permitted. | 
  
    R602.10.3.3 Braced wall panel location and corner construction.  Full-height wall panels complying with the length requirements of Table  R602.10.3.2 shall be located at each end of a braced wall line with continuous  sheathing and at least every 25 feet (7620 mm) on center.
    A minimum 24 inch (610 mm) wood structural panel corner return  shall be provided at both ends of a braced wall line with continuous sheathing  in accordance with Figures R602.10.3.3(1) and R602.10.3.3(2). In lieu of the  corner return, a hold-down device with a minimum uplift design value of 800 lb  (3560 N) shall be fastened to the corner stud and to the foundation or framing  below in accordance with Figure R602.10.3.3(3).
    Exception: The first braced wall panel shall be permitted to  begin 12.5 feet (3810 mm) from each end of the braced wall line provided one of  the following is satisfied:
    1. A minimum 24 inch (610 mm) long, full-height wood  structural panel is provided at both sides of a corner constructed in  accordance with Figures R602.10.3.3(1) and R602.10.3.3(4); or
    2. The braced wall panel closest to the corner shall have a  hold-down device with a minimum uplift design value of 800 lb (3560 N) fastened  to the stud at the edge of the braced wall panel closest to the corner and to  the foundation or framing below in accordance with Figure R602.10.3.3(5).
    
    
    
    
    
    R602.10.4 Braced wall panel finish material. Braced wall  panels shall have 1/2-inch thick gypsum board installed on the side of the wall  opposite the bracing material and fastened in accordance with Table R702.3.5.
    Exceptions:
    1. Braced wall panels that are constructed in accordance with  Methods GB, ABW, IPF and CS‑PF.
    2. When an approved interior finish material with an in-plane  shear resistance equivalent to gypsum board is installed.
    3. For Methods DWB, WSP, SFB, PBS, PCP, and HPS, interior  gypsum board may be partially or entirely omitted provided the minimum required  percentage of bracing in Table R602.10.1.5 is multiplied by an adjustment  factor of 1.5.
    R602.10.5 Braced wall panel connections. Braced wall panels  shall be connected to floor/ceiling framing or foundations as follows:
    1. Where framing is perpendicular to a braced wall panel above  or below, a rim joist or blocking shall be provided along the entire length of  the braced wall panel in accordance with Figure R602.10.5(1). Fastening of wall  plates to framing, rim joist or blocking shall be in accordance with Table  R602.3(1).
    2. Where framing is parallel to a braced wall panel above or  below, a rim joist, end joist or other parallel framing member shall be  provided directly above and below the panel in accordance with Figure  R602.10.5(2). Where a parallel framing member cannot be located directly above  and below the panel, full-depth blocking at 16 inch (406 mm) spacing shall be provided  between the parallel framing members to each side of the braced wall panel in  accordance with Figure R602.10.5(2). Fastening of blocking and wall plates  shall be in accordance with Table R602.3(1).
    3. Connections of braced wall panels to concrete or masonry  shall be in accordance with Section R403.1.6.
    
    
    R602.10.6 Braced wall panel support. Braced wall panels shall  be supported as follows:
    1. Braced wall panels shall be permitted to be supported on  cantilevered floor joists meeting the cantilever limits of Section R502.3.3  provided joists are blocked at the nearest bearing wall location.
    2. Elevated post or pier foundations supporting braced wall  panels shall be designed in accordance with accepted engineering practice.
    3. Masonry stem walls supporting braced wall panels with a length  of 48 inches (1220 mm) or less shall be reinforced in accordance with Figure  R602.10.6. Masonry stem walls supporting braced wall panels with a length  greater than 48 inches (1220 mm) shall be constructed in accordance with  Section R403.1. Braced wall panels constructed in accordance with Methods ABW  and IPF shall not be permitted to attach to masonry stem walls.
    
         
          R602.10.7 Panel joints. All vertical joints of braced wall  panel sheathing shall occur over and be fastened to common studs. Horizontal  joints in braced wall panels shall occur over and be fastened to common  blocking of a minimum 1-1/2 inch (38 mm) thickness. Panel joints for Method IPF  shall be constructed in accordance with Figure R602.10.2.1(2). Panel joints for  Method CS-PF shall be constructed in accordance with Figure R602.10.3.1.
    Exception: Blocking at horizontal joints shall not be required  in braced wall panels constructed using Methods WSP, SFB, GB, PBS or HPS where  the percentage of bracing required by Table R602.10.1.5 is multiplied by an  adjustment factor of 2.0.
    R602.10.8 Cripple wall bracing. Cripple walls shall be braced  with a percentage and type of bracing as required for the wall above in  accordance with Table R602.10.1.5 with the following modifications for cripple  wall bracing:
    1. The bracing percentage as determined from Table R602.10.1.5  shall be multiplied by an adjustment factor of 1.15, and
    2. The wall panel spacing shall be decreased from 25 feet  (7620 mm) to 18 feet (5486 mm).
    Cripple walls shall be permitted to be redesignated as the  first story walls for purposes of determining wall bracing requirements. If the  cripple walls are redesignated, the stories above the redesignated story shall  be counted as the second and third stories respectively.
    37. 28. Change Section R613.2 R612.2  to read:
    R613.2 R612.2 Window sills. In dwelling units,  where the opening of an operable window is located more than 72 inches (1829  mm) above the finished grade or surface below, the lowest part of the clear  opening of the window shall be a minimum of 18 inches (457 mm) above the  finished floor of the room in which the window is located. Glazing between  the floor and 18 inches (457 mm) shall be fixed or have openings through which  Operable sections of windows shall not permit openings that allow passage of  a 4-inch-diameter (102 mm) sphere cannot pass where such openings are  located within 18 inches (457 mm) of the finished floor.
    Exceptions:
    1. Windows whose openings will not allow a 4-inch-diameter  (102 mm) sphere to pass through the opening when the opening is in its largest  opened position.
    2. Openings that are provided with window fall prevention  devices that comply with Section R612.3.
    2. 3. Openings that are provided with window  guards fall protection devices that comply with ASTM F 2006 or  F 2090.
    4. Windows that are provided with opening limiting devices  that comply with Section R612.4.
    38. Change Section R806.4 and add Table R806.4 to read:
    R806.4 Unvented attic assemblies. Unvented attic assemblies  (spaces between the ceiling joists of the top story and the roof rafters) shall  be permitted if all the following conditions are met:
    1. The unvented attic space is completely contained within  the building thermal envelope.
    2. No interior vapor retarders are installed on the ceiling  side (attic floor) of the unvented attic assembly.
    3. Where wood shingles or shakes are used, a minimum 1/4  inch (6 mm) vented air space separates the shingles or shakes and the roofing  underlayment above the structural sheathing.
    4. In climate zones 5, 6, 7 and 8, any air-impermeable  insulation shall be a vapor retarder, or shall have a vapor retarder coating or  covering in direct contact with the underside of the insulation.
    5. Either Items a, b or c shall be met, depending on the  air permeability of the insulation directly under the structural roof  sheathing.
    a. Air-impermeable insulation only. Insulation shall be  applied in direct contact to the underside of the structural roof sheathing.
    b. Air-permeable insulation only. In addition to the  air-permeable installed directly below the structural sheathing, rigid board or  sheet insulation shall be installed directly above the structural roof  sheathing as specified in Table R806.4 for condensation control.
    c. Air-impermeable and air-permeable insulation. The  air-impermeable insulation shall be applied in direct contact to the underside  of the structural roof sheathing as specified in Table R806.4 for condensation  control. The air-permeable insulation shall be installed directly under the  air-impermeable insulation.
           | Table R806.4Insulation for Condensation Control
 | 
       | Climate Zone
 | Minimum Rigid Board or Air-impermeable Insulation R-valuea
 | 
       | 2B and 3B tile roof only
 | 0 (none required)
 | 
       | 1, 2A, 2B, 3A, 3B, 3C
 | R-5
 | 
       | 4C
 | R-10
 | 
       | 4A, 4B
 | R-15
 | 
       | 5
 | R-20
 | 
       | 6
 | R-25
 | 
       | 7
 | R-30
 | 
       | 8
 | R-35
 | 
       | aContributes to but does not supersede Chapter    11 energy requirements.
 | 
  
    39. 29. Change  Section M1502.6 M1502.4.4.1 to read:
    M1502.6 M1502.4.4.1 Duct Specified  length. The maximum length of a clothes dryer the exhaust duct  shall not exceed be 35 feet (10 668 mm) from the dryer  location to the wall or roof termination connection to the transition  duct from the dryer to the outlet terminal. The maximum length of the  duct shall be reduced 2.5 feet (762 mm) for each 45-degree (0.8 rad) bend and  five feet (1524 mm) for each 90-degree (1.6 rad) bend. The Where  fittings are used the maximum length of the exhaust duct does not  include the transition duct shall be reduced in accordance with Table  M1502.4.4.1.
    Exceptions:
    1. Where the make and model of the clothes dryer to be  installed is known and the manufacturer's installation instructions for the  dryer are provided to the building official, the maximum length of the exhaust  duct, including any transition duct, shall be permitted to be in accordance  with the dryer manufacturer's installation instructions.
    2. Where large-radius 45-degree (0.8 rad) and 90-degree  (1.6 rad) bends are installed, determination of the equivalent length of  clothes dryer exhaust duct for each bend by engineering calculation in  accordance with the ASHRAE Fundamentals Handbook shall be permitted.
    40. Change Section M1701.1 to read as follows and delete  the remainder of Chapter 17:
    M1701.1 Scope. Solid-fuel-burning appliances shall be  provided with combustion air, in accordance with the appliance manufacturer's  installation instructions. Oil-fired appliances shall be provided with  combustion air in accordance with NFPA 31. The methods of providing combustion  air in this chapter do not apply to fireplaces, fireplace stoves and  direct-vent appliances. The requirements for combustion and dilution air for  gas-fired appliances shall be in accordance with Chapter 24.
    41. 30. Add Section M1801.1.1 to read:
    M1801.1.1 Equipment changes. Upon the replacement or new  installation of any fuel-burning appliances or equipment in existing buildings,  an inspection or inspections shall be conducted to ensure that the connected  vent or chimney systems comply with the following:
    1. Vent or chimney systems are sized in accordance with this  code.
    2. Vent or chimney systems are clean, free of any obstruction  or blockages, defects or deterioration and are in operable condition.
    Where not inspected by the local building department, persons  performing such changes or installations shall certify to the building official  that the requirements of Items 1 and 2 of this section are met.
    42. Change Section G2411.1 to read:
    G2411.1 Gas pipe bonding. Each above-ground portion of a  gas piping system that is likely to become energized shall be electrically  continuous and bonded to an effective ground-fault current path. Gas piping  shall be considered to be bonded where it is connected to appliances that are  connected to the equipment grounding conductor of the circuit supplying that  appliance.
    CSST gas piping systems shall be bonded to the electrical  service grounding electrode system at the point where the gas service piping  enters the building. The bonding conductor size shall be not less than #6 AWG  copper wire or equivalent.
    43. Add Section G2415.17 to read:
    404.17 Isolation. Metallic piping and metallic tubing that  conveys fuel gas from an LP-gas storage container shall be provided with an  approved dielectric fitting to electrically isolate the underground portion of  the pipe or tube from the above ground portion that enters a building. Such  dielectric fitting shall be installed above ground, outdoors.
    31. Add Section G2425.1.1 to read:
    G2425.1.1 Equipment changes. Upon the replacement or new  installation of any fuel-burning appliances or equipment in existing buildings,  an inspection or inspections shall be conducted to ensure that the connected  vent or chimney systems comply with the following:
    1. Vent or chimney systems are sized in accordance with  this code.
    2. Vent or chimney systems are clean, free of any  obstruction or blockages, defects, or deterioration and are in operable  condition.
    Where not inspected by the local building department,  persons performing such changes or installations shall certify to the building  official that the requirements of Items 1 and 2 of this section are met.
    44. 32. Change Section P2602.1 to read:
    P2602.1 General. The water and drainage system of any building  or premises where plumbing fixtures are installed shall be connected to a  public or private water supply and a public or private sewer system. As  provided for in Section 103.11 of Part I of the Virginia Uniform Statewide  Building Code (13VAC5-63) for functional design, water supply sources and sewage  disposal systems are regulated and approved by the Virginia Department of  Health and the Virginia Department of Environmental Quality.
    Note: See also the Memorandums of Agreement in the  "Related Laws Package," which is available from the Virginia Department  of Housing and Community Development.
    45. 33. Change Section P2903.5 to read:
    P2903.5 Water hammer. The flow velocity of the water  distribution system shall be controlled to reduce the possibility of water  hammer. A water-hammer arrestor shall be installed where quick-closing valves  are utilized, unless otherwise approved. Water hammer arrestors shall be  installed in accordance with manufacturer's specifications. Water hammer  arrestors shall conform to ASSE 1010.
    46. 34. Add Section P3002.2.1 to read:
    P3002.2.1 Tracer wire. Nonmetallic sanitary sewer piping that  discharges to public systems shall be locatable. An insulated copper tracer  wire, 18 AWG minimum in size and suitable for direct burial or an equivalent  product, shall be utilized. The wire shall be installed in the same trench as  the sewer within 12 inches (305 mm) of the pipe and shall be installed from  within five feet of the building wall to the point where the building sewer  intersects with the public system. At a minimum, one end of the wire shall  terminate above grade in an accessible location that is resistant to physical  damage, such as with a cleanout or at the building wall.
    47. Replace Section P3007, Sumps and Ejectors, with the  following:
    Section P3007.
    Sumps and Ejectors.
    P3007.1 Building subdrains. Building subdrains that cannot  be discharged to the sewer by gravity flow shall be discharged into a tightly  covered and vented sump from which the liquid shall be lifted and discharged  into the building gravity drainage system by automatic pumping equipment or  other approved method. In other than existing structures, the sump shall not  receive drainage from any piping within the building capable of being  discharged by gravity to the building sewer.
    P3007.2 Valves required. A check valve and a full open  valve located on the discharge side of the check valve shall be installed in  the pump or ejector discharge piping between the pump or ejector and the  gravity drainage system. Access shall be provided to such valves. Such valves  shall be located above the sump cover required by Section P3007.3.2 or, where  the discharge pipe from the ejector is below grade, the valves shall be  accessibly located outside the sump below grade in an access pit with a  removable access cover.
    P3007.3 Sump design. The sump pump, pit and discharge  piping shall conform to the requirements of Sections P3007.3.1 through  P3007.3.5.
    P3007.3.1 Sump pump. The sump pump capacity and head shall  be appropriate to anticipated use requirements.
    P3007.3.2 Sump pit. The sump pit shall be not less than 18  inches (457 mm) in diameter and 24 inches (610 mm) deep, unless otherwise  approved. The pit shall be accessible and located such that all drainage flows  into the pit by gravity. The sump pit shall be constructed of tile, concrete,  steel, plastic or other approved materials. The pit bottom shall be solid and  provide permanent support for the pump. The sump pit shall be fitted with a  gastight removable cover adequate to support anticipated loads in the area of  use. The sump pit shall be vented in accordance with Chapter 31.
    P3007.3.3 Discharge piping. Discharge piping shall meet the  requirements of Section P3007.2.
    P3007.3.4 Maximum effluent level. The effluent level  control shall be adjusted and maintained to at all times prevent the effluent  in the sump from rising to within 2 inches (51 mm) of the invert of the gravity  drain inlet into the sump.
    P3007.3.5 Ejector connection to the drainage system. Pumps  connected to the drainage system shall connect to the building sewer or shall  connect to a wye fitting in the building drain a minimum of 10 feet (3048 mm)  from the base of any soil stack, waste stack or fixture drain. Where the  discharge line connects into horizontal drainage piping, the connection shall  be made through a wye fitting into the top of the drainage piping.
    P3007.4 Sewage pumps and sewage ejectors. A sewage pump or  sewage ejector shall automatically discharge the contents of the sump to the  building drainage system.
    P3007.5 Macerating toilet systems. Macerating toilet systems  shall comply with CSA B45.9 or ASME A112.3.4 and shall be installed in  accordance with the manufacturer's installation instructions.
    P3007.6 Capacity. A sewage pump or sewage ejector shall  have the capacity and head for the application requirements. Pumps or ejectors  that receive the discharge of water closets shall be capable of handling  spherical solids with a diameter of up to and including 2 inches (51 mm). Other  pumps or ejectors shall be capable of handling spherical solids with a diameter  of up to and including one inch (25.4 mm). The minimum capacity of a pump or  ejector based on the diameter of the discharge pipe shall be in accordance with  Table 3007.6.
    Exceptions:
    1. Grinder pumps or grinder ejectors that receive the  discharge of water closets shall have a minimum discharge opening of 1.25  inches (32 mm).
    2. Macerating toilet assemblies that serve single water  closets shall have a minimum discharge opening of 0.75 inch (19 mm).
           | Table P3007.6Minimum Capacity of Sewage Pump or Sewage Ejector
 | 
       | Diameter of Discharge Pipe (inches)
 | Capacity of Pump or Ejector (gpm)
 | 
       | 2
 | 21
 | 
       | 2-1/2
 | 30
 | 
       | 3
 | 46
 | 
       | For SI: 1 inch = 25.4 mm, 1 gallon per minute = 3.785 L/m
 | 
  
    48. Change the title of Chapter 32 to read:
    Chapter 32.
    Traps and Storm Drainage.
    49. Add Section P3202, Storm Drainage, to read:
    Section P3202.
    Storm Drainage.
    P3202.1 Scope. The provisions of this section shall govern  the materials, design, construction and installation of storm drainage.
    P3202.2 Subsoil drains. Subsoil drains shall be  open-jointed, horizontally split or perforated pipe conforming to one of the  standards listed in Table P3202.2. Such drains shall not be less than 4 inches  (102 mm) in diameter. Where the building is subject to backwater, the subsoil  drain shall be protected by an accessibly located backwater valve. Subsoil  drains shall not be required to have either a gas-tight cover or vent. The sump  and pumping system shall comply with Section P3202.3.
           | Table P3202.2Subsoil Drain Pipe
 | 
       | Material
 | Standard
 | 
       | Asbestos-cement pipe
 | ASTM C 508
 | 
       | Cast-iron pipe
 | ASTM A 74; ASTM A 888; CISPI 301
 | 
       | Polyethylene (PE) plastic pipe
 | ASTM F 405; CSA B182.1; CSA B182.6; CSA B182.8
 | 
       | Polyvinyl chloride (PVC)    plastic pipe (type sewer pipe, PS25, PS50 or PS100)
 | ASTM D 2729; ASTM F 891;    CSA B182.2; CSA B182.4
 | 
       | Stainless steel drainage systems, Type 316L
 | ASME A112.3.1
 | 
       | Vitrified clay pipe
 | ASTM C 4; ASTM C 700
 | 
  
    P3202.3 Pumping system. The sump pump, pit and discharge  piping shall conform to Section P3202.3.1 through P3202.3.4.
    P3202.3.1 Pump capacity and head. The sump pump shall be of  a capacity and head appropriate to anticipated use requirements.
    P3202.3.2 Sump pit. The sump pit shall not be less than 18  inches (457 mm) in diameter and 24 inches (610 mm) deep, unless otherwise  approved. The pit shall be accessible and located such that all drainage flows  into the pit by gravity. The sump pit shall be constructed of tile, steel,  plastic, cast-iron, concrete or other approved material, with a removable cover  adequate to support anticipated loads in the area of use. The pit floor shall  be solid and provide permanent support for the pump.
    P3202.3.3 Electrical. Electrical outlets shall meet the  requirements of Chapters 33 through 42.
    P3202.3.4 Piping. Discharge piping shall meet the  requirements of Sections P3002.1, P3002.2, P3002.3 and P3003. Discharge piping  shall include an accessible full flow check valve. Pipe and fittings shall be  the same size as, or larger than, pump discharge tapping.
    50. Add Section G2425.1.1 to read:
    G2425.1.1 Equipment changes. Upon the replacement or new  installation of any fuel-burning appliances or equipment in existing buildings,  an inspection or inspections shall be conducted to ensure that the connected  vent or chimney systems comply with the following:
    1. Vent or chimney systems are sized in accordance with  this code.
    2. Vent or chimney systems are clean, free of any  obstruction or blockages, defects or deterioration and are in operable  condition.
    Where not inspected by the local building department,  persons performing such changes or installations shall certify to the building  official that the requirements of Items 1 and 2 of this section are met.
    51. 35. Add Section E3501.8 E3601.8  to read:
    E3501.8 E3601.8 Energizing service equipment.  The building official shall give permission to energize the electrical service  equipment of a one- or two-family dwelling unit when all of the following  requirements have been approved:
    1. The service wiring and equipment, including the meter  socket enclosure, shall be installed and the service wiring terminated.
    2. The grounding electrode system shall be installed and  terminated.
    3. At least one receptacle outlet on a ground fault protected  circuit shall be installed and the circuit wiring terminated.
    4. Service equipment covers shall be installed.
    5. The building roof covering shall be installed.
    6. Temporary electrical service equipment shall be suitable  for wet locations unless the interior is dry and protected from the weather.
    52. Add the following referenced standards to Chapter 43:
           | Standard reference number
 | Title
 | Referenced in code section    number
 | 
       | ASTM C4-03
 | Specification for Clay    Drain Tile and Perforated Clay Drain Tile
 | P3202.3
 | 
       | ASTM C508-00
 | Specification for    Asbestos-Cement Underdrain Pipe
 | P3202.3
 | 
       | ASTM D2729-96a
 | Specification for Poly    (Vinyl Chloride) (PVC) Sewer Pipe and Fittings
 | P3202.3
 | 
       | ASTM E2178-03
 | Standard Test Method for    Air Permeance of Building Materials
 | R202
 | 
       | ASTM F405-97
 | Specification for    Corrugated Polyethylene (PE) Tubing and Fittings
 | P3202.3
 | 
       | CSA B182.1-02
 | Plastic Drain and Sewer    Pipe and Pipe Fittings
 | P3202.3
 | 
       | CSA B182.6-02
 | Profile Polyethylene Sewer    Pipe and Fittings for Leak-Proof Sewer Applications
 | P3202.3
 | 
       | CSA B182.8-02
 | Profile Polyethylene Storm    Sewer and Drainage Pipe and Fittings
 | P3202.3
 | 
  
    13VAC5-63-220. Chapter 4 Special detailed requirements based on  use and occupancy. 
    A. Add Section 407.8 407.9  to the IBC to read:
    407.8 407.9  Special locking arrangement. Means of egress doors shall be permitted to  contain locking devices restricting the means of egress in areas in which the  clinical needs of the patients require restraint of movement, where all of the  following conditions are met:
    1. The locks release upon activation of the fire alarm system  or the loss of power.
    2. The building is equipped with an approved automatic  sprinkler system in accordance with Section 903.3.1.1.
    3. A manual release device is provided at a nursing station  responsible for the area.
    4. A key-operated switch or other manual device is provided  adjacent to each door equipped with the locking device. Such switch or other  device, when operated, shall result in direct interruption of power to the lock  -- independent of the control system electronics.
    5. All staff shall have keys or other means to unlock the  switch or other device or each door provided with the locking device.
    B. Add Section 407.9 407.10 to the IBC to read:
    407.9 407.10 Emergency power systems. Emergency  power shall be provided for medical life support equipment, operating,  recovery, intensive care, emergency rooms, fire detection and alarm systems in  any Group I-2 occupancy licensed by the Virginia Department of Health as a  hospital, nursing home or hospice facility.
    C. Change Section 408.2 of the IBC to read:
    408.2 Other occupancies. Buildings or portions of buildings  in Group I-3 occupancies where security operations necessitate the locking of  required means of egress shall be permitted to be classified as a different  occupancy. Occupancies classified as other than Group I-3 shall meet the  applicable requirements of this code for that occupancy provided provisions are  made for the release of occupants at all times. Where the provisions of this  code for occupancies other than Group I-3 are more restrictive than the  provisions for Group I-3 occupancies, the Group I-3 occupancy provisions shall  be permitted to be used.
    Means of egress from detention and correctional occupancies  that traverse other use areas shall, as a minimum, conform to requirements for  detention and correctional occupancies.
    Exception: It is permissible to exit through a horizontal  exit into other contiguous occupancies that do not conform to detention and  correctional occupancy egress provisions but that do comply with requirements  set forth in the appropriate occupancy, as long as the occupancy is not a  high-hazard use.
    D. Add a new Section 408.3.4 to the IBC to read as follows  and renumber existing Sections 408.3.4, 408.3.5 and 408.3.6 to become Sections  408.3.5, 408.3.6 and 408.3.7 respectively:
    408.3.4 Ships ladders. Ships ladders in accordance with  Section 1009.12 shall be permitted from facility observation or control rooms.
    E. Change Section 408.3.6 of the IBC to read:
    408.3.6 Sallyports. A sallyport shall be permitted in a  means of egress where there are provisions for continuous and unobstructed  passage through the sallyport during an emergency egress condition. A sallyport  is a security vestible with two or more doors where the intended purpose is to  prevent continuous and unobstructed passage by allowing the release of only one  door at a time.
    F. Add Section 408.3.8 to the IBC to read:
    408.3.8 Guard tower doors. A hatch or trap door not less  than 16 square feet (.929 m2) in area through the floor and having  minimum dimensions of not less than two feet (609.6 mm) in any direction shall  be permitted to be used to access guard towers.
    G. Add Section 408.5.1 to the IBC to read:
    408.5.1 Noncombustible shaft openings in communicating  floor levels. Where vertical openings are permitted without enclosure  protection in accordance with Section 408.5, noncombustible shafts such as  plumbing chases shall also be permitted without enclosure protection. Where  additional stories are located above or below, the shaft shall be permitted to  continue with fire and smoke damper protection provided at the fire resistance  rated floor/ceiling assembly between the noncommunicating stories.
    H. Change Section 408.8 of the IBC to read:
    408.8 Windowless buildings. For the purposes of this  section, a windowless building or portion of a building is one with nonopenable  windows, windows not readily breakable or without windows. Windowless buildings  shall be provided with an engineered smoke control system to provide a tenable  environment for exiting from the smoke compartment in the area of fire origin  in accordance with Section 909 for each windowless smoke compartment.
    C. Delete Section 410.5.3 of the IBC, add new Section  410.6 to the IBC and renumber Sections 410.6 and 410.7 of the IBC to Sections  410.7 and 410.8 respectively.
    410.6 Means of egress. Except as modified or as provided  for in this section, the provisions of Chapter 10 shall apply.
    410.6.1 Arrangement. Where two or more exits or exit access  doorways are required per Section 1015.1 from the stage or area beneath the  stage, at least one exit or exit access doorway shall be provided on each side  of the stage or area beneath the stage.
    410.6.2 Stairway and ramp enclosure. Stairways and ramps  serving the stage are not required to be enclosed.
    410.6.3 Fly gallery. At least one exit or exit access shall  be provided from fly galleries and the maximum length of exit access travel  shall not exceed 300 feet (91 440 mm) for buildings without a sprinkler system  and 400 feet (121 920 mm) for buildings equipped throughout with an automatic  sprinkler system in accordance with Section 903.3.1.1. The following exit access  components are permitted when serving only the fly gallery:
    1. Unenclosed interior stairs.
    2. Spiral stairs.
    3. Stairways with a minimum width of 22 inches (559 mm).
    4. Alternating tread devices.
    5. Permanently installed ladders.
    I. D. Add Section 415.1.1 to the IBC to read:
    415.1.1 Flammable and combustible liquids. Notwithstanding the  provisions of this chapter, the storage, handling, processing, and transporting  of flammable and combustible liquids shall be in accordance with the mechanical  code and the fire code listed in Chapter 35 of this code. Regulations governing  the installation, repair, upgrade, and closure of underground and aboveground  storage tanks under the Virginia State Water Control Board regulations  9VAC25-91 and 9VAC25-580 are adopted and incorporated by reference to be an  enforceable part of this code. Where differences occur between the provisions  of this code and the incorporated provisions of the State Water Control Board  regulations, the provisions of the State Water Control Board regulations shall  apply.
    J. E. Add IBC Section 421 424  Manufactured Homes and Industrialized Buildings.
    K. F. Add Section 421.1 424.1 to  the IBC to read:
    421.1 424.1 General. The provisions of this  section shall apply to the installation or erection of manufactured homes  subject to the Virginia Manufactured Home Safety Regulations (13VAC5-95) and  industrialized buildings subject to the Virginia Industrialized Building Safety  Regulations (13VAC5-91).
    L. G. Add Section 421.2 424.2 to  the IBC to read:
    421.2 424.2 Site work for manufactured homes.  The aspects for the installation and set up of a new  manufactured home is generally subject to the requirements of covered  by this code rather than the Virginia Manufactured Home Safety Regulations  (13VAC5-95) include, but are not limited to, footings, foundations systems,  anchoring of the home, exterior, interior close-up, and additions and  alterations done during initial installation. Under those regulations,  the building official is responsible for assuring that the installation  complies Such aspects shall be subject to and shall comply with the  manufacturer's installation instructions and any special conditions or  limitations of use stipulated by the label provided by the manufacturer  of the home. To the extent that any aspect of the installation is not  provided for in the manufacturer's installation instructions, then the  installation shall comply with 24 CFR Part 3285 – Model Manufactured Home  Installation Standards. In the case where do not address any aspect  enumerated above or when the manufacturer's installation instructions for  a manufactured home are not available, such aspects shall be subject to  and comply with 24 CFR Part 3285 – Model Manufactured Home Installation  Standards shall be substituted for the manufacturer's installation  instructions. To the extent that the manufacturer’s installation  instructions and 24 CFR Part 3285 do not address any aspect enumerated above,  the installer must first attempt to obtain Design Approval Primary Inspection  Agency (DAPIA) as defined in 24 CFR Part 3285.5, approved designs and  instructions prepared by the manufacturer; or if designs and instructions are  not available from the manufacturer, obtain an alternate design prepared and  certified by an RDP that is consistent with the manufactured home design,  conforms to the requirements of the Manufactured Housing Consensus Committee  (MHCSS) as defined in 24 CFR Part 3285.5, and has been approved by the  manufacturer and the DAPIA. Foundations, stoops Stoops,  decks, porches, alterations and additions associated with and used  manufactured homes are subject to the requirements shall comply with  the provisions of this code and all administrative requirements of this  code for permits, inspections and certificates of occupancy are also  applicable. The requirements of, which shall include the option of using  the IRC shall be permitted to be used for the technical requirements for  such construction work. In addition, the installation and set up of  the home and the use of Appendix E of the IRC entitled,  "Manufactured Housing used as Dwellings," shall be an acceptable  alternative to this code for construction work associated with the installation  of manufactured homes and for additions, alterations and repairs to manufactured  homes the home. Additionally, all applicable provisions of  Chapter 1 of this code, including but not limited to requirements for permits,  inspections, certificates of occupancy and requiring compliance, are applicable  to the installation and set up of a manufactured home. Where the installation  or erection of a manufactured home utilizes components that are to be  concealed, the installer shall notify the building official that an inspection  is necessary and assure that an inspection is performed and approved prior to  concealment of such components, unless the building official has agreed to an  alternative method of verification.
    M. H. Add Section 421.3 424.3 to  the IBC to read:
    421.3 424.3 Wind load requirements for  manufactured homes. Manufactured homes shall be anchored to withstand the wind  loads established by the federal regulation for the area in which the  manufactured home is installed. For the purpose of this code, Wind Zone II of  the federal regulation shall include the cities of Chesapeake, Norfolk,  Portsmouth, and Virginia Beach.
    N. I. Add Section 421.4 424.4 to  the IBC to read:
    421.4 424.4 Skirting requirements for  manufactured homes. As used in this section, "skirting" means a  weather-resistant material used to enclose the space from the bottom of the  manufactured home to grade. Manufactured homes installed or relocated shall  have skirting installed within 60 days of occupancy of the home. Skirting  materials shall be durable, suitable for exterior exposures and installed in  accordance with the manufacturer's installation instructions. Skirting shall be  secured as necessary to ensure stability, to minimize vibrations, to minimize  susceptibility to wind damage and to compensate for possible frost heave. Each  manufactured home shall have a minimum of one opening in the skirting providing  access to any water supply or sewer drain connections under the home. Such  openings shall be a minimum of 18 inches (457 mm) in any dimension and not less  than three square feet (.28 m2) in area. The access panel or door  shall not be fastened in a manner requiring the use of a special tool to open  or remove the panel or door. On-site fabrication of the skirting by the owner  or installer of the home shall be acceptable, provided that the material meets  the requirements of this code.
    O. J. Add Section 421.5 424.5 to  the IBC to read:
    421.5 424.5 Site work for industrialized  buildings. Site work for the erection and installation of an industrialized  building is generally subject to the requirements of the Virginia  Industrialized Building Safety Regulations (13VAC5-91) and the building  official has certain enforcement responsibilities under those regulations shall  comply with the manufacturer’s installation instructions. To the extent  that any aspect of the erection or installation of an industrialized building  is not covered by those regulations the manufacturer’s installation  instructions, this code shall be applicable. In addition, all  administrative requirements of this code for permits, inspections and  certificates of occupancy are also applicable. The requirements,  including the use of the IRC shall be permitted to be used for any  construction work that is subject to this code where the industrialized  building would be classified as a Group R-5 building. In addition, all  administrative requirements of this code for permits, inspections, and  certificates of occupancy are also applicable. Further, the building official  may require the submission of plans and specifications for details of items  needed to comprise the finished building that are not included or specified in  the manufacturer’s instructions, including, but not limited to, footings,  foundations, supporting structures, proper anchorage, and the completion of the  plumbing, mechanical, and electrical systems. Where the installation or  erection of an industrialized building utilizes components that are to be  concealed, the installer shall notify the building official that an inspection  is necessary and assure that an inspection is performed and approved prior to  concealment of such components, unless the building official has agreed to an  alternative method of verification.
    P. K. Add Section 421.6 424.6 to  the IBC to read:
    421.6 424.6 Relocated industrialized buildings;  alterations and additions. Industrialized buildings constructed prior to  January 1, 1972, shall be subject to Section 117 when relocated. Alterations  and additions to any existing industrialized buildings shall be subject  to pertinent provisions of this code. Building officials shall be permitted to  require the submission of plans and specifications for the model to aid in the  evaluation of the proposed alteration or addition. Such plans and  specifications shall be permitted to be submitted in electronic or other  available format acceptable to the building official.
    13VAC5-63-230. Chapter 7 Fire-resistant-rated construction. 
    A. Add Change Section 701.2 to 703.6  of the IBC to read:
    701.2 703.6 Fire-resistance assembly marking.  Concealed fire walls, vertical fire separation assemblies, fire barriers, fire  partitions and smoke barriers shall be designated above ceilings and on the  inside of all ceiling access doors which provide access to such fire rated  assemblies by signage having letters no smaller than one inch (25.4 mm) in  height. Such signage shall indicate the fire-resistance rating of the assembly  and the type of assembly and be provided at horizontal intervals of no more  than eight feet (2438 mm).
    Note: An example of suggested formatting for the signage would  be "ONE HOUR FIRE PARTITION."
    B. Delete Sections 707.14.1 and 707.14.2 of the IBC,  including all subsections of Section 707.14.2 708.14.1 through  708.14.2.11.
    C. Add exception 4 to Section 715.4.3 of the IBC to read:
    4. Horizontal sliding doors in smoke barriers that comply  with Section 408.3 are permitted in smoke barriers in occupancies in Group I-3.
    D. Add an exception to Section 715.5.4 of the IBC to read:
    Exception: Security glazing protected on both sides by an  automatic sprinkler system shall be permitted in doors and windows in smoke  barriers in Group I-3 occupancies. Individual panels of glazing shall not  exceed 1,296 square inches (0.84 m2), shall be in a gasketed frame  and installed in such a manner that the framing system will deflect without  breaking (loading) glazing before the sprinkler system operates. The sprinkler  system shall be designed to wet completely the entire surface of the affected  glazing when actuated.
    E. C. Change Section 716.5.3 of the IBC to  read:
    716.5.3 Penetrations of shaft enclosures. Shaft enclosures  that are permitted to be penetrated by ducts and air transfer openings shall be  protected with approved fire and smoke dampers installed in accordance with  their listing.
    Exceptions:
    1. Fire and smoke dampers are not required where steel exhaust  subducts extend at least 22 inches (559 mm) vertically in exhaust shafts  provided there is a continuous airflow upward to the outside.
    2. Fire dampers are not required where penetrations are tested  in accordance with ASTM E 119 as part of the fire-resistance rated assembly.
    3. Fire and smoke dampers are not required where ducts are  used as part of an approved smoke-control system in accordance with Section  909.
    4. Fire and smoke dampers are not required where the  penetrations are in parking garage exhaust or supply shafts that are separated  from other building shafts by not less than two-hour fire-resistance-rated  construction.
    5. Smoke dampers are not required where the building is  equipped throughout with an automatic sprinkler system in accordance with  Section 903.3.1.1.
    13VAC5-63-240. Chapter 9 Fire protection systems. 
    A. Add the following definitions to Section 902 of the IBC to  read:
    Emergency communication equipment. Emergency communication  equipment, includes, but is not limited to, two-way radio  communications, signal booster, bi-directional amplifiers, radiating cable  systems or internal multiple antenna, or a combination of the foregoing.
    Emergency public safety personnel. Emergency public safety  personnel includes firefighters, emergency medical personnel, law-enforcement  officers and other emergency public safety personnel routinely called upon to  provide emergency assistance to members of the public in a wide variety of  emergency situations, including, but not limited to, fires, medical  emergencies, violent crimes and terrorist attacks.
    B. Change the following definition in Section 902 of the IBC  to read:
    Automatic fire-extinguishing system. An approved system of  devices and equipment which automatically detects a fire and discharges an  approved fire-extinguishing agent onto or in the area of a fire and shall  include among other systems an automatic sprinkler system, unless otherwise  expressly stated.
    C. Change Section 903.2.1.2 of the IBC to read:
    903.2.1.2 Group A-2. An automatic sprinkler system shall be  provided for Group A-2 occupancies where one of the following conditions  exists:
    1. The fire area exceeds 5,000 square feet (465 m2)  (464.5m2);
    2. The fire area has an occupant load of 100 or more in night  clubs or 300 or more in other Group A-2 occupancies; or
    3. The fire area is located on a floor other than the a  level of exit discharge serving such occupancies.
    D. Change Item 2 of Section 903.2.1.3 of the IBC to read:
    2. In Group A-3 occupancies other than churches, the fire area  has an occupant load of 300 or more. ; or
    E. Change Section 903.2 7 903.2.8 of the IBC to  read:
    903.2.7 Group R. An automatic sprinkler system installed in  accordance with Section 903.3 shall be provided throughout all buildings with a  Group R fire area, except in the following Group R-2 occupancies when the necessary  water pressure or volume, or both, for the system is not available:
    Exceptions:
    1. Buildings which do not exceed two stories, including  basements which are not considered as a story above grade, and with a maximum  of 16 dwelling units per fire area. Each dwelling unit shall have at least one  door opening to an exterior exit access that leads directly to the exits  required to serve that dwelling unit.
    2. Buildings where all dwelling units are not more than two  stories above the lowest level of exit discharge and not more than one story  below the highest level of exit discharge of exits serving the dwelling unit  and a two-hour fire barrier is provided between each pair of dwelling units.  Each bedroom of a dormitory or boarding house shall be considered a dwelling  unit under this exception.
    F. Add Item 6 to Section  903.3.1.1.1 of the IBC to read:
    6. Elevator machine rooms and elevator machine spaces for  occupant evacuation elevators.
    F. G. Add Section 903.3.1.2.2 to the IBC to  read:
    903.3.1.2.2 Attics. Sprinkler protection shall be provided for  attics in buildings of Type III, IV or V construction in Group R-2 occupancies  that are designed or developed and marketed to senior citizens 55 years of age  or older and in Group I-1 occupancies in accordance with Section 6.7.2 of NFPA  13R.
    G. H. Change Section 903.4.2 of the IBC to  read:
    903.4.2 Alarms. Approved audible devices shall be connected to  every automatic sprinkler system. Such sprinkler water-flow alarm devices shall  be activated by water flow equivalent to the flow of a single sprinkler of the  smallest orifice size installed in the system. Alarm devices shall be provided  on the exterior of the building in an approved location. Where a fire alarm  system is installed, actuation of the automatic sprinkler system shall actuate  the building fire alarm system. Group R-2 occupancies that contain 16 or more  dwelling units or sleeping units, any dwelling unit or sleeping unit two or  more stories above the lowest level of exit discharge, or any dwelling unit or  sleeping unit more than one story below the highest level of exit discharge of  exits serving the dwelling unit or sleeping unit shall provide a manual fire  alarm box at an approved location to activate the suppression system alarm.
    H. I. Add an exception to Section 905.2 of the  IBC to read:
    Exception: The residual pressure of 100 psi for 2-1/2 inch  hose connection and 65 psi for 1-1/2 inch hose connection is not required in  buildings equipped throughout with an automatic sprinkler system in accordance  with Section 903.3.1.1 or 903.3.1.2 and where the highest floor level is  not more than 150 feet above the lowest level of fire department vehicle  access.
    I. J. Change Item 1 of Section 906.1 of  the IBC to read:
    906.1 General. Portable fire extinguishers shall be  provided in occupancies and locations as required by the International Fire  Code.
    1. In Group A, B, E, F, H, I, M, R-1, R-4, and S  occupancies.
    Exceptions:
    1. Group R-2 occupancies In Group A, B, and E  occupancies equipped throughout with quick response sprinklers, portable fire  extinguishers shall be required only in locations specified in Items 2 through  6.
    2. In Group I-3 occupancies, portable fire extinguishers shall  be permitted to be located at staff locations and the access to such  extinguishers shall be permitted to be locked.
    J. K. Change Section 907.2.1.1 of the IBC to  read:
    907.2.1.1 System initiation in Group A occupancies with a  occupant load of 1,000 or more and in certain night clubs. Activation of the  fire alarm in Group A occupancies with an occupant load of 1,000 or more and in  night clubs with an occupant load of 300 or more shall initiate a signal using  an emergency voice and alarm communications system in accordance with NFPA  72 Section 907.5.2.2.
    Exception: Where approved, the prerecorded announcement is  allowed to be manually deactivated for a period of time, not to exceed three  minutes, for the sole purpose of allowing a live voice announcement from an  approved, constantly attended location.
    K. Change Section 907.2.9 of the IBC to read:
    907.2.9 Group R-2. A manual fire alarm system shall be  installed in Group R-2 occupancies.
    Exceptions:
    1. A fire alarm system is not required in buildings not  over two stories in height where all dwelling units or sleeping rooms and  contiguous attic and crawl spaces are separated from each other and public or  common areas by at least one-hour fire partitions and each dwelling unit or  sleeping room has an exit directly to a public way, exit court or yard.
    2. Manual fire alarm boxes are not required throughout the  building when the following conditions are met:
    2.1. The building is equipped throughout with an automatic  sprinkler system in accordance with Section 903.3.1.1 or 903.3.1.2 ; and 
    2.2. The notification appliances will activate upon  sprinkler flow.
    L. Change Add an exception to Section 907.9.2  907.5.2.1.1 of the IBC to read:
    907.9.2 Audible alarms. Audible alarm notification  appliances shall be provided and shall sound a distinctive sound that is not to  be used for any purpose other than that of a fire alarm. The audible alarm  notification appliances shall provide a sound pressure level of 15 decibels  (dBA) above the average ambient sound level or 5 dBA above the maximum sound  level having a duration of at least 60 seconds, whichever is greater, in every  occupied space within the building. The minimum sound pressure levels shall be:  70 dBA in occupancies in Groups R and I-1; 90 dBA in mechanical equipment rooms  and 60 dBAin other occupancies. The maximum sound pressure level for audible  alarm notification appliances shall be 120 dBA at the minimum hearing distance  from the audible appliance. Where the average ambient noise is greater than 105  dBA, visible alarm notification appliances shall be provided in accordance with  NFPA 72 and audible alarm notification appliances shall not be required.
    Exceptions Exception:
    1. Visible alarm notification appliances shall be allowed  in lieu of audible alarm notification appliances in critical-care areas of  Group I-2 occupancies.
    2. Sound pressure levels in Group I-3 occupancies shall  be permitted to be limited to only the notification of occupants in the  affected smoke compartment.
    M. Change Section 909.6 of the IBC to read:
    909.6 Pressurization method. When approved by the building  official, the means of controlling smoke shall be permitted by pressure  differences across smoke barriers. Maintenance of a tenable environment is not  required in the smoke-control zone of fire origin.
    N. Add Change the  title of IBC Section 913 915 to read: 
    In-Building Emergency Communications Coverage.
    O. Add Change Section 913.1 to 915.1  of the IBC to read:
    913.1 915.1 General. In-building emergency  communication equipment to allow emergency public safety personnel to send and  receive emergency communications shall be provided in new buildings and  structures in accordance with this section.
    Exceptions:
    1. Buildings of Use Groups A-5, I-4, within dwelling units of  R-2, R-3, R-4, R-5, and U.
    2. Buildings of Type IV and V construction without basements.
    3. Above grade single story buildings of less than 20,000  square feet.
    4. Buildings or leased spaces occupied by federal, state, or  local governments, or the contractors thereof, with security requirements where  the building official has approved an alternative method to provide emergency  communication equipment for emergency public safety personnel.
    5. Where the owner provides technological documentation from a  qualified individual that the structure or portion thereof does not impede  emergency communication signals.
    P. Add Sections 913.2, 913.2.1, 913.2.2 and 913.2.3 915.2,  915.2.1, 915.2.2, and 915.2.3 to the IBC to read:
    913.2 915.2 Where required. For localities  utilizing public safety wireless communications, new buildings and structures  shall be equipped throughout with dedicated infrastructure to accommodate and  perpetuate continuous emergency communication.
    912.2.1 915.2.1 Installation. Radiating cable  systems, such as coaxial cable or equivalent, shall be installed in dedicated  conduits, raceways, plenums, attics, or roofs, compatible for these specific  installations as well as other applicable provisions of this code.
    913.2.2 915.2.2 Operations. The locality will  assume all responsibilities for the installation and maintenance of additional  emergency communication equipment. To allow the locality access to and the  ability to operate such equipment, sufficient space within the building shall  be provided.
    913.2.3 915.2.3 Inspection. In accordance with  Section 113.3, all installations shall be inspected prior to concealment.
    Q. Add Section 913.3 915.3  to the IBC to read:
    913.3 915.3 Acceptance test. Upon completion of  installation, after providing reasonable notice to the owner or their  representative, emergency public safety personnel shall have the right during  normal business hours, or other mutually agreed upon time, to enter onto the  property to conduct field tests to verify that the required level of radio  coverage is present at no cost to the owner. Any noted deficiencies shall be  provided in an inspection report to the owner or the owner's representative.
    13VAC5-63-245. Chapter 10 Means of egress. 
    A. Change Section 1004.3 of the IBC to read:
    1004.3 Posting of occupant load. Every room or space that is  an assembly occupancy and where the occupant load of that room or space is 50  or more shall have the occupant load of the room or space posted in a  conspicuous place, near the main exit or exit access doorway from the room or  space. Posted signs shall be of an approved legible permanent design and shall  be maintained by the owner or authorized agent.
    B. Change Exception 3 of Section 1007.3 of the IBC to  read:
    3. The clear width of 48 inches (1219 mm) between handrails  and the area of refuge is not required at exit stairways in buildings or  facilities equipped throughout with an automatic sprinkler system installed in  accordance with Section 903.3.1.1 or 903.3.1.2.
    C. Change Section 1007.4 of the IBC to read:
    1007.4 Elevators. In order to be considered part of an  accessible means of egress, an elevator shall comply with the emergency operation  and signaling device requirements of Section 2.27 of ASME A17.1. Standby power  shall be provided in accordance with Sections 2702 and 3003. The elevator shall  be accessed from either an area of refuge complying with Section 1007.6 or a  horizontal exit.
    Exceptions:
    1. Elevators are not required to be accessed from an area  of refuge or horizontal exit in open parking garages.
    2. Elevators are not required to be accessed from an area  of refuge or horizontal exit in buildings and facilities equipped throughout  with an automatic sprinkler system installed in accordance with Section  903.3.1.1 or 903.3.1.2.
    D. B. Change Section 1007.6.2 of the IBC to  read:
    1007.6.2 Separation. Each area of refuge shall be separated  from the remainder of the story by a smoke barrier complying with Section 709  or a horizontal exit complying with Section 1021. Each area of refuge shall be  designed to minimize the intrusion of smoke.
    Exceptions:
    1. Areas of refuge located within a vertical exit enclosure.
    2. Areas of refuge where the area of refuge and areas served  by the area of refuge are equipped throughout with an automatic sprinkler  system installed in accordance with Section 903.3.1.1 or 903.3.1.2.
    E. C. Change Item 2 of Section 1008.1.8.3  1008.1.9.3 of the IBC to read:
    2. In buildings in occupancy Groups B, F, M and S, the main  exterior door or doors are permitted to be equipped with key-operated locking  devices from the egress side provided:
    2.1. The locking device is readily distinguishable as locked.
    2.2. A readily visible durable sign is posted on the egress  side on or adjacent to the door stating: THIS DOOR TO REMAIN UNLOCKED WHEN  BUILDING IS OCCUPIED. The sign shall be in letters one inch (25 mm) high on a  contrasting background.
    2.3. The use of the key-operated locking device is revokable  by the building official for due cause.
    D. Delete Section 1008.1.9.6 of the IBC.
    F. E. Change Section 1008.1.8.6 1008.1.9.7  of the IBC to read:
    1008.1.8.6 1008.1.9.7 Delayed egress locks.  Approved, listed, delayed egress locks shall be permitted to be installed on  doors serving any occupancy including Group A-3, airport facilities, except  Group A, E and H occupancies in buildings which are equipped throughout with an  automatic sprinkler system in accordance with Section 903.3.1.1 or an approved  automatic smoke or heat detection system installed in accordance with Section  907, provided that the doors unlock in accordance with Items 1 through 6 below.  A building occupant shall not be required to pass through more than one door  equipped with a delayed egress lock before entering an exit.
    1. The doors unlock upon actuation of the automatic sprinkler  system or automatic fire detection system.
    2. The doors unlock upon loss of power controlling the lock or  lock mechanism.
    3. The door locks shall have the capability of being unlocked  by a signal from the fire command center.
    4. The initiation of an irreversible process which will  release the latch in not more than 15 seconds when a force of not more than 15  pounds (67 N) is applied for 1 second to the release device. Initiation of the  irreversible process shall activate an audible signal in the vicinity of the  door. Once the door lock has been released by the application of force to the  releasing device, relocking shall be by manual means only.
    Exception: Where approved, a delay of not more than 30 seconds  is permitted.
    5. A sign shall be provided on the door located above and  within 12 inches (305 mm) of the release device reading: PUSH UNTIL ALARM  SOUNDS. DOOR CAN BE OPENED IN 15 SECONDS.
    Exception: Where approved, such sign shall read: PUSH UNTIL  ALARM SOUNDS. DOOR CAN BE OPENED IN 30 SECONDS.
    6. Emergency lighting shall be provided at the door.
    G. Add Section 1008.1.8.8 to the IBC to read:
    1008.1.8.8 Locking arrangements in correctional facilities.  In occupancies in Groups A-3, A-4, B, E, F, I, M and S within penal facilities,  doors in means of egress serving rooms or spaces occupied by persons whose  movements must be controlled for security reasons shall be permitted to be  locked if equipped with egress control devices which shall unlock manually and  by at least one of the following means:
    1. Actuation of an automatic fire suppression system  required by Section 903.2.
    2. Actuation of a key-operated manual alarm station  required by Section 907.2.
    3. A signal from a central control station.
    F. Delete the exception in Section 1008.1.10 of the IBC.
    H. G. Add Section 1008.1.10 1008.1.11  to the IBC to read:
    1008.1.10 1008.1.11 Locking certain residential  sliding doors. In dwelling units of Group R-2 buildings, exterior sliding doors  which are one story or less above grade, or shared by two dwelling units, or  are otherwise accessible from the outside, shall be equipped with locks. The  mounting screws for the lock case shall be inaccessible from the outside. The  lock bolt shall engage the strike in a manner that will prevent it from being  disengaged by movement of the door.
    Exception: Exterior sliding doors which are equipped with  removable metal pins or charlie bars.
    I. H. Add Section 1008.1.11 1008.1.12  to the IBC to read:
    1008.1.11 1008.1.12 Door viewers in certain  residential buildings. Entrance doors to dwelling units of Group R-2 buildings  shall be equipped with door viewers with a field of vision of not less than 180  degrees.
    Exception: Entrance doors having a vision panel or side vision  panels.
    J. I. Change Exception 4 5 of  Section 1009.3 of the IBC to read:
    4. 5. In Group R-3 occupancies; within dwelling  units in Group R-2 occupancies; and in Group U occupancies that are accessory  to a Group R-3 occupancy or accessory to individual dwelling units in Group R-2  occupancies; the maximum riser height shall be 8.25 inches (210 mm) ; the  minimum tread depth shall be 9 inches (229 mm); the minimum winder tread depth  at the walk line shall be 10 inches (254 mm); and the minimum winder tread  depth shall be 6 inches (152 mm). A nosing not less than 0.75 inch (19.1 mm)  but not more than 1.25 inches (32 mm) shall be provided on stairways with solid  risers where the tread depth is less than 11 inches (279 mm).
    K. Add exception 6 to Section 1009.3 of the IBC to read:
    6. Stairways in penal facilities serving guard towers,  observation stations and control rooms not more than 250 square feet (23 m2)  in area shall be permitted to have risers not exceeding 8 inches (203 mm) in  height and treads not less than 9 inches (229 mm) in depth.
    L. Change Exception 2 of Section 1009.3.3 of the IBC to  read:
    2. Solid risers are not required for occupancies in Group  I-3. There are no restrictions on size of the opening in the riser.
    M. Add Section 1009.12 to the IBC to read:
    1009.12 Ships ladders. Ships ladders are permitted as an  element of a means of egress to and from facility observation or control rooms  not more than 250 square feet (23 m2) in area that serves not more  than three occupants and for access to unoccupied roofs.
    Ships ladders shall have a maximum projected tread of five  inches (127 mm), a minimum tread depth of 8.5 inches (216 mm), a minimum tread  width of 15 inches (612 mm) and a maximum riser height of 9.5 inches (241 mm).
    Handrails shall be provided on both sides of ships ladders.
    N. Change Exception 4 of Section 1011.1 of the IBC to  read:
    4. Exit signs are not required in dayrooms, sleeping rooms  or dormitory spaces in occupancies in Group I-3.
    O. J. Add Exception 5 3 to Item 2  4 of Section 1014.2 of the IBC to read:
    5. 3. A maximum of one exit access is permitted  to pass through kitchens, store rooms, closets or spaces used for similar  purposes provided such a space is not the only means of exit access.
    P. K. Change  Table 1015.1 of the IBC to read:
           | Table 1015.1Spaces With One
 Means of EgressExit or Exit Access Doorway | 
       | Occupancy | Maximum Occupant Load | 
       | A, B, Ea, F, M, U | 50 | 
       | H-1, H-2, H-3 | 3 | 
       | H-4, H-5, I-1, I-3, I-4, R | 10 | 
       | S | 29 | 
       | aa. Day care maximum occupant load is 10.
 | 
  
    Q. L. Change exception Exception  2 of Section 1015.2.1 of the IBC to read:
    2. Where a building is equipped throughout with an automatic  sprinkler system in accordance with Section 903.3.1.1 or 903.3.1.2, the  separation distance of the exit doors or exit access doorways shall not be less  than one-fourth of the length of the maximum overall diagonal dimension of the  area served.
    M. Delete Sections 1015.6 and 1015.6.1 of the IBC.
    R. N. Change Table 1017.1 1018.1  of the IBC to read:
           | Table 1017.1.1018.1Corridor Fire-Resistance Rating
 . | 
       | Occupancy | Occupant Load Served By Corridor | Required Fire-Resistance Rating (hours) | 
       | Without sprinkler system | With sprinkler systemb | 
       | H-1, H-2, H-3 | All | 1 | 1 | 
       | H-4, H-5 | Greater than 30 | 1 | 1 | 
       | A, B, E, F, M, S, U | Greater than 30 | 1 | 0 | 
       | R | Greater than 10 | 1 | 0.5 | 
       | I-2a, I-4 | All | Not Permitted | 0 | 
       | I-1, I-3 | All | Not Permitted | 0 | 
       | aa. For requirements for occupancies in Group    I-2, seeSectionSections 407.2 and 407.3.
 bb. Buildings equipped throughout with an    automatic sprinkler system in accordance with Sections 903.3.1.1 or 903.3.1.2    where allowed.
 | 
  
    O. Change Table 1021.2 to read:
           | Table 1021.2 Stories With One Exit | 
       | Story | Occupancy | Maximum Occupants (or Dwelling Units) Per Floor and    Travel Distance | 
       | First story or basement | A, Bd, Ee, Fd, M, U, Sd | 50 occupants and 75 feet travel distance | 
       | H-2, H-3 | 3 occupants and 25 feet travel distance | 
       | H-4, H-5, I, R | 10 occupants and 75 feet travel distance | 
       | Sa | 29 occupants and 100 feet travel distance | 
       | Second story | Bb, F, M, Sa | 29 occupants and 75 feet travel distance | 
       | R-2 | 4 dwelling units and 50 feet travel distance | 
       | Third story | R-2c | 4 dwelling units and 50 feet travel distance | 
       | For SI: 1 foot = 304.8 mm a. For the required number of exits for parking    structures, see Section 1021.1.2. b. For the required number of exits for air traffic    control towers, see Section 412.3. c. Buildings classified as Group R-2 equipped throughout    with an automatic sprinkler system in accordance with Section 903.3.1.1 or    903.3.1.2 and provided with emergency escape and rescue openings in    accordance with Section 1029. d. Group B, F and S occupancies in buildings equipped    throughout with an automatic sprinkler system in accordance with Section    903.3.1.1 shall have a maximum travel distance of 100 feet. e. Day care occupancies shall have a maximum occupant    load of 10. | 
  
    13VAC5-63-250. Chapter 11 Accessibility. 
    A. Add an exception to Section 1101.2 of the IBC to read:
    Exception: Wall-mounted visible alarm notification appliances  in Group I-3 occupancies shall be permitted to be a maximum of 120 inches (3048  mm) above the floor or ground, measured to the bottom of the appliance. Such  appliances shall otherwise comply with all applicable requirements.
    B. Change Section 1103.2.7 of the IBC to read: 
    1103.2.7 Raised areas. Raised areas used primarily for  purposes of security, life safety or fire safety including, but not limited to,  observation galleries, prison guard towers, fire towers or lifeguard stands,  and raised areas used primarily for religious ceremonies in a place of  religious worship are not required to be accessible or to be served by an  accessible route. 
    B. C. Add Section 1106.8 to the IBC to read:
    1106.8 Identification of accessible parking spaces. In  addition to complying with applicable provisions of this chapter, all accessible  parking spaces shall be identified by above grade signs. A sign or symbol  painted or otherwise displayed on the pavement of a parking space shall not  constitute an above grade sign. All above grade parking space signs shall have  the bottom edge of the sign no lower than four feet (1219 mm) nor higher than  seven feet (2133 mm) above the parking surface. All disabled parking signs  shall include the following language: PENALTY, $100-500 Fine, TOW-AWAY ZONE.  Such language may be placed on a separate sign and attached below existing  above grade disabled parking signs, provided that the bottom edge of the  attached sign is no lower than four feet above the parking surface.
    C. D. Change Item 1 of Section 1110.1 of the  IBC to read:
    1. Accessible parking spaces required by Section 1106.1.
     13VAC5-63-267. Chapter 14 Exterior walls.
    Change Section 1405.12.2 1405.13.2 of the IBC  to read:
    1405.12.2 1405.13.2 Window sills. In Occupancy  Groups R-2 and R-3, one- and two-family and multiple-family dwellings, where  the opening of the sill portion of an operable window is located more than 72  inches (1829 mm) above the finished grade or other surface below, the lowest  part of the clear opening of the window shall be a minimum of at a  height of less than 18 inches (457 mm) above the finished floor surface of  the room in which the window is located. Glazing between the floor and a height  of 18 inches (457 mm) shall be fixed or have openings such that through  which a 4-inch (102 mm) diameter sphere cannot pass through.
    Exception: Openings that are provided with window guards that  comply with ASTM F2006 or F2090. 
    13VAC5-63-290. Chapter 18 Soils and foundations. 
    Change the exception to Section 1803.5 1804.5  of the IBC to read: 
    Exception: Compacted fill material less than 12 inches (305  mm) in depth need not comply with an approved report, provided it is a natural  non-organic material that is not susceptible to swelling when exposed to  moisture and it has been compacted to a minimum of 90% Modified Proctor in  accordance with ASTM D1557. The compaction shall be verified by a qualified  inspector approved by the building official. Material other than natural  material may be used as fill material when accompanied by a certification from  an RDP and approved by the building official. 
     13VAC5-63-300. Chapter 27 Electrical. 
    A. Change Section 2701.1 of the IBC to read: 
    2701.1 Scope. This chapter governs the electrical components,  equipment and systems used in buildings and structures covered by this code.  Electrical components, equipment and systems shall be designed and constructed  in accordance with the provisions of this code and NFPA 70. Any references in  this code to the ICC Electrical Code shall be considered to be references to  NFPA 70. 
    B. Add Section 2701.1.1 to the IBC to read: 
    2701.1.1 Changes to NFPA 70. The following change shall be  made to NFPA 70: 
    1. Change Sections 334.10(2) and 334.10(3) of NFPA 70 to read:  
    (2) Multifamily dwellings not exceeding four floors above  grade and multifamily dwellings of any height permitted to be of Types III, IV  and V construction except in any case as prohibited in 334.12. 
    (3) Other structures not exceeding four floors above grade and  other structures of any height permitted to be of Types III, IV and V  construction except in any case as prohibited in 334.12. In structures  exceeding four floors above grade, cables shall be concealed within walls,  floors or ceilings that provide a thermal barrier of material that has at least  a 15-minute finish rating as identified in listings of fire-rated assemblies. 
    For the purpose of Items 2 and 3 above, the first floor of a  building shall be that floor that has 50% or more of the exterior wall surface  area level with or above finished grade. One additional level that is the first  level and not designed for human habitation and used only for vehicle parking,  storage or similar use shall be permitted. 
    C. Add Section 2701.1.2 to the IBC to read: 
    2701.1.2 Temporary connection to dwelling units. The building  official shall give permission to energize the electrical service equipment of  a one- or two-family dwelling unit when all of the following requirements have  been approved: 
    1. The service wiring and equipment, including the meter  socket enclosure, shall be installed and the service wiring terminated. 
    2. The grounding electrode system shall be installed and  terminated. 
    3. At least one receptacle outlet on a ground fault protected  circuit shall be installed and the circuit wiring terminated. 
    4. Service equipment covers shall be installed. 
    5. The building roof covering shall be installed. 
    6. Temporary electrical service equipment shall be suitable  for wet locations unless the interior is dry and protected from the weather. 
    D. Add Section 2701.1.3 to the IBC to read:
    2701.1.3 Assisted living facility generator requirements.  Generators installed to comply with regulations for assisted living facilities  licensed by the Virginia Department of Social Services shall be permitted to be  optional standby systems.
    E. Change Section 2702.2.17 of the IBC to read:
    2702.2.17 Group I-2 and I-3 occupancies. Emergency power shall  be provided in accordance with Section 407.8 407.10 for Group I-2  occupancies licensed by the Virginia Department of Health as a hospital,  nursing or hospice facility. Emergency power shall be provided for doors in  Group I-3 occupancies in accordance with Section 408.4.2. 
    13VAC5-63-310. Chapter 28 Mechanical systems. 
    A. Change Section 2801.1 of the IBC to read:
    2801.1 Scope. Mechanical appliances, equipment and systems  shall be constructed and installed in accordance with this chapter, the  International Mechanical Code and the International Fuel Gas Code. Masonry  chimneys, fireplaces and barbecues shall comply with the International  Mechanical Code and Chapter 21 of this code.
    Exception: This code shall not govern the construction of  water heaters, boilers and pressure vessels to the extent which they are  regulated by the Virginia Boiler and Pressure Vessel Regulations (16VAC25-50).  However, the building official may require the owner of a structure to submit  documentation to substantiate compliance with those regulations.
    B. Add IBC Section 2802 Heating Facilities.
    C. B. Add Section 2802.1 2801.1.1  to the IBC to read:
    2802.1 2801.1.1 Required heating in dwelling  units. Heating facilities shall be required in every dwelling unit or portion  thereof which is to be rented, leased or let on terms, either expressed or  implied, to furnish heat to the occupants thereof. The heating facilities shall  be capable of maintaining the room temperature at 65°F (18°C) during the period  from October 15 to May 1 during the hours between 6:30 a.m. and 10:30 p.m. of  each day and not less than 60°F (16°C) during other hours when measured at a  point three feet (914 mm) above the floor and three feet (914 mm) from the exterior  walls. The capability of the heating system shall be based on the outside  design temperature required for the locality by this code.
    D. C. Add Section 2802.2 2801.1.2  to the IBC to read:
    2802.2 2801.1.2 Required heating in  nonresidential structures. Heating facilities shall be required in every  enclosed occupied space in nonresidential structures. The heating facilities  shall be capable of producing sufficient heat during the period from October 1  to May 15 to maintain a temperature of not less than 65°F (18°C) during all  working hours. The required room temperature shall be measured at a point three  feet (914 mm) above the floor and three feet (914 mm) from the exterior walls.
    Processing, storage and operation areas that require cooling  or special temperature conditions and areas in which persons are primarily  engaged in vigorous physical activities are exempt from these requirements.
    E. D. Add Section 2803.1 2801.1.3  to the IBC to read:
    2803.1 2801.1.3 Changes to the International  Mechanical Code. The following changes change shall be made to  the International Mechanical Code:
    1. Add the following definitions to Section 202 of the  International Mechanical Code:
    Breathing zone. The region within an occupied space between  planes three and 72 inches (75 and 1800 mm) above the floor and more than two  feet (600 mm) from the walls of the space or from fixed air-conditioning  equipment.
    Net occupiable floor area. The floor area of an occupiable  space defined by the inside surfaces of its walls, but excluding shafts, column  enclosures and other permanently enclosed, inaccessible and unoccupiable areas.  Obstructions in the space such as furnishings, display or storage racks and  other obstructions, whether temporary or permanent, shall not be deducted from  the space area.
    Occupiable space. An enclosed space intended for human  activities, excluding those spaces intended primarily for other purposes, such  as storage rooms and equipment rooms, that are only intended to be occupied  occasionally and for short periods of time.
    Zone. One occupiable space or several occupiable spaces  with similar occupancy classification (see Table 403.3), occupant density, zone  air distribution effectiveness and zone primary airflow rate per unit area.
    2. Replace Section 403 of the International Mechanical Code  to read:
    Section 403.
    Mechanical Ventilation.
    403.1 Ventilation system. Mechanical ventilation shall be  provided by a method of supply air and return or exhaust air. The amount of  supply air shall be approximately equal to the amount of return and exhaust  air. The system shall not be prohibited from producing negative or positive  pressure. The system to convey ventilation air shall be designed and installed  in accordance with Chapter 6.
    403.2 Outdoor air required. The minimum outdoor airflow  rate shall be determined in accordance with Section 403.3. Ventilation supply  systems shall be designed to deliver the required rate of outdoor airflow to  the breathing zone within each occupiable space.
    Exception: Where the registered design professional  demonstrates that an engineered ventilation system design will prevent the  maximum concentration of contaminants from exceeding that obtainable by the  rate of outdoor air ventilation determined in accordance with Section 403.3,  the minimum required rate of outdoor air shall be reduced in accordance with  such engineered system design.
    403.2.1 Recirculation of air. The outdoor air required by  Section 403.3 shall not be recirculated. Air in excess of that required by  Section 403.3 shall not be prohibited from being recirculated as a component of  supply air to building spaces, except that:
    1. Ventilation air shall not be recirculated from one  dwelling to another or to dissimilar occupancies.
    2. Supply air to a swimming pool and associated deck areas  shall not be recirculated unless such air is dehumidified to maintain the  relative humidity of the area at 60 percent or less. Air from this area shall  not be recirculated to other spaces where 10 percent or more of the resulting  supply airstream consists of air recirculated from these spaces.
    3. Where mechanical exhaust is required by Note b in Table  403.3, recirculation of air from such spaces shall be prohibited. All air  supplied to such spaces shall be exhausted, including any air in excess of that  required by Table 403.3.
    4. Where mechanical exhaust is required by Note h in Table  403.3, mechanical exhaust is required and recirculation is prohibited where 10  percent or more of the resulting supply airstream consists of air recirculated  from these spaces.
    403.2.2 Transfer air. Except where recirculation from such  spaces is prohibited by Table 403.3, air transferred from occupiable spaces is  not prohibited from serving as makeup air for required exhaust systems in such  spaces as kitchens, baths, toilet rooms, elevators and smoking lounges. The  amount of transfer air and exhaust air shall be sufficient to provide the flow  rates as specified in Section 403.3. The required outdoor airflow rates  specified in Table 403.3 shall be introduced directly into such spaces or into  the occupied spaces from which air is transferred or a combination of both.
    403.3 Outdoor airflow rate. Ventilation systems shall be  designed to have the capacity to supply the minimum outdoor airflow rate  determined in accordance with this section. The occupant load utilized for  design of the ventilation system shall not be less than the number determined  from the estimated maximum occupant load rate indicated in Table 403.3.  Ventilation rates for occupancies not represented in Table 403.3 shall be those  for a listed occupancy classification that is most similar in terms of occupant  density, activities and building construction; or shall be determined by an  approved engineering analysis. The ventilation system shall be designed to  supply the required rate of ventilation air continuously during the period the  building is occupied, except as otherwise stated in other provisions of the  code.
    With the exception of smoking lounges, the ventilation  rates in Table 403.3 are based on the absence of smoking in occupiable spaces.  Where smoking is anticipated in a space other than a smoking lounge, the  ventilation system serving the space shall be designed to provide ventilation  over and above that required by Table 403.3 in accordance with accepted  engineering practice.
    Exception: The occupant load is not required to be  determined, based on the estimated maximum occupant load rate indicated in  Table 403.3 where approved statistical data document the accuracy of an  alternate anticipated occupant density.
         
             | Table 403.3Minimum Ventilation Rates
 | 
       | Occupancy Classification
 | People Outdoor Airflow Rate in Breathing Zone Cfm/person
 | Area Outdoor Airflow Rate in Breathing Zone Ra cfm/ft2a
 | Default Occupant Density #/1000 ft2a
 | Exhaust Airflow Rate Cfm/ft2a
 | 
       | Correctional Facilities
 | 
       | Cells
 | 
       | without plumbing fixtures
 | 5
 | 0.12
 | 25
 | -
 | 
       | with plumbing fixturesg
 | 5
 | 0.12
 | 25
 | -
 | 
       | Dining halls (See Food and    Beverage Service)
 | -
 | -
 | -
 | -
 | 
       | Guard stations
 | 5
 | 0.06
 | 15
 | -
 | 
       | Day room
 | 5
 | 0.06
 | 50
 | -
 | 
       | Booking/waiting
 | 7.5
 | 0.06
 | 50
 | -
 | 
       | Dry cleaners, laundries
 | 
       | Coin-operated dry cleaner
 | 15
 | -
 | 20
 | -
 | 
       | Coin-operated laundries
 | 7.5
 | 0.06
 | 20
 | -
 | 
       | Commercial dry cleaner
 | 30
 | -
 | 30
 | -
 | 
       | Commercial laundry
 | 25
 | -
 | 10
 | -
 | 
       | Storage pick up
 | 7.5
 | .12
 | 30
 | -
 | 
       | Education
 | 
       | Auditoriums
 | 5
 | 0.06
 | 150
 | -
 | 
       | Corridors (See Public    Spaces)
 | -
 | -
 | -
 | -
 | 
       | Media center
 | 10
 | 0.12
 | 25
 | -
 | 
       | Sports locker roomsg
 | -
 | -
 | -
 | 0.5
 | 
       | Music/theater/dance
 | 10
 | 0.06
 | 35
 | -
 | 
       | Smoking loungesb
 | 60
 | -
 | 70
 | -
 | 
       | Daycare (through age 4)
 | 10
 | 0.18
 | 25
 | -
 | 
       | Classrooms (ages 5-8)
 | 10
 | 0.12
 | 25
 | -
 | 
       | Classrooms (age 9 plus)
 | 10
 | 0.12
 | 35
 | -
 | 
       | Lecture classroom
 | 7.5
 | 0.06
 | 65
 | -
 | 
       | Lecture hall (fixed seats)
 | 7.5
 | 0.06
 | 150
 | -
 | 
       | Art classroomg
 | 10
 | 0.18
 | 20
 | 0.7
 | 
       | Science laboratoriesg
 | 10
 | 0.18
 | 25
 | 1.0
 | 
       | Wood/metal shop
 | 10
 | 0.18
 | 20
 | 0.5
 | 
       | Computer lab
 | 10
 | 0.12
 | 25
 | -
 | 
       | Locker/dressing roomsg
 | -
 | -
 | -
 | 0.25
 | 
       | Food and beverage service
 | 
       | Bars, cocktail lounges
 | 7.5
 | 0.18
 | 100
 | -
 | 
       | Cafeteria, fast food
 | 7.5
 | 0.18
 | 100
 | -
 | 
       | Dining rooms
 | 7.5
 | 0.18
 | 70
 | -
 | 
       | Kitchens (cooking)b
 | -
 | -
 | -
 | 0.7
 | 
       | Hospitals, nursing and    convalescent homes
 | 
       | Autopsy roomsb
 | -
 | -
 | -
 | 0.5
 | 
       | Medical procedure rooms
 | 15
 | -
 | 20
 | -
 | 
       | Operating rooms
 | 30
 | -
 | 20
 | -
 | 
       | Patient rooms
 | 25
 | -
 | 10
 | -
 | 
       | Physical recovery
 | 15
 | -
 | 20
 | -
 | 
       | Recovery and ICU
 | 15
 | -
 | 20
 | -
 | 
       | Hotels, motels, resorts and    dormitories
 | 
       | Multi-purpose assembly
 | 5
 | 0.06
 | 120
 | -
 | 
       | Bathroom/Toilet-privateg
 | -
 | -
 | -
 | 25/50f
 | 
       | Bedroom/living room
 | 5
 | 0.06
 | 10
 | -
 | 
       | Conference/meeting
 | 5
 | 0.06
 | 50
 | -
 | 
       | Dormitory sleeping areas
 | 5
 | 0.06
 | 20
 | -
 | 
       | Gambling casinos
 | 7.5
 | 0.18
 | 120
 | -
 | 
       | Lobbies/pre-function
 | 7.5
 | 0.06
 | 30
 | -
 | 
       | Offices
 | 
       | Conference rooms
 | 5
 | 0.06
 | 50
 | -
 | 
       | Office spaces
 | 5
 | 0.06
 | 5
 | -
 | 
       | Reception areas
 | 5
 | 0.06
 | 30
 | -
 | 
       | Telephone/data entry
 | 5
 | 0.06
 | 60
 | -
 | 
       | Main entry lobbies
 | 5
 | 0.06
 | 10
 | -
 | 
       | Private dwellings, single    and multiple
 | 
       | Garages, common for    multiple unitsb
 | -
 | -
 | -
 | 0.75
 | 
       | Garages, separate for each    dwellingb
 | -
 | -
 | -
 | 100 cfm/car
 | 
       | Kitchensb
 | -
 | -
 | -
 | 25/100f
 | 
       | Living areasc
 | 0.35 ACH but not less than    15 cfm/person
 | -
 | Based upon number of    bedrooms, first bedroom 2; each additional bedroom: 1
 | -
 | 
       | Toilet rooms and bathroomsg
 | -
 | -
 | -
 | 20/50f
 | 
       | Public spaces
 | 
       | Corridors
 | -
 | 0.06
 | -
 | -
 | 
       | Elevator car
 | -
 | -
 | -
 | 1.0
 | 
       | Shower room (per shower    head)g
 | -
 | -
 | -
 | 50/20f
 | 
       | Smoking loungesb
 | 60
 | -
 | 70
 | -
 | 
       | Toilet rooms-publicg
 | -
 | -
 | -
 | 50/70e
 | 
       | Places of religious worship
 | 5
 | 0.06
 | 120
 | -
 | 
       | Courtrooms
 | 5
 | 0.06
 | 70
 | -
 | 
       | Legislative chambers
 | 5
 | 0.06
 | 50
 | -
 | 
       | Libraries
 | 5
 | 0.12
 | 10
 | -
 | 
       | Museums (children's)
 | 7.5
 | 0.12
 | 40
 | -
 | 
       | Museums/galleries
 | 7.5
 | 0.12
 | 40
 | -
 | 
       | Retail stores, sales floors    and showroom floors
 | 
       | Sales (except as below)
 | 7.5
 | 0.12
 | 15
 | -
 | 
       | Dressing rooms
 | -
 | -
 | -
 | 0.25
 | 
       | Mall common areas
 | 7.5
 | 0.06
 | 40
 | -
 | 
       | Shipping and receiving
 | -
 | 0.12
 | -
 | -
 | 
       | Smoking loungesb
 | 60
 | -
 | 70
 | -
 | 
       | Storage rooms
 | -
 | 0.12
 | -
 | -
 | 
       | Warehouses (See Storage)
 | -
 | -
 | -
 | -
 | 
       | Specialty shops
 | 
       | Automotive motor-fuel    dispensing stationsb
 | -
 | -
 | -
 | 1.5
 | 
       | Barber
 | 7.5
 | 0.06
 | 25
 | 0.5
 | 
       | Beauty and nail salonsb,h
 | 20
 | 0.12
 | 25
 | 0.6
 | 
       | Embalming roomb
 | -
 | -
 | -
 | 2.0
 | 
       | Pet shops (animal areas)b
 | 7.5
 | 0.18
 | 10
 | 0.9
 | 
       | Supermarkets
 | 7.5
 | 0.06
 | 8
 | -
 | 
       | Sports and amusement
 | 
       | Disco/dance floors
 | 20
 | 0.06
 | 100
 | -
 | 
       | Bowling alleys (seating    areas)
 | 10
 | 0.12
 | 40
 | -
 | 
       | Game arcades
 | 7.5
 | 0.18
 | 20
 | -
 | 
       | Ice arenas without    combustion engines
 | -
 | 0.30
 | -
 | 0.5
 | 
       | Gym, stadium, arena (play    area)
 | -
 | 0.30
 | -
 | -
 | 
       | Spectator areas
 | 7.5
 | 0.06
 | 150
 | -
 | 
       | Swimming pools (pool and    deck area)
 | -
 | 0.48
 | -
 | -
 | 
       | Health club/aerobics room
 | 20
 | 0.06
 | 40
 | -
 | 
       | Health club/weight room
 | 20
 | 0.06
 | 10
 | -
 | 
       | Storage
 | 
       | Repair garages, enclosed    parking garagesb,d
 | -
 | -
 | -
 | 0.75
 | 
       | Warehouses
 | -
 | 0.06
 | -
 | -
 | 
       | Theaters
 | 
       | Auditoriums (See Education)
 | -
 | -
 | -
 | -
 | 
       | Lobbies
 | 5
 | 0.06
 | 150
 | -
 | 
       | Stages, studios
 | 10
 | 0.06
 | 70
 | -
 | 
       | Ticket booths
 | 5
 | 0.06
 | 60
 | -
 | 
       | Transportation
 | 
       | Platforms
 | 7.5
 | 0.06
 | 100
 | -
 | 
       | Transportation waiting
 | 7.5
 | 0.06
 | 100
 | -
 | 
       | Workrooms
 | 
       | Bank vaults/safe deposit
 | 5
 | 0.06
 | 5
 | -
 | 
       | Darkrooms
 | -
 | -
 | -
 | 1.0
 | 
       | Copy, printing rooms
 | 5
 | 0.06
 | 4
 | 0.5
 | 
       | Meat processingc
 | 15
 | -
 | 10
 | -
 | 
       | Pharmacy (prep. area)
 | 5
 | 0.18
 | 10
 | -
 | 
       | Photo studios
 | 5
 | 0.12
 | 10
 | -
 | 
       | Computer (without printing)
 | 5
 | 0.06
 | 4
 | -
 | 
       | For SI: 1 cubic foot per    minute = 0.0004719 m3/s, 1 ton = 908 kg, 1 cubic foot per minute    per square foot = 0.00508 m3/(s m2), C = ((F)-32)/1.8,    1 square foot = 0.0929 m2.
 aBased upon net occupiable floor area.
 bMechanical exhaust required and the recirculation of    air from such spaces is prohibited (see Section 403.2.1, Item 3).
 cSpaces unheated or maintained below 500°F are not    covered by these requirements unless the occupancy is continuous.
 dVentilation systems in enclosed parking garages shall    comply with Section 404.
 eRates are per water closet or urinal. The higher rate    shall be provided where periods of heavy use are expected to occur, such as,    toilets in theaters, schools, and sports facilities. The lower rate shall be    permitted where periods of heavy use are not expected.
 fRates are per room unless otherwise indicated. The    higher rate shall be provided where the exhaust system is designed to operate    intermittently. The lower rate shall be permitted where the exhaust system is    designed to operate continuously during normal hours of use.
 gMechanical exhaust is required and recirculation is    prohibited except that recirculation shall be permitted where the resulting    supply airstream consists of not more than 10 percent air recirculated from    these spaces (see Section 403.2.1, Items 2 and 4).
 hFor nail salons, the required exhaust shall include    ventilation tables or other systems that capture the contaminants and odors    at their source and are capable of exhausting a minimum of 50 cfm per    station.
 | 
  
         
      403.3.1 Zone outdoor airflow. The minimum outdoor airflow  required to be supplied to each zone shall be determined as a function of  occupancy classification and space air distribution effectiveness in accordance  with Sections 403.3.1.1 through 403.3.1.3.
    403.3.1.1 Breathing zone outdoor airflow. The outdoor  airflow rate required in the breathing zone (Vbz) of the occupiable  space or spaces in a zone shall be determined in accordance with Equation 4-1.
    Vbz = RpPz + RaAz  (Equation 4-1)
    where:
    Az = zone floor area: the net occupiable floor  area of the space or spaces in the zone.
    Pz = zone population: the number of people in  the space or spaces in the zone.
    Rp = people outdoor air rate: the outdoor  airflow rate required per person from Table 403.3.
    Ra = area outdoor air rate: the outdoor airflow  rate required per unit area from Table 403.3.
    403.3.1.2 Zone air distribution effectiveness. The zone air  distribution effectiveness (Ez) shall be determined using Table  403.3.1.2.
           | Table 403.3.1.2Zone Air Distribution Effectivenessa,b,c,d,e
 | 
       | Air Distribution    Configuration
 | Ez
 | 
       | Ceiling or floor supply of    cool air
 | 1.0f
 | 
       | Ceiling or floor supply of warm air and floor return
 | 1.0
 | 
       | Ceiling supply of warm air and ceiling return
 | 0.8g
 | 
       | Floor supply of warm air and ceiling return
 | 0.7
 | 
       | Makeup air drawn in on the opposite side of the room from    the exhaust or return, or both
 | 0.8
 | 
       | Makeup air drawn in near to the exhaust or return    location, or both
 | 0.5
 | 
       | For SI: 1 foot = 304.8 mm, 1 foot per minute = 0.00506    m/s, °C = ((°F) – 32)/1.8.
 a"Cool air" is air cooler than space    temperature.
 b"Warm air" is air warmer than space    temperature.
 c"Ceiling" includes any point above    the breathing zone.
 d"Floor" includes any point below    the breathing zone.
 e"Makeup air" is air supplied or    transferred to a zone to replace air removed from the zone by exhaust or    return systems.
 fZone air distribution effectiveness of 1.2    shall be permitted for systems with a floor supply of cool air and ceiling return,    provided that low-velocity displacement achieves unidirectional flow and    thermal stratification.
 gZone air distribution effectiveness of 1.0    shall be permitted for systems with a ceiling supply of warm air, provided    that supply air temperature is less than 150 F above space temperature and    provided that the 150 foot-per-minute supply air jet reaches to within 4.5    feet of floor level.
 | 
  
    403.3.1.3 Zone outdoor airflow. The zone outdoor airflow  rate (Voz), shall be determined in accordance with Equation 4-2.
    Voz = Vbz/Ez (Equation  4.2)
    403.3.2 System outdoor airflow. The outdoor air required to  be supplied by each ventilation system shall be determined in accordance with  Sections 403.3.2.1 through 403.2.3 as a function of system type and zone  outdoor airflow rates.
    403.3.2.1 Single zone systems. Where one air handler  supplies a mixture of outdoor air and recirculated return air to only one zone,  the system outdoor air intake flow rate (Vot) shall be determined in  accordance with Equation 4-3.
    Vot = Voz (Equation 4-3)
    403.3.2.2 100-percent outdoor air systems. Where one air  handler supplies only outdoor air to one or more zones, the system outdoor air  intake flow rate (Vot) shall be determined using Equation 4-4.
    Vot = Σall zonesVoz  (Equation 4-4)
    403.3.2.3 Multiple zone recirculating systems. Where one  air handler supplies a mixture of outdoor air and recirculated return air to  more than one zone, the system outdoor air intake flow rate (Vot)  shall be determined in accordance with Sections 403.3.2.3.1 through  403.3.2.3.4.
    403.3.2.3.1 Primary Outdoor Air Fraction. The primary  outdoor air fraction (Zp) shall be determined for each zone in  accordance with Equation 4-5.
    Zp = Voz/Vpz (Equation  4-5)
    where:
    Vpz = Primary airflow: The airflow rate supplied  to the zone from the air-handling unit at which the outdoor air intake is  located. It includes outdoor intake air and recirculated air from that  air-handling unit but does not include air transferred or air recirculated to the  zone by other means. For design purposes, Vpz shall be the zone  design primary airflow rate, except for zones with variable air volume supply  and Vpz shall be the lowest expected primary airflow rate to the  zone when it is fully occupied.
    403.3.2.3.2 System ventilation efficiency. The system  ventilation efficiency (Ev) shall be determined using Table  403.3.2.3.2 or Appendix A of ASHRAE 62.1.
           | Table 403.3.2.3.2 System Ventilation Efficiency
 | 
       | Max(Zp)
 | Ev
 | 
       | 0.15
 | 1.0
 | 
       | 0.25
 | 0.9
 | 
       | 0.35
 | 0.8
 | 
       | 0.45
 | 0.7
 | 
       | 0.55
 | 0.6
 | 
       | 0.65
 | 0.5
 | 
       | 0.75
 | 0.4
 | 
       | <0.75
 | 0.3
 | 
       | aMax(Zp) is the largest value of Zp    calculated using Equation 4-5 among all the zones served by the system.
 bInterpolating between table values shall be    permitted.
 | 
  
    403.3.2.3.3 Uncorrected outdoor air intake. The uncorrected  outdoor air intake flow rate (Vou) shall be determined in accordance  with Equation 4-7.
    Vou = D Σall zones RpPz  + Σall zones RaAz (Equation 4-7)
    where:
    D = Occupant diversity: the ratio of the system population  to the sum of the zone populations, determined in accordance with Equation 4-8.
    D = Ps/Σall zones Pz  (Equation 4-8)
    where:
    Ps = System population: The total number of  occupants in the area served by the system. For design purposes, Ps shall be  the maximum number of occupants expected to be concurrently in all zones served  by the system.
    403.3.2.3.4 Outdoor air intake flow rate. The outdoor air  intake flow rate (Vot) shall be determined in accordance with  Equation 4-9.
    Vot =Vou/Ev (Equation 4-9)
    403.4 Exhaust Ventilation. Exhaust airflow rate shall be  provided in accordance with the requirements in Table 403.3. Exhaust makeup air  shall be permitted to be any combination of outdoor air, recirculated air and  transfer air, except as limited in accordance with Section 403.2.
    403.5 System operation. The minimum flow rate of outdoor  air that the ventilation system must be capable of supplying during its  operation shall be permitted to be based on the rate per person indicated in  Table 403.3 and the actual number of occupants present.
    403.6 Variable air volume system control. Variable air  volume air distribution systems, other than those designed to supply only  100-percent outdoor air, shall be provided with controls to regulate the flow  of outdoor air. Such control system shall be designed to maintain the flow rate  of outdoor air at a rate of not less than that required by Section 403.3 over  the entire range of supply air operating rates.
    403.7 Balancing. The ventilation air distribution system  shall be provided with means to adjust the system to achieve at least the  minimum ventilation airflow rate as required by Sections 403.3 and 403.4.  Ventilation systems shall be balanced by an approved method. Such balancing  shall verify that the ventilation system is capable of supplying and exhausting  the airflow rates required by Sections 403.3 and 403.4.
    3. Change Section 404.2 of the International Mechanical  Code to read:
    404.2 Minimum ventilation. Automatic operation of the  system shall not reduce the ventilation airflow rate below 0.05 cfm per square  foot (0.00025 m3/s·m2) of the floor area and the system  shall be capable of producing a ventilation rate of 0.75 cfm per square foot  (0.0035 m3/s·m2) of floor area.
    4. Change Section 504.6.1 of the International Mechanical  Code to read:
    504.6.1 Maximum length. The maximum length of a clothes  dryer exhaust duct shall not exceed 35 feet (10668 mm) from the dryer location  to the outlet terminal. The maximum length of the duct shall be reduced 2-1/2  feet (762 mm) for each 45 degree (0.79 rad) bend and five feet (1524 mm) for  each 90 degree (1.6 rad) bend. The maximum length of the exhaust duct does not  include the transition duct.
    Exception: Where the make and model of the clothes dryer to  be installed is known and the manufacturer's installation instructions for such  dryer are provided to the code official, the maximum length of the exhaust  duct, including any transition duct, shall be permitted to be in accordance  with the dryer manufacturer's installation instructions.
    5. Change Section 507.2.2 of the International Mechanical  Code to read:
    507.2.2. Type II hoods. Type II hoods shall be installed  where cooking or dishwashing appliances produce heat, steam, or products of  combustion and do not produce grease or smoke, such as steamers, kettles, pasta  cookers and dishwashing machines.
    Exceptions:
    1. Under-counter-type commercial dishwashing machines.
    2. A Type II hood is not required for dishwashers and  potwashers that are provided with heat and water vapor exhaust systems that are  supplied by the appliance manufacturer and are installed in accordance with the  manufacturer's instructions.
    3. A single light-duty electric convection, bread, retherm,  steamer or microwave oven designed for countertop installation. The additional  heat and moisture loads generated by such appliances shall be accounted for in  the design of the HVAC system.
    4. A Type II hood is not required for the following  electrically heated appliances: toasters, steam tables, popcorn poppers, hot  dog cookers, coffee makers, rice cookers, egg cookers, holding/warming ovens.  The additional heat and moisture loads generated by such appliances shall be  accounted for in the design of the HVAC system.
    6. Change Section 701.1 of the International Mechanical  Code to read as follows and delete the remainder of Chapter 7:
    701.1 Scope. Solid-fuel-burning appliances shall be  provided with combustion air in accordance with the appliance manufacturer's  installation instructions. Oil-fired appliances shall be provided with  combustion air in accordance with NFPA 31. The methods of providing combustion  air in this chapter do not apply to fireplaces, fireplace stoves and direct-vent  appliances. The requirements for combustion and dilution air for gas-fired  appliances shall be in accordance with the International Fuel Gas Code.
    7. 1. Add Section 801.1.1 to the International  Mechanical Code to read:
    801.1.1 Equipment changes. Upon the replacement or new  installation of any fuel-burning appliances or equipment in existing buildings,  an inspection or inspections shall be conducted to ensure that the connected  vent or chimney systems comply with the following:
    1. Vent or chimney systems are sized in accordance with this  code.
    2. Vent or chimney systems are clean, free of any obstruction  or blockages, defects or deterioration and are in operable condition.
    Where not inspected by the local building department, persons  performing such changes or installations shall certify to the building official  that the requirements of Items 1 and 2 of this section are met.
    F. E. Add Section 2804.1 2801.1.4  to the IBC to read:
    2804.1 2801.1.4 Changes to the International  Fuel Gas Code. The following changes shall be made to the International Fuel  Gas Code:
    1. Change Section 301.1 of the International Fuel Gas Code to  read:
    301.1 Scope. This code shall apply to the installation of fuel  gas piping systems, fuel gas utilization equipment, and related accessories as  follows:
    1. Coverage of piping systems shall extend from the point of  delivery to the connections with gas utilization equipment. (See "point of  delivery.")
    2. Systems with an operating pressure of 125 psig (862 kPa  gauge) or less.
    Piping systems for gas-air mixtures within the flammable range  with an operating pressure of 10 psig (69 kPa gauge) or less.
    LP-Gas piping systems with an operating pressure of 20 psig  (140 kPa gauge) or less.
    3. Piping systems requirements shall include design,  materials, components, fabrication, assembly, installation, testing and  inspection.
    4. Requirements for gas utilization equipment and related  accessories shall include installation, combustion and ventilation air and  venting.
    This code shall not apply to the following:
    1. Portable LP-Gas equipment of all types that are not  connected to a fixed fuel piping system.
    2. Installation of farm equipment such as brooders,  dehydrators, dryers, and irrigation equipment.
    3. Raw material (feedstock) applications except for piping to  special atmosphere generators.
    4. Oxygen-fuel gas cutting and welding systems.
    5. Industrial gas applications using gases such as acetylene  and acetylenic compounds, hydrogen, ammonia, carbon monoxide, oxygen, and  nitrogen.
    6. Petroleum refineries, pipeline compressor or pumping  stations, loading terminals, compounding plants, refinery tank farms, and  natural gas processing plants.
    7. Integrated chemical plants or portions of such plants where  flammable or combustible liquids or gases are produced by chemical reactions or  used in chemical reactions.
    8. LP-Gas installations at utility gas plants.
    9. Liquefied natural gas (LNG) installations.
    10. Fuel gas piping in power and atomic energy plants.
    11. Proprietary items of equipment, apparatus, or instruments  such as gas generating sets, compressors, and calorimeters.
    12. LP-Gas equipment for vaporization, gas mixing, and gas  manufacturing.
    13. Temporary LP-Gas piping for buildings under construction  or renovation that is not to become part of the permanent piping system.
    14. Installation of LP-Gas systems for railroad switch  heating.
    15. Installation of LP-Gas and compressed natural gas (CNG)  systems on vehicles.
    16. Except as provided in Section 401.1.1, gas piping, meters,  gas pressure regulators, and other appurtenances used by the serving gas  supplier in the distribution of gas, other than undiluted LP-Gas.
    17. Building design and construction, except as specified  herein.
    2. Change Section 310.1 of the International Fuel Gas Code  to read:
    310.1 Gas pipe bonding. Each aboveground portion of a gas  piping system that is likely to become energized shall be electrically  continuous and bonded to an effective ground-fault current path. Gas piping  shall be considered to be bonded where it is connected to appliances that are  connected to the equipment grounding conductor of the circuit supplying that  appliance.
    CSST gas piping systems shall be bonded to the electrical  service grounding electrode system at the point where the gas service piping  enters the building. The bonding conductor size shall be not less than #6 AWG  copper wire or equivalent.
    3. 2. Add Section 404.8.3 404.9.3  to the International Fuel Gas Code to read:
    404.8.3 404.9.3 Coating application. Joints in  gas piping systems shall not be coated prior to testing and approval.
    4. Add Section 404.17 to the International Fuel Gas Code to  read:
    404.17 Isolation. Metallic piping and metallic tubing that  conveys fuel gas from an LP-gas storage container shall be provided with an  approved dielectric fitting to electrically isolate the underground portion of  the pipe or tube from the aboveground portion that enters a building. Such  dielectric fitting shall be installed above ground, outdoors.
    5. 3. Add Section 501.1.1 to the International  Fuel Gas Code to read:
    501.1.1 Equipment changes. Upon the replacement or new  installation of any fuel-burning appliances or equipment in existing buildings,  an inspection or inspections shall be conducted to ensure that the connected  vent or chimney systems comply with the following:
    1. Vent or chimney systems are sized in accordance with this  code.
    2. Vent or chimney systems are clean, free of any obstruction  or blockages, defects or deterioration and are in operable condition.
    Where not inspected by the local building department, persons  performing such changes or installations shall certify to the building official  that the requirements of Items 1 and 2 of this section are met.
    13VAC5-63-320. Chapter 29 Plumbing systems. 
    A. Change Section 2901.1 of the IBC to read:
    2901.1 Scope. The provisions of this chapter and the  International Plumbing Code shall govern the design and installation of all  plumbing systems and equipment, except that as provided for in Section 103.11  for functional design, water supply sources and sewage disposal systems are  regulated and approved by the Virginia Department of Health and the Virginia  Department of Environmental Quality. The approval of pumping and electrical  equipment associated with such water supply sources and sewage disposal systems  shall, however, be the responsibility of the building official.
    Note: See also the Memorandum of Agreement in the  "Related Laws Package," which is available from DHCD. 
    B. Add Section 2901.1.1 to the IBC to read:
    2901.1.1 Changes to the International Plumbing Code. The  following changes shall be made to the International Plumbing Code:
    1. Change Section 310.4 to read:
    310.4 Water closet compartment. Each water closet utilized  by the public or employees shall occupy a separate compartment with walls or  partitions and a door enclosing the fixtures to ensure privacy.
    Exceptions:
    1. Water closet compartments shall not be required in a  single-occupant toilet room with a lockable door.
    2. Toilet rooms located in day care and child-care  facilities and containing two or more water closets shall be permitted to have  one water closet without an enclosing compartment.
    3. Water closet compartments or partitions shall not be  required in toilet facilities for inmates in I-3 occupancies.
    2. 1. Delete Sections 311 and 311.1.
    3. Change Category 5 of Table 403.1 to read:
         
             | No.
 | Classification
 | Occupancy
 | Description
 | Water Closets (Urinals see    Section 419.2)
 | Lavatories
 | Bathtubs/ Showers
 | Drinking Fountain (see    Section 410.1)
 | Other
 | 
       | Male
 | Female
 | Male
 | Female
 | 
       | 5
 | Institutional
 | I-3
 | Prisonsb
 | 1 per cell
 | 1 per cell
 | 1 per 15
 | 1 per 100
 |  
 | 
       | I-3
 | Reformitories, detention    centers, and correctional centersb
 | 1 per 15
 | 1 per 15
 | 1 per 15
 | 1 per 100
 |  
 | 
       | I-3
 | Employees
 | 1 per 25
 | 1 per 35
 | -
 | 1 per 100
 | -
 | 
       |  |  |  |  |  |  |  |  |  |  |  | 
  
         
      4. 2. Delete Section 701.9.
    5. 3. Add Section 703.6 to read:
    703.6 Nonmetallic building sewer location Tracer  wire. Nonmetallic sanitary sewer piping installed and located within six  feet (1829 mm) of finished grade that discharges to public systems shall be  locatable. An insulated copper tracer wire, 18 AWG minimum in size and suitable  for direct burial or an equivalent product, shall be utilized. The wire shall  be installed in the same trench as the sewer within 12 inches (305 mm) of the  pipe and shall be installed to within five feet (1524 mm) of the building wall to  the point where the building sewer intersects with the public system. The  ends At a minimum, one end of the wire shall terminate above grade  in an accessible location that is not subject resistant to  physical damage, such as with a cleanout or at the building wall. Only one  accessible location is required to be provided for the wire terminations on  either end of each sewer installation. 
    13VAC5-63-330. Chapter 30 Elevators and conveying equipment. 
    A. Change Section 3002.4 of the IBC to read:
    3002.4 Elevator car to accommodate ambulance stretcher. Where  elevators are provided in buildings four or more stories above grade plane,  or four or more stories below grade plane, at least one elevator shall be  provided for fire department emergency access to all floors. The elevator car  shall be of such a size and arrangement to accommodate a 24-inch an  ambulance stretcher 24 inches by 84-inch 84 inches (610 mm by  2134 mm) ambulance stretcher with not less than five-inch (127 mm)  radius corners, in the horizontal, open position and shall be identified by  the international symbol for emergency medical services (star of life). The  symbol shall not be less than three inches (76 mm) high and shall be placed  inside on both sides of the hoistway door frame on the designated and alternate  landing floors required to be established by ASME A17.1.
    Exception: Elevators in multistory dwelling units or guest  rooms.
    B. Change Section 3006.4 of the IBC to read:
    3006.4 Machine rooms and machinery spaces. Elevator machine  rooms, rooms housing elevator controllers, and machinery spaces shall be  enclosed with fire barriers constructed in accordance with Section 707 or  horizontal assemblies constructed in accordance with Section 712, or both. The  fire-resistance rating shall not be less than the required rating of the  hoistway enclosure served by the machinery. Openings in the fire barriers shall  be protected with assemblies having a fire protection rating not less than that  required for the hoistway enclosure doors.
    Exceptions:
    1. Where machine rooms, rooms housing elevator controllers,  and machinery spaces do not abut and have no openings to the hoistway enclosure  they serve, the fire barriers constructed in accordance with Section 707 or  horizontal assemblies constructed in accordance with Section 712, or both,  shall be permitted to be reduced to a one-hour fire-resistance rating.
    2. In buildings four stories or less above grade plane when  machine rooms, rooms housing elevator controllers, and machinery rooms do not  abut and have no openings to the hoistway enclosure they serve, the machine  room, room housing elevator controllers, and machinery spaces are not required  to be fire-resistance rated.
    B. C. Add Section 3006.7 to the IBC to read:
    3006.7 Machine-room-less designs. Where machine-room-less  designs are utilized they shall comply with the provisions of ASME A17.1 and  incorporate the following:
    1. Where the elevator car-top will be used as a work platform,  it shall be equipped with permanently installed guards on all open sides. Guards  shall be permitted to be of collapsible design, but otherwise must conform to  all applicable requirements of this code for guards.
    2. Where the equipment manufacturer's procedures for machinery  removal and replacement depend on overhead structural support or lifting  points, such supports or lifting points shall be permanently installed at the  time of initial equipment installation.
    3. Where the structure that the elevator will be located in is  required to be fully sprinklered by this code, the hoistway that the elevator  machine is located in shall be equipped with a fire suppression system as a  machine room in accordance with NFPA 13. Smoke detectors for the automatic  initiation of Phase I Emergency Recall Operation, and heat detectors or other  approved devices that automatically disconnect the main line power supply to  the elevators, shall be installed within the hoistway. 
     13VAC5-63-350. Chapter 34 Existing structures. 
    A. Change Section 3401.1 of the IBC to read: 
    3401.1 Scope. The provisions of this chapter and the  applicable requirements of Chapter 1 shall control the alteration, repair,  addition and change of occupancy of existing structures. 
    B. Delete IBC Sections 3401.2 and, 3401.3,  3401.4, and 3401.5. 
    C. Delete IBC Section Sections 3403, 3404,  3405, and 3406. 
    D. Change Section 3405.1 3407.1 of the IBC to  read: 
    3405.1 3407.1 Standards for replacement glass.  In accordance with § 36-99.2 of the Code of Virginia, any replacement glass  installed in buildings constructed prior to the first edition of the USBC shall  meet the quality and installation standards for glass installed in new  buildings as are in effect at the time of installation. In addition, as a  requirement of this code, the installation or replacement of glass in buildings  constructed under any edition of the USBC shall be as required for new  installations. 
    E. Delete IBC Section 3406 3408. 
    F. Delete IBC Section 3408 3410. 
    G. Change Section 3410.2 3412.2 of the IBC to  read: 
    3410.2 3412.2 Applicability. When specifically  requested by an owner or an owner's agent in structures where there is work  involving additions, alterations or changes of occupancy, the provisions in  Sections 3410.2.1 3412.2.1 through 3410.2.5 3412.2.5  shall apply to existing occupancies that will continue to be, or are proposed  to be, in Groups A, B, E, F, M, R, S and U. These provisions shall not apply to  buildings with occupancies in Group H or I. 
    H. Add an exception to Section 3410.2.1 3412.2.1  of the IBC to read: 
    Exception: Plumbing, mechanical and electrical systems in  buildings undergoing a change of occupancy shall be subject to any applicable  requirements of Section 103.3 of this code. 
    I. Change Section 3412.2.5 of the IBC to read:
    3412.2.5 Accessibility requirements. All portions of the  buildings proposed for change of occupancy and all alterations to existing  buildings shall conform to the applicable accessibility provisions of Section  3411.
    I. J. Add IBC Section 3411 3413  Retrofit Requirements. 
    J. K. Add Section 3411.1 3413.1  to the IBC to read: 
    3411.1 3413.1 Scope. In accordance with Section  103.7 and as setout herein, the following buildings are required to be provided  with certain fire protection equipment or systems or other retrofitted  components. 
    K. L. Add Section 3411.2 3413.2  to the IBC to read: 
    3411.2 3413.2 Smoke detectors in colleges and  universities. In accordance with Section 36-99.3 of the Code of Virginia,  college and university buildings containing dormitories for sleeping purposes  shall be provided with battery-powered or AC-powered smoke detector devices  installed therein in accordance with this code in effect on July 1, 1982. All  public and private college and university dormitories shall have installed such  detectors regardless of when the building was constructed. The chief administrative  office of the college or university shall obtain a certificate of compliance  with the provisions of this subsection from the building official of the  locality in which the college or university is located or in the case of  state-owned buildings, from the Director of the Virginia Department of General  Services. The provisions of this section shall not apply to any dormitory at a  state-supported military college or university which is patrolled 24 hours a  day by military guards. 
    L. M. Add Section 3411.3 3413.3  to the IBC to read: 
    3411.3 3413.3 Smoke detectors in certain  juvenile care facilities. In accordance with § 36-99.4 of the Code of Virginia,  battery-powered or AC-powered smoke detectors shall be installed in all local  and regional detention homes, group homes, and other residential care  facilities for children and juveniles which are operated by or under the  auspices of the Virginia Department of Juvenile Justice, regardless of when the  building was constructed, by July 1, 1986, in accordance with the provisions of  this code that were in effect on July 1, 1984. Administrators of such homes and  facilities shall be responsible for the installation of the smoke detector  devices. 
    M. N. Add Section 3411.4 3413.4  to the IBC to read: 
    3411.4 3413.4 Smoke detectors for the deaf and  hearing-impaired. In accordance with Section 36-99.5 of the Code of Virginia,  smoke detectors providing an effective intensity of not less than 100 candela  to warn a deaf or hearing-impaired individual shall be provided, upon request  by the occupant to the landlord or proprietor, to any deaf or hearing-impaired  occupant of any of the following occupancies, regardless of when constructed: 
    1. All dormitory buildings arranged for the shelter and  sleeping accommodations of more than 20 individuals; 
    2. All multiple-family dwellings having more than two dwelling  units, including all dormitories, boarding and lodging houses arranged for  shelter and sleeping accommodations of more than five individuals; or 
    3. All buildings arranged for use of one-family or two-family  dwelling units. 
    A tenant shall be responsible for the maintenance and  operation of the smoke detector in the tenant's unit. 
    A hotel or motel shall have available no fewer than one such  smoke detector for each 70 units or portion thereof, except that this  requirement shall not apply to any hotel or motel with fewer than 35 units. The  proprietor of the hotel or motel shall post in a conspicuous place at the  registration desk or counter a permanent sign stating the availability of smoke  detectors for the hearing impaired. Visual detectors shall be provided for all  meeting rooms for which an advance request has been made. 
    N. O. Add Sections 3411.5, 3411.5.1 3413.5,  3413.5.1, and 3411.5.2 3413.5.2 to the IBC to read: 
    3411.5 3413.5 Assisted living facilities  (formerly known as adult care residences or homes for adults). Existing  assisted living facilities licensed by the Virginia Department of Social  Services shall comply with this section. 
    3411.5.1. 3413.5.1 Fire protective signaling  system and fire detection system. A fire protective signaling system and an  automatic fire detection system meeting the requirements of the USBC, Volume I,  1987 Edition, Third Amendment, shall be installed in assisted living facilities  by August 1, 1994. 
    Exception: Assisted living facilities that are equipped  throughout with a fire protective signaling system and an automatic fire  detection system. 
    3411.5.2. 3413.5.2 Single and multiple station  smoke detectors. Battery or AC-powered single and multiple station smoke  detectors meeting the requirements of the USBC, Volume I, 1987 Edition, Third  Amendment, shall be installed in assisted living facilities by August 1, 1994. 
    Exception: Assisted living facilities that are equipped  throughout with single and multiple station smoke detectors. 
    O. P. Add Section 3411.6 3413.6  to the IBC to read: 
    3411.6 3413.6 Smoke detectors in buildings  containing dwelling units. AC-powered smoke detectors with battery backup or an  equivalent device shall be required to be installed to replace a defective or  inoperative battery-powered smoke detector located in buildings containing one  or more dwelling units or rooming houses offering to rent overnight sleeping  accommodations, when it is determined by the building official that the  responsible party of such building or dwelling unit fails to maintain  battery-powered smoke detectors in working condition. 
    P. Q. Add  Section 3411.7 3413.7 to the IBC to read: 
    3411.7 3413.7 Fire suppression, fire alarm and  fire detection systems in nursing homes and facilities. Fire suppression  systems as required by the edition of this code in effect on October 1, 1990,  shall be installed in all nursing facilities licensed by the Virginia  Department of Health by January 1, 1993, regardless of when such facilities or  institutions were constructed. Units consisting of certified long-term care  beds located on the ground floor of general hospitals shall be exempt from the  requirements of this section. 
    Fire alarm or fire detector systems, or both, as required by  the edition of this code in effect on October 1, 1990, shall be installed in  all nursing homes and nursing facilities licensed by the Virginia Department of  Health by August 1, 1994. 
    Q. R. Add Section 3411.8 3413.8  to the IBC to read: 
    3411.8 3413.8 Fire suppression systems in  hospitals. Fire suppression systems shall be installed in all hospitals  licensed by the Virginia Department of Health as required by the edition of  this code in effect on October 1, 1995, regardless of when such facilities were  constructed. 
    R. S. Add Section 3411.9 3413.9  to the IBC to read: 
    3411.9 3413.9 Identification of handicapped  parking spaces by above grade signs. All parking spaces reserved for the use of  handicapped persons shall be identified by above grade signs, regardless of  whether identification of such spaces by above grade signs was required when  any particular space was reserved for the use of handicapped persons. A sign or  symbol painted or otherwise displayed on the pavement of a parking space shall  not constitute an above grade sign. Any parking space not identified by an  above grade sign shall not be a parking space reserved for the handicapped  within the meaning of this section. All above grade handicapped parking space  signs shall have the bottom edge of the sign no lower than four feet (1219 mm)  nor higher than seven feet (2133 mm) above the parking surface. Such signs  shall be designed and constructed in accordance with the provisions of Chapter  11 of this code. All disabled parking signs shall include the following  language: PENALTY, $100-500 Fine, TOW-AWAY ZONE. Such language may be placed on  a separate sign and attached below existing above grade disabled parking signs,  provided that the bottom edge of the attached sign is no lower than four feet  above the parking surface. 
    S. T. Add Section 3411.10 3413.10  to the IBC to read: 
    3411.10 3413.10 Smoke detectors in hotels and  motels. Smoke detectors shall be installed in hotels and motels as required by  the edition of VR 394-01-22, USBC, Volume II, in effect on March 1, 1990, by  the dates indicated, regardless of when constructed. 
    T. U. Add Section 3411.11 3413.11  to the IBC to read: 
    3411.11 3413.11 Sprinkler systems in hotel and  motels. By September 1, 1997, an automatic sprinkler system shall be installed  in hotels and motels as required by the edition of VR 394-01-22, USBC, Volume  II, in effect on March 1, 1990, regardless of when constructed. 
    U. V. Add Section 3411.12 3413.12  to the IBC to read: 
    3411.12 3413.12 Fire suppression systems in dormitories.  An automatic fire suppression system shall be provided throughout all buildings  having a Group R-2 fire area which are more than 75 feet (22,860 mm) or six  stories above the lowest level of exit discharge and which are used, in whole  or in part, as a dormitory to house students by any public or private  institution of higher education, regardless of when such buildings were  constructed, in accordance with the edition of this code in effect on August  20, 1997, and the requirements for sprinkler systems under the edition of the  NFPA 13 standard referenced by that code. The automatic fire suppression system  shall be installed by September 1, 1999. The chief administrative office of the  college or university shall obtain a certificate of compliance from the  building official of the locality in which the college or university is located  or in the case of state-owned buildings, from the Director of the Virginia  Department of General Services. 
    Exceptions: 
    1. Buildings equipped with an automatic fire suppression  system in accordance with Section 903.3.1.1 or the 1983 or later editions of  NFPA 13. 
    2. Any dormitory at a state-supported military college or  university which is patrolled 24 hours a day by military guards. 
    3. Application of the requirements of this section shall be  modified in accordance with the following: 
    3.1. Building systems, equipment or components other than the  fire suppression system shall not be required to be added or upgraded except as  necessary for the installation of the fire suppression system and shall only be  required to be added or upgraded where the installation of the fire suppression  system creates an unsafe condition. 
    3.2. Residential sprinklers shall be used in all sleeping  rooms. Other sprinklers shall be quick response or residential unless deemed  unsuitable for a space. Standard response sprinklers shall be used in elevator  hoist ways and machine rooms. 
    3.3. Sprinklers shall not be required in wardrobes in sleeping  rooms that are considered part of the building construction or in closets in  sleeping rooms, when such wardrobes or closets (i) do not exceed 24 square feet  (2.23 m2) in area, (ii) have the smallest dimension less than 36  inches (914 mm), and (iii) comply with all of the following: 
    3.3.1. A single station smoke detector monitored by the  building fire alarm system is installed in the room containing the wardrobe or  closet that will activate the general alarm for the building if the single  station smoke detector is not cleared within five minutes after activation. 
    3.3.2. The minimum number of sprinklers required for  calculating the hydraulic demand of the system for the room shall be increased  by two and the two additional sprinklers shall be corridor sprinklers where the  wardrobe or closet is used to divide the room. Rooms divided by a wardrobe or  closet shall be considered one room for the purpose of this requirement. 
    3.3.3. The ceiling of the wardrobe, closet or room shall have  a fire resistance rating of not less than 1/2 hour. 
    3.4. Not more than one sprinkler shall be required in  bathrooms within sleeping rooms or suites having a floor area between 55 square  feet (5.12 m2) and 120 square feet (11.16 m2) provided  the sprinkler is located to protect the lavatory area and the plumbing fixtures  are of a noncombustible material. 
    3.5. Existing standpipe residual pressure shall be permitted  to be reduced when the standpipe serves as the water supply for the fire  suppression system provided the water supply requirements of NFPA 13-94 are  met. 
    3.6. Limited service controllers shall be permitted for fire  pumps when used in accordance with their listing. 
    3.7. Where a standby power system is required, a source of  power in accordance with Section 701-11 (d) or 701-11 (e) of NFPA 70—96 shall  be permitted. 
    V. W. Add Section 3411.13 3413.13  to the IBC to read: 
    3411.13 3413.13 Fire extinguishers and smoke  detectors in SRCF's. SRCF's shall be provided with at least one approved type  ABC portable fire extinguisher with a minimum rating of 2A10BC installed in  each kitchen. In addition, SRCF's shall provide at least one approved and  properly installed battery operated smoke detector outside of each sleeping  area in the vicinity of bedrooms and bedroom hallways and on each additional  floor. 
    W. X. Add Section 3411.14 3413.14  to the IBC to read: 
    3411.14 3413.14 Smoke detectors in adult day  care centers. Battery-powered or AC-powered smoke detector devices shall be  installed in all adult day care centers licensed by the Virginia Department of  Social Services, regardless of when the building was constructed. The location  and installation of the smoke detectors shall be determined by the provisions  of this code in effect on October 1, 1990. The licensee shall obtain a  certificate of compliance from the building official of the locality in which  the center is located, or in the case of state-owned buildings, from the  Director of the Virginia Department of General Services. 
    X. Y. Add Section 3411.15 3413.15  to the IBC to read: 
    3411.15 3413.15 Posting of occupant load. Every  room or space that is an assembly, occupancy, and where the occupant load of  that room or space is 50 or more, shall have the occupant load of the room or  space as determined by the building official posted in a conspicuous place,  near the main exit or exit access doorway from the room or space. Posted signs  shall be of an approved legible permanent design and shall be maintained by the  owner or authorized agent. 
         
          13VAC5-63-360. Chapter 35 Referenced standards. 
    Change the referenced standards in Chapter 35 of the IBC as  follows (standards not shown remain the same):
           | Standard reference number | Title | Referenced in code section number | 
       | ANSI/NSPI-1 2003 | American National Standard for Public Swimming Pools | 3109.3 | 
       | ANSI/NSPI-2 1999 | American National Standard for Public Spas | 3109.3 | 
       | ASTM E329-02 | Standard Specification for Agencies Engaged in the Testing    and/or Inspection of Materials Used in Construction | 1703.1, 1703.1.3 | 
       | NFPA 13-07
 | Installation of Sprinkler Systems
 | 707.2, 903.3.1.1, 903.3.2, 903.3.5.1.1, 903.3.5.2, 904.11,    905.3.4, 907.8, 3104.5, 3104.9
 | 
       | NFPA 13D-07
 | Installation of Sprinkler Systems in One- and Two-Family    Dwellings and Manufactured Homes
 | 903.3.1.3, 903.3.5.1.1
 | 
       | NFPA 13R-07
 | Installation of Sprinkler Systems in Residential    Occupancies Up to and Including Four Stories in Height
 | 903.3.1.2, 903.3.5.1.1, 903.3.5.1.2, 903.4
 | 
       | NFPA 14-07
 | Installation of Standpipe and Hose System
 | 905.2, 905.3.4, 905.4.2, 905.8 
 | 
       | NFPA 70-05
 | National Electrical Code
 | 2701.1
 | 
       | NFPA 72-07
 | National Fuel Alarm Code
 | 901.6, 903.4.1, 904.3.5, 907.2, 907.2.1.1, 907.2.10,    907.2.10.4, 907.2.11.2, 907.2.11.3, 907.2.12.2.3, 907.2.12.3, 907.4, 907.5,    907.9.2, 907.10, 907.14, 907.16, 907.17, 911.1, 3006.5
 | 
       | NFPA 704-07
 | Standard System for the Identification of the Hazards of    Materials for Emergency Response
 | 414.7.2, 415.2 
 | 
  
         
          Part II 
  Rehabilitation 
    13VAC5-63-400. Chapter 1 Administration; Section 101 General. 
    A. Section 101.1 Short title. The Virginia Uniform Statewide  Building Code, Part II, Rehabilitation, may be cited as the Virginia  Rehabilitation Code.
    B. Section 101.2 Incorporation by reference. Chapters 2 - 15  of the 2006 2009 International Existing Building Code, published  by the International Code Council, Inc., are adopted and incorporated by  reference to be an enforceable part of the Virginia Rehabilitation Code. The  term "IEBC" means the 2006 2009 International Existing  Building Code, published by the International Code Council, Inc. Any codes and  standards referenced in the IEBC are also considered to be part of the  incorporation by reference, except that such codes and standards are used only  to the prescribed extent of each such reference.
    C. Section 101.3 Numbering system. A dual numbering system is  used in the Virginia Rehabilitation Code to correlate the numbering system of  the Virginia Administrative Code with the numbering system of the IEBC. IEBC  numbering system designations are provided in the catch-lines of the Virginia  Administrative Code sections and cross references between sections or chapters  of the Virginia Rehabilitation Code use only the IEBC numbering system  designations. The term "chapter" is used in the context of the  numbering system of the IEBC and may mean a chapter in the Virginia  Rehabilitation Code, a chapter in the IEBC or a chapter in a referenced code or  standard, depending on the context of the use of the term. The term  "chapter" is not used to designate a chapter of the Virginia  Administrative Code, unless clearly indicated.
    D. Section 101.4 Arrangement of code provisions. The Virginia  Rehabilitation Code is comprised of the combination of (i) the provisions of  Chapter 1, Administration, which are established herein, (ii) Chapters 2 - 15  of the IEBC, which are incorporated by reference in Section 101.2, and (iii)  the changes to the text of the incorporated chapters of the IEBC that are  specifically identified. The terminology "changes to the text of the  incorporated chapters of the IEBC that are specifically identified" shall  also be referred to as the "state amendments to the IEBC." Such state  amendments to the IEBC are set out using corresponding chapter and section  numbers of the IEBC numbering system. In addition, since Chapter 1 of the IEBC  is not incorporated as part of the Virginia Rehabilitation Code, any reference  to a provision of Chapter 1 of the IEBC in the provisions of Chapters 2 - 15 of  the IEBC is generally invalid. However, where the purpose of such a reference  would clearly correspond to a provision of Chapter 1 established herein, then  the reference may be construed to be a valid reference to such corresponding  Chapter 1 provision.
    E. Section 101.5 Use of terminology and notes. The term  "this code," or "the code," where used in the provisions of  Chapter 1, in Chapters 2 - 15 of the IEBC or in the state amendments to the  IEBC means the Virginia Rehabilitation Code, unless the context clearly  indicates otherwise. The term "this code," or "the code,"  where used in a code or standard referenced in the IEBC means that code or  standard, unless the context clearly indicates otherwise. The term  "USBC" where used in this code means Part I of the Virginia Uniform  Statewide Building Code, also known as the "Virginia Construction  Code," unless the context clearly indicates otherwise. In addition, where  the phrase "of the International Building Code under which the building  was constructed" is used in the IEBC, it shall be construed to mean the  USBC or other code that was in effect when the building was built. Further, the  use of notes in Chapter 1 is to provide information only and shall not be  construed as changing the meaning of any code provision. Notes in the IEBC, in  the codes and standards referenced in the IEBC and in the state amendments to  the IEBC may modify the content of a related provision and shall be considered  to be a valid part of the provision, unless the context clearly indicates  otherwise.
    F. Section 101.6 Order of precedence. The provisions of  Chapter 1 of this code supersede any conflicting provisions of Chapters 2 - 15  of the IEBC and any conflicting provisions of the codes and standards referenced  in the IEBC. In addition, the state amendments to the IEBC supersede any  conflicting provisions of Chapters 2 - 15 of the IEBC and any conflicting  provisions of the codes and standards referenced in the IEBC. Further, the  provisions of Chapters 2 - 15 of the IEBC supersede any conflicting provisions  of the codes and standards referenced in the IEBC.
    G. Section 101.7 Administrative provisions. The provisions of  Chapter 1 establish administrative requirements, which include but are not  limited to provisions relating to the scope and enforcement of the code. Any  provisions of Chapters 2 - 15 of the IEBC or any provisions of the codes and  standards referenced in the IEBC that address the same subject matter to a  lesser or greater extent are deleted and replaced by the provisions of Chapter  1. Further, any administrative requirements contained in the state amendments  to the IEBC shall be given the same precedence as the provisions of Chapter 1.  Notwithstanding the above, where administrative requirements of Chapters 2 - 15  of the IEBC or of the codes and standards referenced in the IEBC are  specifically identified as valid administrative requirements in Chapter 1 of  this code or in the state amendments to the IEBC, then such requirements are  not deleted and replaced.
    Note: The purpose of this provision is to eliminate overlap,  conflicts and duplication by providing a single standard for administrative,  procedural and enforcement requirements of this code.
    H. Section 101.8 Definitions. The definitions of terms used  in this code are contained in Chapter 2 along with specific provisions  addressing the use of definitions. Terms may be defined in other chapters or  provisions of the code and such definitions are also valid.
    13VAC5-63-434. Chapter 7 Alterations -- Level 2. 
    A. Change Section 704.2.1 of the IEBC to read:
    704.2.1 High-rise buildings. In high-rise buildings, work  areas that include either exits or corridors shared by more than one tenant or  exits or corridors that serve an occupant load greater than 30 shall be  provided with automatic sprinkler protection in the entire work area where the  work area is located on a floor that has a sufficient sprinkler water supply  system from an existing standpipe or a sprinkler riser serving that floor.
    B. Change Section 704.2.2 of the IEBC to read:
    704.2.2 Groups A, E, F-1, H, I, M, R-1, R-2, R-4, S-1 and  S-2. In buildings with occupancies in Groups A, E, F-1, H, I, M, R-1, R-2, R-4,  S-1 and S-2, work areas that include either exits or corridors shared by more  than one tenant or exits or corridors that serve an occupant load greater than  30 shall be provided with automatic sprinkler protection where all of the  following conditions occur:
    1. The work area is required to be provided with automatic  sprinkler protection in accordance with the International Building Code as  applicable to new construction;
    2. The work area exceeds 50 percent of the floor area; and
    3. The building has sufficient municipal water supply for  design of a fire sprinkler system available to the floor without installation  of a new fire pump.
    Exception: Work areas in Group R occupancies three stories  or less in height.
    C. Change Section 704.2.3 of the IEBC to read:
    704.2.3 Windowless stories. Work located in a windowless  story, as determined in accordance with the International Building Code, shall  be sprinklered where the work area is required to be sprinklered under the  provisions of the International Building Code for newly constructed buildings  and the building has a sufficient municipal water supply available without  installation of a new fire pump.
    D. Change Section 704.2.4 of the IEBC to read:
    704.2.4 Other required suppression systems. In buildings  and areas listed in Table 903.2.13 of the International Building Code, work  areas that include either exits or corridors shared by more than one tenant or  exit or corridors serving an occupant load greater than 30 shall be provided  with sprinkler protection under the following conditions:
    1. The work area is required to be provided with automatic  sprinkler protection in accordance with the International Building Code  applicable to new construction; and
    2. The building has sufficient municipal water supply for  design of a fire sprinkler system available to the floor without installation  of a new fire pump.
    E. Change Section 704.2.5 of the IEBC to read:
    704.2.5 Supervision. Fire sprinkler systems required by  this section shall be supervised by one of the following methods:
    1. Approved central station system in accordance with NFPA  72;
    2. Approved proprietary system in accordance with NFPA 72; 
    3. Approved remote station system of the jurisdiction in  accordance with NFPA 72 ; or 
    4. When approved by the code official, approved local alarm  service that will cause the sounding of an alarm in accordance with NFPA 72.
    Exception: Supervision is not required for the following:
    1. Underground gate valve with roadway boxes.
    2. Halogenated extinguishing systems.
    3. Carbon dioxide extinguishing systems.
    4. Dry and wet chemical extinguishing systems.
    5. Automatic sprinkler systems installed in accordance with  NFPA 13R where a common supply main is used to supply both domestic and  automatic sprinkler systems and a separate shutoff valve for the automatic  sprinkler system is not provided.
    F. A. Change Exception 2 of Section 705.2 to  read:
    2. Means of egress conforming to the requirements of the International  Building Code building code under which the building was constructed  shall be considered compliant means of egress.
    G. B. Change Item 7 of Section 705.3.1.1 of the  IEBC to read:
    7. In Group R-2, H-4, H-5 and I occupancies and in rooming  houses and childcare centers, a single exit is permitted in a one-story  building with a maximum occupant load of 10 and the exit access travel distance  does not exceed 75 feet (22 860 mm). In dwelling units within Group R-2  buildings, an occupant load of 12 shall be permitted to be substituted for the  occupant load established above and, in addition, staff of such family day  homes shall not be counted for the purposes of establishing occupant loads.
    13VAC5-63-436. Chapter 8 Alterations -- Level 3. (Repealed.)
    A. Change Section 804.1 of the IEBC to read:
    804.1 Automatic sprinkler systems. Automatic sprinkler  systems shall be provided in all work areas when required by Section 704.2 or  by this section.
    B. Change Section 804.1.2 of the IEBC to read:
    804.1.2 Rubbish and linen chutes. Rubbish and linen chutes  located in the work area shall be provided with sprinkler protection where  protection or other approved fire suppression systems of the rubbish or linen  chute would be required under the provisions of the International Building Code  for new construction.
    13VAC5-63-437. Chapter 9 Change of occupancy. (Repealed.)
    Change Exception 4 of Section 912.4.1 of the IEBC to read:  
    4. Existing corridor walls constructed on both sides of  wood lath and plaster in good condition or 1/2-inch-thick (12.7 mm) gypsum  wallboard shall be permitted. Such walls shall either terminate at the  underside of a ceiling of equivalent construction or shall extend to the underside  of the floor or roof next above. 
    13VAC5-63-440. Chapter 13 Performance compliance methods. 
    A. Change Section 1301.2 of the IEBC to read: 
    1301.2 Applicability. Work involving rehabilitation,  additions, alterations or changes of occupancy shall be made to conform to the  requirements of this chapter or the provisions of Chapters 4 through 12. The  provisions in Sections 1301.2.1 through 1301.2.5 shall apply to existing  occupancies that will continue to be, or are proposed to be, in Groups A, B, E,  F, M, R, S and U. These provisions shall not apply to buildings with  occupancies in Group H or I. 
    B. Add an exception to Section 1301.2.1 of the IEBC to read: 
    Exception: Plumbing, mechanical and electrical systems in  buildings undergoing a change of occupancy shall be subject to any applicable  requirements of Section 103.3 of the Virginia Construction Code. 
    C. Change Section 1301.2.5  of the IEBC to read: 
    1301.2.5 Accessibility requirements. All portions of the  buildings proposed for change of occupancy and all alterations to existing  buildings shall conform to the applicable accessibility provisions of Section  310. 
    Part III 
  Maintenance 
    13VAC5-63-450. Chapter 1 Administration; Section 101 General. 
    A. Section 101.1 Short title. The Virginia Uniform Statewide  Building Code, Part III, Maintenance, may be cited as the Virginia Maintenance  Code.
    B. Section 101.2 Incorporation by reference. Chapters 2 - 8  of the 2006 2009 International Property Maintenance Code,  published by the International Code Council, Inc., are adopted and incorporated  by reference to be an enforceable part of the Virginia Maintenance Code. The  term "IPMC" means the 2006 2009 International Property  Maintenance Code, published by the International Code Council, Inc. Any codes  and standards referenced in the IPMC are also considered to be part of the  incorporation by reference, except that such codes and standards are used only  to the prescribed extent of each such reference.
    C. Section 101.3 Numbering system. A dual numbering system is  used in the Virginia Maintenance Code to correlate the numbering system of the  Virginia Administrative Code with the numbering system of the IPMC. IPMC  numbering system designations are provided in the catch-lines of the Virginia  Administrative Code sections and cross references between sections or chapters  of the Virginia Maintenance Code use only the IPMC numbering system  designations. The term "chapter" is used in the context of the  numbering system of the IPMC and may mean a chapter in the Virginia Maintenance  Code, a chapter in the IPMC or a chapter in a referenced code or standard,  depending on the context of the use of the term. The term "chapter"  is not used to designate a chapter of the Virginia Administrative Code, unless  clearly indicated.
    D. Section 101.4 Arrangement of code provisions. The Virginia  Maintenance Code is comprised of the combination of (i) the provisions of  Chapter 1, Administration, which are established herein, (ii) Chapters 2 - 8 of  the IPMC, which are incorporated by reference in Section 101.2, and (iii) the  changes to the text of the incorporated chapters of the IPMC which are  specifically identified. The terminology "changes to the text of the  incorporated chapters of the IPMC which are specifically identified" shall  also be referred to as the "state amendments to the IPMC." Such state  amendments to the IPMC are set out using corresponding chapter and section  numbers of the IPMC numbering system. In addition, since Chapter 1 of the IPMC  is not incorporated as part of the Virginia Maintenance Code, any reference to  a provision of Chapter 1 of the IPMC in the provisions of Chapters 2 - 8 of the  IPMC is generally invalid. However, where the purpose of such a reference would  clearly correspond to a provision of Chapter 1 established herein, then the  reference may be construed to be a valid reference to such corresponding  Chapter 1 provision.
    E. Section 101.5 Use of terminology and notes. The term  "this code," or "the code," where used in the provisions of  Chapter 1, in Chapters 2 - 8 of the IPMC or in the state amendments to the IPMC  means the Virginia Maintenance Code, unless the context clearly indicates  otherwise. The term "this code," or "the code," where used  in a code or standard referenced in the IPMC means that code or standard,  unless the context clearly indicates otherwise. The term "USBC" where  used in this code means Part I of the Virginia Uniform Statewide Building Code,  also known as the "Virginia Construction Code," unless the context  clearly indicates otherwise. In addition, the use of notes in Chapter 1 is to  provide information only and shall not be construed as changing the meaning of  any code provision. Notes in the IPMC, in the codes and standards referenced in  the IPMC and in the state amendments to the IPMC may modify the content of a  related provision and shall be considered to be a valid part of the provision,  unless the context clearly indicates otherwise.
    F. Section 101.6 Order of precedence. The provisions of  Chapter 1 of this code supersede any conflicting provisions of Chapters 2 - 8  of the IPMC and any conflicting provisions of the codes and standards  referenced in the IPMC. In addition, the state amendments to the IPMC supersede  any conflicting provisions of Chapters 2 - 8 of the IPMC and any conflicting  provisions of the codes and standards referenced in the IPMC. Further, the  provisions of Chapters 2 - 8 of the IPMC supersede any conflicting provisions  of the codes and standards referenced in the IPMC.
    G. Section 101.7 Administrative provisions. The provisions of  Chapter 1 establish administrative requirements, which include but are not  limited to provisions relating to the scope of the code, enforcement, fees,  permits, inspections and disputes. Any provisions of Chapters 2 - 8 of the IPMC  or any provisions of the codes and standards referenced in the IPMC which  address the same subject matter to a lesser or greater extent are deleted and  replaced by the provisions of Chapter 1. Further, any administrative  requirements contained in the state amendments to the IPMC shall be given the  same precedence as the provisions of Chapter 1. Notwithstanding the above,  where administrative requirements of Chapters 2 - 8 of the IPMC or of the codes  and standards referenced in the IPMC are specifically identified as valid  administrative requirements in Chapter 1 of this code or in the state  amendments to the IPMC, then such requirements are not deleted and replaced.
    Note: The purpose of this provision is to eliminate overlap,  conflicts and duplication by providing a single standard for administrative,  procedural and enforcement requirements of this code.
    H. Section 101.8 Definitions. The definitions of terms used  in this code are contained in Chapter 2 along with specific provisions  addressing the use of definitions. Terms may be defined in other chapters or  provisions of the code and such definitions are also valid.
    Note: The order of precedence outlined in Section 101.6 may  be determinative in establishing how to apply the definitions in the IPMC and  in the referenced codes and standards.
    13VAC5-63-480. Section 104 Enforcement, generally.
    A. Section 104.1 Scope of enforcement. In This  section establishes the requirements for enforcement of this code in  accordance with § 36-105 of the Code of Virginia, the. The  local governing body may also inspect and enforce the provisions of the USBC  for existing buildings and structures, whether occupied or not. Such inspection  and enforcement shall be carried out by an agency or department designated by  the local governing body.
    If the local building department receives a complaint that  a violation of this code exists that is an immediate and imminent threat to the  health or safety of the owner or tenant of a residential dwelling unit or a  nearby residential dwelling unit, and the owner or tenant of the residential  dwelling unit that is the subject of the complaint has refused to allow the  code official or his agent to have access to the subject dwelling, the code  official or his agent may present sworn testimony to a court of competent  jurisdiction and request that the court grant the code official or his agent an  inspection warrant to enable the code official or his agent to enter the  subject dwelling for the purpose of determining whether violations of this code  exist. The code official or his agent shall make a reasonable effort to obtain  consent from the owner or tenant of the subject dwelling prior to seeking the  issuance of an inspection warrant under this section.
    Note: Generally, official action must be taken by the local  government to enforce the Virginia Maintenance Code. Consultation with the  legal counsel of the jurisdiction when initiating or changing such action is  advised.
    B. Section 104.1.1 Transfer of ownership. If In  accordance with § 36-105 of the Code of Virginia, if the local building  department has initiated an enforcement action against the owner of a building  or structure and such owner subsequently transfers the ownership of the  building or structure to an entity in which the owner holds an ownership  interest greater than 50%, the pending enforcement action shall continue to be  enforced against the owner.
    C. Section 104.2 Fees. In accordance with § 36-105 of  the Code of Virginia, fees may be levied by the local governing body in order  to defray the cost of enforcement and appeals.
    D. Section 104.3 State buildings. In accordance with  § 36-98.1 of the Code of Virginia, this code shall be applicable to  state-owned buildings and structures. Acting through the Division of  Engineering and Buildings, the Department of General Services shall function as  the building official for state-owned buildings.
    E. Section 104.3.1 Certification of state enforcement  personnel. State enforcement personnel shall comply with the applicable  requirements of Sections 104.4.2 through 104.4.4 for certification, periodic  maintenance training, and continuing education.
    E. F. Section 104.4 Local enforcing agency. In  jurisdictions enforcing this code, the local governing body shall designate the  agency within the local government responsible for such enforcement and appoint  a code official. The local governing body may also utilize technical assistants  to assist the code official in the enforcement of this code. A permanently  appointed code official shall not be removed from office except for cause after  having been afforded a full opportunity to be heard on specific and relevant  charges by and before the appointing authority. DHCD shall be notified by the  appointing authority within 30 days of the appointment or release of a  permanent or acting code official and within 60 days after retaining or  terminating a technical assistant.
    Note: Code officials and technical assistants are subject to  sanctions in accordance with the VCS.
    F. G. Section 104.4.1 Qualifications of code  official and technical assistants. The code official shall have at least five  years of building experience as a licensed professional engineer or architect,  building, fire or trade inspector, contractor, housing inspector or  superintendent of building, fire or trade construction or at lease five years  of building experience after obtaining a degree in architecture or engineering,  with at least three years in responsible charge of work. Any combination of  education and experience that would confer equivalent knowledge and ability  shall be deemed to satisfy this requirement. The code official shall have  general knowledge of sound engineering practice in respect to the design and  construction of structures, the basic principles of fire prevention, the  accepted requirements for means of egress and the installation of elevators and  other service equipment necessary for the health, safety and general welfare of  the occupants and the public. The local governing body may establish additional  qualification requirements.
    A technical assistant shall have at least three years of  experience and general knowledge in at least one of the following areas:  building construction, building, fire or housing inspections, plumbing,  electrical or mechanical trades, fire protection, elevators or property  maintenance work. Any combination of education and experience which would  confer equivalent knowledge and ability shall be deemed to satisfy this  requirement. The locality may establish additional certification requirements.
    G. H. Section 104.4.2 Certification of code  official and technical assistants. An acting or permanent code official shall  be certified as a code official in accordance with the VCS within one year  after being appointed as acting or permanent code official. A technical  assistant shall be certified in the appropriate subject area within 18 months  after becoming a technical assistant. When required by a locality to have two  or more certifications, a technical assistant shall obtain the additional  certifications within three years from the date of such requirement.
    Exception: A code official or technical assistant in place  prior to April 1, 1995, shall not be required to meet the certification  requirements in this section while continuing to serve in the same capacity in  the same locality.
    H. I. Section 104.4.3 Noncertified code  official. Except for a code official exempt from certification under the  exception to Section 104.4.2, any acting or permanent code official who is not  certified as a code official in accordance with the VCS shall attend the core  module of the Virginia Building Code Academy or an equivalent course in an  individual or regional code academy accredited by DHCD within 180 days of  appointment. This requirement is in addition to meeting the certification  requirement in Section 104.4.2.
    I. J. Section 104.4.4 Continuing Requirements  for periodic maintenance training and education requirements. Code  officials and technical assistants shall attend 16 hours every two years of  continuing education and periodic maintenance training courses  approved or required as designated by DHCD. Additional In  addition to the periodic maintenance training required above, code officials  and technical assistants shall attend 16 hours of continuing education hours  shall not be required if more than one every two years as approved by  DHCD. If a code official or technical assistant possesses more than one BHCD  certificate is held, the 16 hours shall satisfy the continuing  education requirement for all BHCD certificates. 
    J. K. Section 104.4.5 Conflict of interest. The  standards of conduct for code officials and technical assistants shall be in  accordance with the provisions of the State and Local Government Conflict of  Interests Act, Chapter 31 (§ 2.2-3100 et seq.) of Title 2.2 of the Code of  Virginia.
    K. L. Section 104.4.6 Records. The local  enforcing agency shall retain a record of applications received, permits,  certificates, notices and orders issued, fees collected and reports of  inspections in accordance with The Library of Virginia's General Schedule  Number Six.
    L. M. Section 104.5 Powers and duties,  generally. The code official shall enforce this code as set out herein and as  interpreted by the State Review Board and shall issue all necessary notices or  orders to ensure compliance with the code.
    M. N. Section 104.5.1 Delegation of authority.  The code official may delegate powers and duties except where such authority is  limited by the local government. When such delegations are made, the code  official shall be responsible for assuring that they are carried out in  accordance with the provisions of this code.
    N. O. Section 104.5.2 Issuance of  modifications. Upon written application by an owner or an owner's agent, the  code official may approve a modification of any provision of this code provided  the spirit and intent of the code are observed and public health, welfare and  safety are assured. The decision of the code official concerning a modification  shall be made in writing and the application for a modification and the  decision of the code official concerning such modification shall be retained in  the permanent records of the local enforcing agency.
    O. P. Section 104.5.2.1 Substantiation of  modification. The code official may require or may consider a statement from a  professional engineer, architect or other person competent in the subject area  of the application as to the equivalency of the proposed modification.
    P. Q. Section 104.5.3 Inspections. The code  official may inspect buildings or structures to determine compliance with this  code and shall carry proper credentials when performing such inspections.
    Q. R. Section 104.5.4 Notices, reports and  orders. Upon findings by the code official that violations of this code exist,  the code official shall issue a correction notice or notice of violation to the  owner or the person responsible for the maintenance of the structure. Work done  to correct violations of this code subject to the permit, inspection and  approval provisions of the Virginia Construction Code shall not be construed as  authorization to extend the time limits established for compliance with this  code. 
    R. S. Section 104.5.4.1 Correction notice. The  correction notice shall be a written notice of the defective conditions. The  correction notice shall require correction of the violation or violations  within a reasonable time unless an emergency condition exists as provided under  the unsafe building provisions of Section 105. Upon request, the correction  notice shall reference the code section that serves as the basis for the  defects and shall state that such defects shall be corrected and reinspected in  a reasonable time designated by the code official.
    S. T. Section 104.5.4.2 Notice of violation. If  the code official determines there are violations of this code other than those  for unsafe structures, unsafe equipment or structures unfit for human occupancy  under Section 105, the code official may issue a notice of violation to be  communicated promptly in writing to the owner or the person responsible for the  maintenance or use of the building or structure in lieu of a correction notice  as provided for in Section 104.5.4.1. In addition, the code official shall  issue a notice of violation for any uncorrected violation remaining from a  correction notice established in Section 104.5.4.1. A notice of violation shall  be issued by the code official before initiating legal proceedings unless the  conditions violate the unsafe building conditions of Section 105 and the  provisions established therein are followed. The code official shall provide  the section numbers to the owner for any code provision cited in the notice of  violation. The notice shall require correction of the violation or violations  within a reasonable time unless an emergency condition exists as provided under  the building provisions of Section 105. The owner or person to whom the notice  of violation has been issued shall be responsible for contacting the code  official within the time frame established for any reinspections to assure the  violations have been corrected. The code official will be responsible for  making such inspection and verifying the violations have been corrected. In  addition, the notice of violation shall indicate the right of appeal by  referencing the appeals section of this code.
    T. U. Section 104.5.5 Coordination of  inspections. The code official shall coordinate inspections and administrative  orders with any other state or local agencies having related inspection  authority and shall coordinate those inspections required by the Virginia  Statewide Fire Prevention Code (13VAC5-51) for maintenance of fire protection  devices, equipment and assemblies so that the owners and occupants will not be  subjected to numerous inspections or conflicting orders.
    Note: The Fire Prevention Code requires the fire official to  coordinate such inspections with the code official.
    U. V. Section 104.5.6 Further action when  violation not corrected. If the responsible party has not complied with the  notice of violation, the code official shall submit a written request to the  legal counsel of the locality to institute the appropriate legal proceedings to  restrain, correct or abate the violation or to require the removal or  termination of the use of the building or structure involved. In cases where  the locality so authorizes, the code official may issue or obtain a summons or  warrant.
    V. W. Section 104.5.7 Penalties and abatement.  Penalties for violations of this code shall be as set out in § 36-106 of the  Code of Virginia. The successful prosecution of a violation of the code shall  not preclude the institution of appropriate legal action to require correction  or abatement of a violation.
    13VAC5-63-500. Section 106 Appeals. 
    A. Section 106.1 Establishment of appeals board. In  accordance with § 36-105 of the Code of Virginia, there shall be established  within each local enforcing agency a LBBCA. Whenever a county or a municipality  does not have such a LBBCA, the local governing body shall enter into an  agreement with the local governing body of another county or municipality or  with some other agency, or a state agency approved by DHCD for such appeals  resulting therefrom. Fees may be levied by the local governing body in order to  defray the cost of such appeals. The LBBCA for hearing appeals under the  Virginia Construction Code shall be permitted to serve as the appeals board  required by this section.
    B. Section 106.2 Membership of board. The LBBCA shall consist  of at least five members appointed by the locality for a specific term of  office established by written policy. Alternate members may be appointed to  serve in the absence of any regular members and as such, shall have the full  power and authority of the regular members. Regular and alternate members may  be reappointed. Written records of current membership, including a record of  the current chairman and secretary shall be maintained in the office of the  locality. In order to provide continuity, the terms of the members may be of  different length so that less than half will expire in any one-year period. The  LBBCA shall meet at least once annually to assure a duly constituted board,  appoint officers as necessary and receive such training on the code as may be  appropriate or necessary from staff of the locality. 
    C. Section 106.3 Officers and qualifications of members. The  LBBCA shall annually select one of its regular members to serve as chairman.  When the chairman is not present at an appeal hearing, the members present  shall select an acting chairman. The locality or the chief executive officer of  the locality shall appoint a secretary to the LBBCA to maintain a detailed  record of all proceedings. Members of the LBBCA shall be selected by the  locality on the basis of their ability to render fair and competent decisions  regarding application of the USBC and shall to the extent possible, represent  different occupational or professional fields relating to the construction  industry. At least one member should be an experienced builder; at least one  member should be an RDP, and at least one member should be an experienced  property manager. Employees or officials of the locality shall not serve as  members of the LBBCA.
    D. Section 106.4 Conduct of members. No member shall hear an  appeal in which that member has a conflict of interest in accordance with the  State and Local Government Conflict of Interests Act (§ 2.2-3100 et seq. of the  Code of Virginia). Members shall not discuss the substance of an appeal with  any other party or their representatives prior to any hearings.
    E. Section 106.5 Right of appeal; filing of appeal  application. The owner of a building or structure, the owner's agent or any  other person involved in the use of a building or structure may appeal a  decision of the code official concerning the application of the this code to  such building or structure and may also appeal a refusal by the code official  to grant a modification to the provisions of this code pertaining to such  building or structure. The applicant shall submit a written request for appeal  to the LBBCA within 14 calendar days of the receipt of the decision being  appealed. The application shall contain the name and address of the owner of  the building or structure and, in addition, the name and address of the person  appealing, when the applicant is not the owner. A copy of the code official's  decision shall be submitted along with the application for appeal and maintained  as part of the record. The application shall be marked by the LBBCA to indicate  the date received. Failure to submit an application for appeal within the time  limit established by this section shall constitute acceptance of a code  official's decision.
    F. Section 106.6 Meetings and postponements. The LBBCA shall  meet within 30 calendar days after the date of receipt of the application for  appeal, except that a longer time period shall be permitted if agreed to by all  the parties involved in the appeal. A notice indicating the time and place of  the hearing shall be sent to the parties in writing to the addresses listed on  the application at least 14 calendar days prior to the date of the hearing,  except that a lesser time period shall be permitted if agreed to by all the  parties involved in the appeal. When a quorum of the LBBCA is not present at a  hearing to hear an appeal, any party involved in the appeal shall have the  right to request a postponement of the hearing. The LBBCA shall reschedule the  appeal within 30 calendar days of the postponement, except that a longer time  period shall be permitted if agreed to by all the parties involved in the  appeal.
    G. Section 106.7 Hearings and decision. All hearings before  the LBBCA shall be open meetings and the appellant, the appellant's  representative, the locality's representative and any person whose interests  are affected by the code official's decision in question shall be given an  opportunity to be heard. The chairman shall have the power and duty to direct  the hearing, rule upon the acceptance of evidence and oversee the record of all  proceedings. The LBBCA shall have the power to uphold, reverse or modify the  decision of the official by a concurring vote of a majority of those present.  Decisions of the LBBCA shall be final if no further appeal is made. The  decision of the LBBCA shall be by resolution signed by the chairman and  retained as part of the record of the appeal. Copies of the resolution shall be  sent to all parties by certified mail. In addition, the resolution shall  contain the following wording:
    "Any person who was a party to the appeal may appeal to  the State Review Board by submitting an application to such Board within 21  calendar days upon receipt by certified mail of this resolution. Application  forms are available from the Office of the State Review Board, 501 North  Second 600 East Main Street, Richmond, Virginia 23219, (804)  371-7150."
    H. Section 106.8 Appeals to the State Review Board. After  final determination by the LBBCA in an appeal, any person who was a party to  the appeal may further appeal to the State Review Board. In accordance with § 36-98.2 of the Code of Virginia for state-owned buildings and structures,  appeals by an involved state agency from the decision of the code official for  state-owned buildings or structures shall be made directly to the State Review  Board. The application for appeal shall be made to the State Review Board  within 21 calendar days of the receipt of the decision to be appealed. Failure  to submit an application within that time limit shall constitute an acceptance  of the code official's decision. For appeals from a LBBCA, a copy of the code  official's decision and the resolution of the LBBCA shall be submitted with the  application for appeal to the State Review Board. Upon request by the Office of  the State Review Board, the LBBCA shall submit a copy of all pertinent  information from the record of the appeal. In the case of appeals involving  state-owned buildings or structures, the involved state agency shall submit a  copy of the code official's decision and other relevant information with the  application for appeal to the State Review Board. Procedures of the State  Review Board are in accordance with Article 2 (§ 36-108 et seq.) of Chapter 6  of Title 36 of the Code of Virginia. Decisions of the State Review Board shall  be final if no further appeal is made.
    13VAC5-63-520. Chapter 3 General requirements. 
    A. Delete Section 302.1 of the IPMC. 
    B. Change Section 302.2 of the IPMC to read: 
    302.2 Grading and drainage. All premises shall be graded and  maintained to protect the foundation walls or slab of the structure from the  accumulation and drainage of surface or stagnant water in accordance with the  Virginia Construction Code. 
    C. Change Section 302.3 of the IPMC to read: 
    Sidewalks and driveways. All sidewalks, walkways, stairs,  driveways, parking spaces and similar spaces regulated under the Virginia  Construction Code shall be kept in a proper state of repair, and maintained  free from hazardous conditions. Stairs shall comply with the requirements of  Sections 305 and 702. 
    D. Delete Section 302.4 of the IPMC. 
    E. Change Section 302.5 of the IPMC to read: 
    302.5 Rodent harborage. All structures and adjacent premises  shall be kept free from rodent harborage and infestation where such harborage  or infestation adversely affects the structures. 
    F. Delete Sections 302.8 and 302.9 of the IPMC. 
    G. Change Section 304.7 of the IPMC to read: 
    304.7 Roofs and drainage. The roof and flashing shall be  sound, tight and not have defects that admit rain. Roof drainage shall be  adequate to prevent dampness or deterioration in the walls or interior portion  of the structure. Roof drains, gutters and downspouts shall be maintained in  good repair and free from obstructions. Roof water shall be discharged in a  manner to protect the foundation or slab of buildings and structures from the  accumulation of roof drainage. 
    H. Change Section 304.14 of the IPMC to read: 
    304.14 Insect screens. During the period from April 1 to  December 1, every door, window and other outside opening required for  ventilation of habitable rooms, food preparation areas, food service areas or  any areas where products to be included or utilized in food for human  consumption are processed, manufactured, packaged or stored, shall be supplied  with approved tightly fitting screens of not less than 16 mesh per inch (16  mesh per 25 mm) and every screen door used for insect control shall have a  self-closing device in good working condition. 
    Exception: Screens shall not be required where other approved  means, such as mechanical ventilation, air curtains or insect repellant fans,  are used. 
    I. Delete Sections 304.18, 304.18.1, 304.18.2 and 304.18.3 of  the IPMC. 
    J. Add Section 305.7 to the IPMC to read: 
    305.7 Lead-based paint. Interior and exterior painted surfaces  of dwellings and child care facilities, including fences and outbuildings, that  contain lead levels equal to or greater than 1.0 milligram per square  centimeter or in excess of 0.50% lead by weight shall be maintained in a  condition free from peeling, chipping and flaking paint or removed or covered  in an approved manner. Any surface to be covered shall first be identified by  approved warning as to the lead content of such surface. 
    K. Change Section 307.1 308.1 of the IPMC to  read as follows and delete the remaining provisions of Section 307 308:  
    307.1 308.1 Accumulation of rubbish and garbage.  The interior of every structure shall be free from excessive accumulation of  rubbish or garbage. 
    L. Change Section 308.1 309.1 of the IPMC to  read: 
    308.1 309.1 Infestation. This section shall  apply to the extent that insect and rodent infestation adversely affects a  structure. All structures shall be kept free from insect and rodent  infestation. All structures in which insects or rodents are found shall be  promptly exterminated by approved processes that will not be injurious to human  health. After extermination, proper precautions shall be taken to prevent  reinfestation. 
    13VAC5-63-530. Chapter 5 Plumbing facilities and fixture  requirements. 
    A. Add Section 505.5 to the IPMC to read: 
    505.5 Inspection and testing of backflow prevention  assemblies. Inspection and testing shall comply with Sections 505.5.1 and  505.5.2. 
    B. Add Section 505.5.1 to the IPMC to read: 
    505.5.1 Inspections. Inspections shall be made of all backflow  prevention assemblies and air gaps to determine whether they are operable. 
    C. Add Section 505.5.2 to the IMPC to read: 
    505.5.2 Testing. Reduced pressure principle backflow preventer  assemblies, double check-valve assemblies, double-detector check valve  assemblies and pressure vacuum breaker assemblies shall be tested at the time  of installation, immediately after repairs or relocation and at least annually.  The testing procedure shall be performed in accordance with one of the  following standards: ASSE 5010-1013-1, Sections 1 and 2; ASSE 5010-1015-1,  Sections 1 and 2; ASSE 5010-1015-2; ASSE 5010-1015-3, Sections 1 and 2; ASSE  5010-1015-4, Sections 1 and 2; ASSE 5010-1020-1, Sections 1 and 2; ASSE 5010-1047-1,  Sections 1, 2, 3 and 4; ASSE 5010-1048-1, Sections 1, 2, 3 and 4; ASSE  5010-1048-2; ASSE 5010-1048-3, Sections 1, 2, 3 and 4; ASSE 5010-1048-4,  Sections 1, 2, 3 and 4; or CAN/CSA B64.10. 
    D. Change Section 506.3 of the IPMC to read: 
    506.3 Grease interceptors. Grease interceptors, grease  traps, and automatic grease removal devices shall be maintained in accordance  with this code and the manufacturer's installation instructions. Grease  interceptors, grease traps, and automatic grease removal devices shall be  regularly serviced and cleaned to prevent the discharge of oil, grease, and  other substances harmful or hazardous to the building drainage system, the  public sewer, the private sewage disposal system, or the sewage treatment plant  or processes. All records of maintenance, cleaning, and repairs shall be  available for inspection by the code official. 
    D. E. Change Section 507.1 of the IPMC to read:  
    507.1 General. Drainage of roofs and paved areas, yards and  courts, and other open areas on the premises shall be discharged in a manner to  protect the buildings and structures from the accumulation of overland water  runoff. 
    13VAC5-63-540. Chapter 6 Mechanical and electrical  requirements. 
    A. Change Section 602 of the IPMC to read: 
    Section 602 Heating and Cooling Facilities. 
    B. Change Section 602.1 of the IPMC to read: 
    602.1 Facilities required. Heating and cooling facilities  shall be maintained and operated in structures as required by this section. 
    C. Change Section 602.2 of the IPMC to read: 
    602.2 Heat supply. Every owner and operator of any building  who rents, leases or lets one or more dwelling unit, rooming unit, dormitory or  guestroom on terms, either expressed or implied, to furnish heat to the  occupants thereof shall supply heat during the period from October 15 to May 1  to maintain a temperature of not less than 65°F (18°C) in all habitable rooms,  bathrooms, and toilet rooms. 
    Exception: When the outdoor temperature is below the winter  outdoor design temperature for the locality, maintenance of the minimum room  temperature shall not be required provided that the heating system is operating  at its full design capacity. The winter outdoor design temperature for the  locality shall be as indicated in Appendix D of the International Plumbing Code.  
    D. Add Section 602.2.1 to the IPMC to read: 
    602.2.1 Prohibited use. In dwelling units subject to Section  602.2, one or more unvented room heaters shall not be used as the sole source  of comfort heat in a dwelling unit. 
    E. Change Section 602.3 of the IPMC to read: 
    602.3 Occupiable work spaces. Indoor occupiable work spaces  shall be supplied with heat during the period from October 1 to May 15 to  maintain a temperature of not less than 65°F (18°C) during the period the  spaces are occupied. 
    Exceptions: 
    1. Processing, storage and operation areas that require  cooling or special temperature conditions. 
    2. Areas in which persons are primarily engaged in vigorous  physical activities. 
    F. Change Section 602.4 of the IPMC to read: 
    602.4 Cooling supply. Every owner and operator of a Group R-2  apartment building who rents, leases or lets one or more dwelling units,  rooming units or guestrooms on terms, either expressed or implied, to furnish  cooling to the occupants thereof shall supply cooling during the period from  May 15 to October 1 to maintain a temperature of not more than 80°F (27°C) in  all habitable rooms. 
    Exception: When the outdoor temperature is higher than the  summer design temperature for the locality, maintenance of the room temperature  shall not be required provided that the cooling system is operating at its full  design capacity. The summer outdoor design temperature for the locality shall  be as indicated in the International Energy Conservation Code. 
    G. Change the exception to Section 604.3.1.1 of the IPMC  to read: 
    Exception: The following equipment shall be allowed to be  repaired or reused where an inspection report from the equipment manufacturer,  an approved representative of the equipment manufacturer, a third party  licensed or certified electrician, or an electrical engineer indicates that the  exposed equipment has not sustained damage that requires replacement: 
    1. Enclosed switches, rated 600 volts or less; 
    2. Busway, rated 600 volts or less; 
    3. Panelboards, rated 600 volts or less; 
    4. Switchboards, rated 600 volts or less; 
    5. Fire pump controllers, rated 600 volts or less; 
    6. Manual and magnetic motor controllers; 
    7. Motor control centers; 
    8. Alternating current high-voltage circuit breakers; 
    9. Low-voltage power circuit breakers; 
    10. Protective relays, meters and current transformers; 
    11. Low- and medium-voltage switchgear; 
    12. Liquid-filled transformers; 
    13. Cast-resin transformers; 
    14. Wire or cable that is suitable for wet locations and  whose ends have not been exposed to water; 
    15. Wire or cable, not containing fillers, that is suitable  for wet locations and whose ends have not been exposed to water; 
    16. Luminaires that are listed as submersible; 
    17. Motors; 
    18. Electronic control, signaling and communication  equipment. 
    G. Add H. Change Section 606.3 606.1  to the IPMC to read: 
    606.3 Inspection standard 606.1 General. Elevators,  dumbwaiters and escalators shall be maintained in compliance with ASME A17.1.  The most current certificate of inspection shall be on display at all times  within the elevator or attached to the escalator or dumbwaiter, be available  for public inspection in the office of the building operator or be posted in a  publicly conspicuous location approved by the code official. An annual  periodic inspection and test is required of elevators and escalators. A  locality shall be permitted to require a six-month periodic inspection and  test. All periodic inspections shall be performed in accordance with Section  8.11 of ASME A17.1. The code official may also provide for such inspection by  an approved agency or through agreement with other local certified elevator  inspectors. An approved agency includes any individual, partnership or  corporation who has met the certification requirements established by the VCS. 
    DOCUMENTS INCORPORATED BY REFERENCE (13VAC5-63) 
    International Building Code - 2006 2009  Edition, International Code Council, Inc., 500 New Jersey Avenue, NW, 6th  Floor, Washington, DC 20001-2070.
    International Existing Building Code - 2006 2009  Edition, International Code Council, Inc.
    International Property Maintenance Code - 2006 2009  Edition, International Code Council, Inc.
    ACI 318 - 05, Building Code Requirements for Structural  Concrete, American Concrete Institute, 38800 Country Club Drive, Farmington Hills,  MI 48333.
    ACI 332 - 04, Requirements for Residential Concrete  Construction, American Concrete Institute, 38800 Country Club Drive, Farmington  Hills, MI 48333.
    ACI 530/ASCE 5/TMS 402 - 05, Specifications for Masonry  Structures, American Concrete Institute, 38800 Country Club Drive, Farmington  Hills, MI 48333; American Society of Civil Engineers, 1801 Alexander Bell  Drive, Reston, VA 20191; or The Masonry Society, 3970 Broadway, Suite 201-D,  Boulder, CO 80304.
    ANSI/NSPI-1 2003, American National Standard for Public  Swimming Pools, National Spa and Pool Institute, 2111 Eisenhower Avenue,  Alexandria, VA 22314.
    ANSI/NSPI-2 1999, American National Standard for Public Spas,  National Spa and Pool Institute, 2111 Eisenhower Avenue, Alexandria, VA 22314.
    ASTM E329-02, Standard Specification for Agencies Engaged in  the Testing and/or Inspection of Materials Used in Construction, American  Society of Testing Materials International, 100 Barr Harbor Dr., P.O. Box C700,  West Conshocken, PA 19428-2959.
    ASTM D1557-00, Standard Test Methods for Laboratory  Compaction Characteristics of Soil Using Modified Effort (56,000 ft-lbf/ft3(2,700  kN-m/m3)), ASTM International.
    ASTM E90-90, Standard Test Method for Laboratory Measurement  of Airborne Sound Transmission Loss of Building Partitions, ASTM International.
    CAN/CSA-B64.10-01, Manual for the Selection and Installation  of Backflow Prevention Devices/Manual for the Maintenance and Field Testing of  Backflow Prevention Devices, June 2003, National Standards of Canada.
    ASME A117.1-2007, Safety Code for Elevators and  Escalators, American Society of Mechanical Engineers, Three Park Avenue, New  York, NY 10016-5990.
    ASME A90.1-97, Safety Standard for Belt Manlifts, American  Society of Mechanical Engineers, Three Park Avenue, New York, NY 10016-5990.
    ASME B20.1-00, Safety Standard for Conveyors and Related  Equipment, American Society of Mechanical Engineers, Three Park Avenue, New  York, NY 10016-5990.
    ASSE 1010-98, Performance Requirements for Water Hammer  Arrestors, American Society of Sanitary Engineering, 901 Canterbury Road, Suite  A, Westlake, OH 44145.
    ASSE 5010-1013-1, Field Test Procedure for a Reduced Pressure  Principle Assembly Using a Differential Pressure Gauge, 1991, American Society  of Sanitary Engineering.
    ASSE 5010-1015-1, Field Test Procedure for a Double Check  Valve Assembly Using a Duplex Gauge, 1991, American Society of Sanitary  Engineering.
    ASSE 5010-1015-2, Field Test Procedure for a Double Check  Valve Assembly Using a Differential Pressure Gauge - High- and Low-Pressure  Hose Method, 1991, American Society of Sanitary Engineering.
    ASSE 5010-1015-3, Field Test Procedure for a Double Check  Valve Assembly Using a Differential Pressure Gauge - High Pressure Hose Method,  1991, American Society of Sanitary Engineering.
    ASSE 5010-1015-5, Field Test Procedure for a Double Check  Valve Assembly Using a Site Tube, 1991, American Society of Sanitary  Engineering.
    ASSE 5010-1020-1, Field Test Procedures for a Pressure Vacuum  Breaker Assembly, 1991, American Society of Sanitary Engineering.
    ASSE 5010-1047-1, Field Test Procedure for a Reduced Pressure  Detector Assembly Using a Differential Pressure Gauge, 1991, American Society  of Sanitary Engineering.
    ASSE 5010-1048-1, Field Test Procedure for a Double Check  Detector Assembly Using a Duplex Gauge, 1991, American Society of Sanitary  Engineering.
    ASSE 5010-1047-1, Field Test Procedure for a Double Check  Detector Assembly Using a Differential Pressure Gauge - High- and Low-Pressure  Hose Method, 1991, American Society of Sanitary Engineering.
    ASSE 5010-1048-3, Field Test Procedure for a Double Check  Detector Assembly Using a Differential Pressure Gauge - High-Pressure Hose  Method, 1991, American Society of Sanitary Engineering.
    ASSE 5010-1048-4, Field Test Procedure for a Double Check  Detector Assembly Using a Site Tube, 1991, American Society of Sanitary  Engineering.
    ANSI/ALI ALCTV-98, Standard for Automobile Lifts - Safety  Requirements for Construction, Testing and Validation (ANSI), Automotive Lift  Institute, P.O. Box 33116, Indialantic, FL 32903-3116.
    NCMA TR68-A-75, Design and Construction of Plain and  Reinforced Concrete Masonry and Basement and Foundation Walls, National  Concrete Masonry Association, 2302 Horse Pen Road, Herndon, VA 20171.
    SEI/ASCE 7-02, Minimum Design Loads for Buildings and Other  Structures, American Society of Civil Engineers/Structural Engineering  Institute, 1801 Alexander Bell Drive, Reston, VA 20191-4400.
    NFPA 13-07, Installation of Sprinkler Systems, National  Fire Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 13D-07, Installation of Sprinkler Systems in One- and  Two-Family Dwellings and Manufactured Homes, National Fire Protection  Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 13R-07, Installation of Sprinkler Systems in  Residential Occupancies Up to and Including Four Stories in Height, National  Fire Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 14-07, Installation of Standpipe and Hose System,  NFPA 13-07, Installation of Sprinkler Systems, National Fire Protection Association,  Batterymarch Park, Quincy, MA 02269.
    NFPA 70-05, National Electrical Code, National Fire  Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 72-07, National Fire Alarm Code, National Fire  Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 495-01, Explosive Materials Code, National Fire  Protection Association, Batterymarch Park, Quincy, MA 02269.
    NFPA 704-07, Standard System for the Identification of the  Hazards of Materials for Emergency Response, National Fire Protection  Association, Batterymarch Park, Quincy, MA 02269.
    VA.R. Doc. No. R09-1894; Filed August 21, 2009, 9:58 a.m. 
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Proposed Regulation
    Title of Regulation: 13VAC5-91. Virginia  Industrialized Building Safety Regulations (amending 13VAC5-91-10, 13VAC5-91-20,  13VAC5-91-40, 13VAC5-91-50, 13VAC5-91-60, 13VAC5-91-70, 13VAC5-91-100,  13VAC5-91-120, 13VAC5-91-160, 13VAC5-91-200, 13VAC5-91-210, 13VAC5-91-245,  13VAC5-91-260).
    Statutory Authority: § 36-73 of the Code of  Virginia.
    Public Hearing Information:
    January 25, 2010 - 10 a.m. - Virginia Housing Development  Authority, Virginia Housing Center, 4224 Cox Road, Glen Allen, VA
    Public Comment Deadline: January 25, 2010.
    Agency Contact: Stephen W. Calhoun, Regulatory  Coordinator, Department of Housing and Community Development, Main Street  Center, 600 East Main Street, Richmond, VA 23219, telephone (804) 371-7000, FAX  (804) 371-7090, TTY (804) 371-7089, or email steve.calhoun@dhcd.virginia.gov.
    Summary:
    The proposed amendments are general clarification and  correlation changes that are proposed to more closely match legislative  language and to coordinate the application of the regulations with the other  building and fire regulations of the board. 
    The proposed amendments (i) conform the regulations with  statutory provisions and updated industry standards; (ii) coordinate the  application of the regulations with the other building and fire regulations of  the board; (iii) exempt shipping containers and portable on demand storage  (PODS) containers from the regulations; (iv) allow the department to perform  inspection of manufacturing facilities and at building sites during reasonable  hours and issue inspection reports for correction of violations caused by the  manufacturer; (v) more succinctly delineate the responsibilities of the local  building official under these regulations, and clarify that site work  associated with the installation of an industrialized building is subject to  the Uniform Statewide Building Code and not this regulation; (vi) clarify that  signs identifying unregistered industrialized buildings on sales lots are not  necessary for accessory shed-type buildings; (vii) establish a methodology for  a compliance assurance agency to use in evaluating an existing unregistered  building for registering the building without unnecessary disassembly, and  clarify that this methodology may only be used when the date of manufacture is  known; (viii) update the ASTM E541-01 Standard to the E541-08 Standard for  Agencies Engaged in System Analysis and Compliance Assurance for Manufactured  Building, and add the option for inspection personnel of obtaining a DHCD or  ICC certification in the appropriate subject area in lieu of complying with the  ASTM E541 Standard when conducting compliance assurance inspection; (ix)  require a label on each manufactured section or module of a registered  industrialized building in conjunction with a new fee structure to be charged  to each module or section; (x) revise the list of information required on  permanent manufacturer’s date plat; and (xi) update seal requirements to  include one for each section or module and change the fees to reflect the  change in seal requirements, and give the option of either placing a seal on  each section or module or all of the modules or sections in one location in the  completed building and submitting fees by electronic means.
    13VAC5-91-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meaning meanings unless the context clearly  indicates otherwise. 
    "Administrator" means the Director of DHCD or his  designee. 
    "Approved" as applied to a material, device, method  of construction, registered building, or as otherwise used in this chapter means  approved by the administrator. 
    "Building official" means the officer or other  designated authority charged with the administration and enforcement of the  USBC, or duly authorized representative. 
    "Compliance assurance agency" means an architect or  professional engineer registered in Virginia, or an organization, determined by  DHCD to be specially qualified by reason of facilities, personnel, experience,  and demonstrated reliability, to investigate, test and evaluate industrialized  buildings; to list such buildings complying with standards at least equal to  this chapter; to provide adequate follow-up services at the point of  manufacture to ensure that production units are in full compliance; and to  provide a label as evidence of compliance on each registered industrialized  building manufactured section or module. 
    "DHCD" means the Virginia Department of Housing and  Community Development. 
    "ICC" means the International Code Council, Inc. 
    "Industrialized building" means a combination of  one or more sections or modules, subject to state regulations and including the  necessary electrical, plumbing, heating, ventilating, and other service  systems, manufactured off-site and transported to the point of use for  installation or erection, with or without other specified components, to  comprise a finished building. Manufactured homes defined in § 36-85.3 of the  Code of Virginia and certified under the provisions of the National  Manufactured Housing Construction and Safety Standards Act (42 USC § 5401  et seq.) shall not be considered industrialized buildings for the purpose of  this law. 
    "Model" means a specific design of an  industrialized building designated by the producer of the building including  production buildings with variations and options that do not affect compliance  with the standards governing structural, plumbing, mechanical, or electrical  systems or any other items governed by this chapter. 
    "Registered" means an industrialized building which  displays a registration seal issued by DHCD in accordance with this chapter. 
    "SBCAO" means the State Building Code  Administrative Office within DHCD. 
    "State Review Board" means the Virginia State  Building Code Technical Review Board as established by § 36-108 of the Code of  Virginia. 
    "This law" means the Virginia Industrialized  Building Safety Law as embraced in Chapter 4 (§ 36-70 et seq.) of Title 36  of the Code of Virginia. 
    "USBC" means the Virginia Uniform Statewide  Building Code (13VAC5-63). 
    13VAC5-91-20. Application and compliance.
    A. This chapter shall apply to industrialized buildings.  The following provisions are in In accordance with § 36-81 of the  Code of Virginia. Registered, registered industrialized buildings  shall be acceptable in all localities as meeting the requirements of the  Industrialized Building Safety Law (Chapter 4 (§ 36-70 et seq.) of Title 36 of  the Code of Virginia), which shall supersede the building codes and regulations  of the counties, municipalities and state agencies. Local requirements  affecting industrialized buildings, including zoning, utility connections,  preparation of the site and maintenance of the unit shall remain in full force  and effect. All building officials are authorized to and shall enforce the  provisions of this law, and the rules and regulations made in pursuance thereof  the Industrialized Building Safety Law (Chapter 4 (§ 36-70 et seq.) of Title  36 of the Code of Virginia) and this chapter. 
    B. No In accordance with § 36-78 of the Code of  Virginia, no person, firm or corporation shall offer for sale or rental, or  sell or rent, any industrialized building subject to any provisions of this  chapter if the industrialized building is not in compliance with any such  provisions unless it conforms with the applicable provisions of this  chapter. 
    C. In accordance with subsection A of this section, the  provisions of the USBC shall not be applicable to the design and construction  of registered industrialized buildings. However, the provisions of this chapter  do not prohibit the administrative provisions of the USBC for permits, inspections,  certificates of occupancy and other matters from being applicable to the extent  they are not addressed by the requirements of this chapter. Additionally, the  provisions of this chapter do not prohibit alterations and additions to  existing industrialized buildings from being regulated by the USBC or building  officials from requiring the submission of plans and specifications for the  model involved in electronic or other available format to aid in the evaluation  of the proposed addition or alteration.
    D. Industrialized buildings Further, any  industrialized building constructed prior to before January  1, 1972, shall remain subject to the ordinances, laws or regulations in effect  at the time such industrialized building was constructed. Additionally, the  provisions of this chapter do not prohibit pertinent provisions of the USBC  from being applicable when such industrialized buildings are as a  requirement of this chapter, any industrialized building bearing the label of a  compliance assurance agency shall remain subject to the provisions of this  chapter that were effective when such building was constructed, regardless of  whether the building has been relocated. 
    C. In accordance with § 36-99 of the Code of Virginia and  in accordance with the USBC, the installation or erection of industrialized  buildings and alterations, additions, or repairs to industrialized buildings  are regulated by the USBC and not this chapter. The USBC provides for  administrative requirements for permits, inspections, and certificates or  occupancy for such work. 
    D. Shipping containers and portable on demand storage  (PODS) containers are not subject to this chapter.
    13VAC5-91-40. Inspection and enforcement.
    A. The SBCAO is designated as the administrator's  representative for the enforcement of this chapter and shall act as the  building official for registered industrialized buildings. It shall have  authority to make such inspections during reasonable hours at the  manufacturing facilities and at building sites where industrialized buildings  are being installed. The SBCAO shall have authority to issue inspection reports  for correction of violations caused by the manufacturer and to take such  other actions as are required to enforce this chapter. 
    B. The SBCAO will maintain a list of approved compliance  assurance agencies. Each manufacturer producing registered industrialized  buildings will contract with one or more compliance assurance agencies for  required evaluation, monitoring and inspection services. The contract will  delineate the services to be provided by the compliance assurance agency. The  compliance assurance agency will notify the SBCAO within 30 days of signing a  new contract or terminating an existing contract with any manufacturer. 
    13VAC5-91-50. Factory Right of entry and field  inspections examination by administrator.
    A. The SBCAO shall conduct such inspections of factories  producing industrialized buildings as may be necessary during reasonable hours  to determine whether the designated compliance assurance agency is performing  its evaluation and compliance assurance functions in a satisfactory manner. 
    B. The SBCAO may also make inspections during reasonable  hours to determine whether unoccupied industrialized buildings are in  compliance with this chapter. Such inspections may include, but are not limited  to, industrialized buildings on dealer lots or industrialized buildings that  are otherwise offered for sale to the public. Occupied industrialized buildings  may be inspected by the SBCAO at the request of the owners or occupants. 
    In accordance with § 36-82 of the Code of Virginia,  the administrator shall have the right, at all reasonable hours, to enter into  any industrialized building upon permission of any person who has authority or  shares the use, access, or control over the building, or upon request from  local officials having jurisdiction, for examination as to compliance with this  chapter. 
    13VAC5-91-60. Violations Notice of violation.
    Where In accordance with § 36-82 of the Code  of Virginia, whenever the administrator finds shall find any  violation of the provisions of this chapter, a notice of violation  shall be issued. This notice of violation shall order the party responsible  he shall order the person responsible therefor to bring the unit building  into compliance within a reasonable time, to be fixed in the order. The  In addition, as a requirement of this chapter, the administrator may  request assistance from the building official for enforcement of this section.
    13VAC5-91-70. Appeals.
    A. Appeals In accordance with § 36-82.1 of the Code  of Virginia, appeals from building officials, compliance assurance agencies  or manufacturers of industrialized buildings concerning DHCD's application of  this chapter shall be heard by the State Review Board established by § 36-108  of the Code of Virginia. The State Review Board shall have the power and duty  to render its decision in any such appeal, which decision shall be final if no  further appeal is made. In addition, as a requirement of this chapter, appeals  shall be submitted to the State Review Board within 21 calendar days of  receipt of DHCD's decision. A copy of the decision of DHCD to be appealed shall  be submitted with the application for appeal. Failure to submit an application  for appeal within the time limit established by this section shall constitute  acceptance of DHCD's decision. 
    B. Procedures of the State Review Board are in accordance  with Article 2 (§ 36-108 et seq.) of Chapter 6 of Title 36 of the Code of  Virginia. Decisions of the State Review Board shall be final if no appeal is  made therefrom. 
    13VAC5-91-100. Duties and responsibilities of building  officials in the installation or erection of a registered industrialized  building.
    A. Building All building officials are  authorized by § 36-81 of the Code of Virginia to enforce the provisions of this  chapter and shall carry out the following functions provided such  functions do not involve disassembly of the registered building or a change in  its design or result in the imposition of more stringent conditions than those  required by the compliance assurance agency or by this chapter be  responsible for and authorized to do the following.
    1. Verify through inspection that the registered  industrialized building displays the required state registration seal and the  proper label of the compliance assurance agency and.
    2. Verify through inspection that the registered  industrialized building has not been damaged in transit to a degree that  would render it unsafe. If the building has been damaged, then the building  official is authorized to require tests for tightness of plumbing systems and  gas piping and tests for damaged or loose wires, or both, in the electrical  system an operational test to ensure that all luminaries and receptacles  are operable.
    2. Verify through inspection that (i) supplemental  components required by the data plate or by the installation instructions are  properly provided and properly installed, (ii) the construction work associated  with the installation of the building and the instructions from the manufacturer  for the installation and erection of the building are followed, and (iii) any  special conditions or limitations of use for the building that are stipulated  in the manufacturer's instructions or by the data plate and authorized by this  chapter are followed.
    3. Prevent the use or occupancy of a registered  industrialized building that in the opinion of the building official contains a  serious defect or imminent safety hazard and notify the SBCAO immediately.
    4. Notify the SBCAO of any apparent violations of this  chapter to include defects and noncompliance.
    B. Building officials are authorized to require submission  of plans and specifications for details of items needed to comprise the  finished building that are not included or specified in the manufacturer's  installation instructions such as footings, foundations, supporting structures  and proper anchorage. They may require such architectural and engineering  services as may be necessary to assure that the footings, foundations and  supporting structures, proper anchorage and other components necessary to  comprise the finished building are designed in accordance with the applicable  provisions of this chapter. 
    C. When a building official determines that a violation of  any provision of this section is present, the responsible person shall be  notified and given a reasonable time to correct the violation. If the violation  is not corrected, the building official shall institute the appropriate  proceedings to require correction or abatement of the violation and may  prohibit the occupancy of the building until the violation is corrected. In  accordance with 13VAC5-91-60, the administrator shall also have the authority  to compel correction of violations of this section and may be contacted by the  building official for assistance. 
    B. In accordance with § 36-99 of the Code of Virginia  and the USBC, all site work associated with the installation or erection of an  industrialized building is subject to the USBC. In addition, under the USBC,  all administrative requirements for permits, inspections, and certificates of  occupancy are also applicable.
     13VAC5-91-120. Unregistered industrialized buildings.
    A. The building official shall determine whether any  unregistered industrialized building complies with this chapter and shall  require any noncomplying unregistered building to be brought into compliance  with this chapter. The building official shall enforce all applicable  requirements of this chapter including those relating to the sale, rental and  disposition of noncomplying buildings. The building official may require  submission of full plans and specifications for each building. Concealed parts  of the building may be exposed to the extent necessary to permit inspection to  determine compliance with the applicable requirements. The building official  may also accept reports of inspections and tests from individuals or agencies  deemed acceptable to the building official. 
    B. Unregistered industrialized buildings offered for sale in  this Commonwealth shall be marked by a warning sign to prospective purchasers  that the building is not registered in accordance with this chapter and must be  inspected and approved by the building official. The sign shall be of a size  and form approved by the administrator and shall be conspicuously posted on the  exterior of the unit near the main entrance door. This requirement shall not  apply to residential accessory buildings. 
    C. An existing unregistered industrialized building may be  registered in accordance with the following:
    1. Where an unregistered building was constructed under an  industrialized building program of another state and approved under such  program, a compliance assurance agency shall prepare a report based on review  of the plans and specifications and inspection of the building to determine  whether there is compliance with the construction requirements of this chapter  that were in effect on the date of manufacture of the building. If compliance  is determined, the compliance assurance agency shall (i) mark the building with  a compliance assurance agency label in accordance with 13VAC5-91-210, (ii)  place a new manufacturer's data plate on the building in accordance with  13VAC5-91-245, (iii) mark the building with a registration seal in accordance  with 13VAC5-91-260, and (iv) forward a copy of the report and new data plate to  the SBCAO.
    2. Where an unregistered building was not approved under an  industrialized building program of another state and the date of manufacture  can be verified, the compliance assurance agency shall inspect the  building, including any disassembly necessary, to determine whether there is  compliance with the construction requirements of this chapter that were in  effect on the date of manufacture of the building. When factory plans are  available, then disassembly is not required to the extent that the factory  plans can be verified to reflect the actual construction of the building. When  compliance with the construction requirements of this chapter that were in  effect on the date of manufacture of the building is achieved, the compliance  assurance agency shall prepare a report documenting compliance, outlining any  changes made to the building, and certifying the building in accordance with  clauses (i) through (iv) of subdivision 1 of this subsection.
    3. When the date of manufacture of the existing unregistered  building cannot be verified, the building shall be evaluated for compliance  with the codes and standards specified in 13VAC5-91-160. The compliance  assurance agency shall inspect the building, including any disassembly  necessary, to determine whether there is compliance with these construction  requirements. If compliance is achieved, the compliance assurance agency shall  prepare a report documenting compliance, outlining any changes made to the  building, and certifying the building in accordance with clauses (i) through  (iv) of subdivision 1 of this subsection. 
    13VAC5-91-160. Use of model codes and standards. 
    A. Industrialized buildings produced after May 1, 2008  (date to be inserted), shall be reasonably safe for the users and  shall provide reasonable protection to the public against hazards to life,  health and property. Compliance comply with all applicable  requirements of the following codes and standards, subject to the specified  time limitations, shall be acceptable evidence of compliance with this  provision: 
    The following codes and standards may be used until August  1, 2008 (date to be inserted): 
    1. ICC International Building Code -- - 2003  2006 Edition 
    2. ICC International Plumbing Code -- - 2003  2006 Edition 
    3. ICC International Mechanical Code -- - 2003  2006 Edition 
    4. National Fire Protection Association Standard Number 70  (National Electrical Code) -- - 2002 2005 Edition 
    5. ICC International Residential Code -- - 2003  2006 Edition 
    B. The following documents are adopted and incorporated by  reference to be an enforceable part of this chapter: 
    1. ICC International Building Code -- - 2006  2009 Edition 
    2. ICC International Plumbing Code -- - 2006  2009 Edition 
    3. ICC International Mechanical Code -- - 2006  2009 Edition 
    4. National Electrical Code -- - 2005 2008  Edition 
    5. ICC International Residential Code -- - 2006  2009 Edition 
    The codes and standards referenced above may be procured  from: 
           | International Code    Council, Inc.500 New Jersey Avenue, NW, 6th Floor
 Washington, DC 20001-2070
 | 
  
    13VAC5-91-200. Information required by the administrator. 
    All of the following information and criteria will be  considered by the administrator in designating compliance assurance agencies: 
    1. Names of officers and location of offices. 
    2. Specification and description of services proposed to be  furnished under this chapter. 
    3. Description of qualifications of personnel and their  responsibilities, including an assurance that personnel involved in system  analysis, design and plans review, compliance assurance inspections, and their  supervisors comply with the requirements of the American Society for Testing  and Material (ASTM) Standard Number E541-01 E541-08 - Standard  Specification for Agencies Engaged in System Analysis and Compliance Assurance  for Manufactured Building or shall obtain ICC or DHCD certifications in the  appropriate subject area within 18 months of employment and maintain such  certifications in an active status. 
    4. Summary of experience within the organization. 
    5. General description of procedures and facilities to be used  in proposed services, including evaluation of the model, factory follow-up,  quality assurance, labeling of production buildings, and specific information  to be furnished on or with labels. 
    6. Procedures to deal with any defective buildings resulting  from oversight. 
    7. Acceptance of these services by independent accrediting  organizations and by other jurisdictions. 
    8. Proof of independence and absence of conflict of interest. 
    The ASTM Standard Number E541-01 E541-08 may be  procured from: 
           |   | American Society for Testing and Materials100 Barr Harbor Drive
 West Conshohocken, PA 19428-2959
 | 
  
    13VAC5-91-210. Compliance assurance agency certification label.  
    Every manufactured section or module of a registered  industrialized building shall be marked with a label supplied by the compliance  assurance agency that includes the name and address of the compliance assurance  agency and the certification label number. 
    13VAC5-91-245. Manufacturer's data plate.
    A. All of the following information shall be placed on a  permanent manufacturer's data plate in the vicinity of the electrical  distribution panel or in some other location that is readily accessible for  inspection. The compliance assurance agency shall approve the form and location  of the data plate and shall ensure that the data plate is complete: 
    1. Manufacturer's name and address. 
    2. Compliance assurance agency certification number. 
    3. Serial number of each module of the building. 
    4. Serial number of the Virginia registration seal. 
    5. Date of manufacture of the building. 
    6. List of codes and standards under which the building was  evaluated and constructed and the type of construction and occupancy  classification under those codes and standards. 
    7. Design live roof load, design floor live load and,  design wind load speed, and design ground snow load. 
    8. Seismic design zone number. 
    9. 8. Thermal transmittance values or thermal  resistance ("R") values. 
    10. 9. Special conditions or limitations  concerning the use of the building under the codes and standards applicable to  the building; however, a list of such conditions or limitations that are  furnished separately with the building shall satisfy this requirement. 
    11. 10. Special instructions for handling,  installation and erection of the building,; however, a list of such  instructions that are furnished separately with the building shall satisfy this  requirement. 
    12. 11. Designation of electrical service  ratings, directions for water and drain connections and, where applicable,  identification of permissible type of gas for appliances. 
    13. 12. Name of manufacturer and model  designation of major factory installed appliances. 
    B. The manufacturer shall maintain copies of the data plate  and reports of inspection, tests and any corrective action taken for a minimum  period of 10 years from the date of manufacture of the building. 
    13VAC5-91-260. Registration seal for industrialized buildings.
    A. Registered industrialized buildings shall be marked with an  approved registration seal seals issued by the SBCAO. The seal  seals shall be applied by the manufacturer to a registered  industrialized building intended for sale or use in Virginia prior to the  shipment of the building from the place of manufacture. 
    B. Registered industrialized buildings shall bear a one  registration seal for on each dwelling unit in residential  occupancies. For nonresidential occupancies, a manufactured section or  module, or, as an alternative, the registration seal is required for  each registered for each manufactured section or module may be placed in  one location in the completed building. 
    C. Approved registration seals may be purchased from the  SBCAO in advance of use. The fee for each registration seal shall be $75  $50. Checks Fees shall be submitted by checks made  payable to "Treasurer of Virginia" or shall be submitted by  electronic means." Payment for the seals must be received by  the SBCAO before the seals can be sent to the user. 
    D. To the extent practicable, the registration seal shall be  installed so that it cannot be removed without destroying it. It shall be  installed near the label applied by the compliance assurance agency. 
    E. The compliance assurance agency or the manufacturer under  the supervision of the compliance assurance agency shall maintain permanent  records of the disposition of all Virginia registration seals obtained by the  compliance assurance agency or manufacturer. 
    DOCUMENTS INCORPORATED BY REFERENCE (13VAC5-91) 
    ICC International Plumbing Code -- 2003 and 2006 and  2009 Editions, International Code Council. 
    ICC International Mechanical Code -- 2003 and 2006 and  2009 Editions, International Code Council. 
    National Fire Protection Association Standard Number 70  (National Electrical Code) -- 2002 and 2005 and 2008 Editions. 
    ICC International Building Code -- 2003 and 2006 and  2009 Editions, International Code Council. 
    ICC International Residential Code -- 2003 and 2006 and  2009 Editions, International Code Council. 
    ASTM Standard Number E541-01 E541-08 --  Standard Specification for Agencies Engaged in System Analysis and Compliance  Assurance for Manufactured Building, American Society for Testing and  Materials. 
    VA.R. Doc. No. R09-1895; Filed August 27, 2009, 10:00 a.m. 
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Final Regulation
        REGISTRAR'S NOTICE: The  State Corporation Commission is exempt from the Administrative Process Act in  accordance with § 2.2-4002 A 2 of the Code of Virginia, which exempts courts,  any agency of the Supreme Court, and any agency that by the Constitution is  expressly granted any of the powers of a court of record.
         Title of Regulation: 14VAC5-260. Rules Governing  Insurance Holding Companies (amending 14VAC5-260-40, 14VAC5-260-60,  14VAC5-260-70, 14VAC5-260-90).
    Statutory Authority: §§ 12.1-13 and 38.2-223 of the  Code of Virginia.
    Effective Date: September 30, 2009.
    Agency Contact: Raquel C. Pino-Moreno, Principal Insurance  Analyst, Bureau of Insurance, State Corporation Commission, 1300 East Main  Street, P.O. Box 1157, Richmond, VA 23218, telephone (804) 371-9499, FAX (804)  371-9511, or email raquel.pino-moreno@scc.virginia.gov.
    Summary:
    The purpose of the revisions to the rules and forms is to  amend the language regarding declaration of dividends and disclaimer of  affiliation. Additionally, a reference to electronic filing and clarification  that dividends and distributions are to be paid out of earned surplus unless the  commission approves otherwise has been added. These revisions are necessary as  a result of Chapter 717 of the 2009 Acts of Assembly, which amended § 38.2-1329  of the Code of Virginia. 
    AT RICHMOND, SEPTEMBER 4, 2009
    COMMONWEALTH OF VIRGINIA
    At the relation of the
    STATE CORPORATION COMMISSION
    CASE NO. INS-2009-00146
    Ex Parte: In the matter of
  Adopting Revisions to the Rules
  Governing Insurance Holding
  Companies
    ORDER ADOPTING RULES
    By Order to Take Notice entered June 25, 2009, all interested  persons were ordered to take notice that subsequent to August 14, 2009, the  State Corporation Commission ("Commission") would consider the entry  of an order adopting revisions to the rules entitled Rules Governing Insurance  Holding Companies ("Rules"), proposed by the Bureau of Insurance  ("Bureau") which amend the Rules at 14 VAC 5-260-40, 14 VAC 5-260-60,  14 VAC 5-260-70, and 14 VAC 5-260-90, unless on or before August 14, 2009, any  person objecting to the adoption of the proposed revisions to the Rules filed a  request for a hearing with the Clerk of the Commission ("Clerk").
    The Order to Take Notice also required all interested persons  to file their comments in support of or in opposition to the proposed revisions  to the Rules on or before August 14, 2009.
    There were no comments on the proposed revisions to the Rules  filed with the Clerk.  There was no request for a hearing filed with the  Clerk.
    The Bureau does not recommend further changes to the proposed  revisions to the Rules, and further recommends that the revisions to the Rules  be adopted as proposed.
    THE COMMISSION, having considered the Bureau's  recommendation, is of the opinion that the attached revisions to the Rules  should be adopted.
    Accordingly, IT IS ORDERED THAT:
    (1)  The revisions to the Rules Governing Insurance  Holding Companies at 14 VAC 5‑260-40, 14 VAC 5-260-60, 14 VAC  5-260-70, and 14 VAC 5-260-90 which are attached hereto and made a part hereof,  should be, and they are hereby, ADOPTED to be effective September 30, 2009.
    (2)  AN ATTESTED COPY hereof, together with a copy of  the proposed revised Rules, shall be sent by the Clerk of the Commission to the  Bureau in care of Deputy Commissioner Douglas C. Stolte, who forthwith shall  give further notice of the proposed adoption of the revised Rules by mailing a  copy of this Order, together with the proposed revised Rules, to all licensed  insurers, burial societies, fraternal benefit societies, health maintenance  organizations, and certain interested parties designated by the Bureau.
    (3)  The Commission's Division of Information Resources  forthwith shall cause a copy of this Order, together with the attached rules,  to be forwarded to the Virginia Registrar of Regulations for appropriate  publication in the Virginia Register of Regulations.
    (4)  The Commission's Division of Information Resources  shall make available this Order and the adopted rules on the Commission's  website: http://www.scc.virginia.gov/case.
    (5)  The Bureau shall file with the Clerk of the  Commission an affidavit of compliance with the notice requirements of Ordering  Paragraph (2) above.
    14VAC5-260-40. Acquisition of control; approval of  applications. 
    A. A person filing an application or statement pursuant to  § 38.2-1323 A, or any related provision of §§ 38.2-1324 through 38.2-1328, of the Act shall furnish the required information designated on Form  A of this chapter. 
    1. Where applicable and required by Form A, Form E shall also  be filed. 
    2. Whenever an application includes information in the format  required by Form E, the commission may require an opinion of an economist as to  the competitive impact of the proposed acquisition. 
    B. When the person being acquired controls a domestic  insurer, the person shall, for purposes of completing a Form A application, be  deemed to be a "domestic insurer." 
    1. The name of the domestic subsidiary insurer should be  indicated on the cover page as follows: 
    "ABC Insurance Company, a subsidiary of XYZ Holding  Company"; and 
    2. References to "the insurer" contained in Form A  shall refer to both the domestic subsidiary insurer and the person being  acquired. 
    C. The applicant shall promptly advise the commission of any  changes in the information so furnished on Form A, or any attachments thereto,  arising subsequent to the date upon which the information was furnished, but  prior to the commission's disposition of the application and consummation of  the acquisition of control. 
    1. Within two business days after the person filing the  application learns of the change, an amendment setting forth the change,  together with copies of all documents and other material relevant to the  change, shall be filed with the commission. The filing shall be made with the  clerk of the commission. Except where the applicant is also the insurer, the  applicant shall show on each such filing that a copy has also been sent to the  insurer. 
    2. A failure to file complete and accurate information as  required by this chapter is grounds for a denial by the commission pursuant to  § 38.2-1326. 
    3. As used in this section and for purposes of all Form A filings,  "material change" includes any change in the identity of executive  officers or any party to a merger or a liquidating transaction. 
    D. Where "control" is derived from a management  agreement, including any other agreement between a domestic insurer and another  person other than a contract for goods or nonmanagement services, any  termination of the agreement or any substitution of persons under the agreement  shall be deemed a change of control requiring notice and application to the  commission pursuant to § 38.2-1323 of the Act. 
    E. A person seeking to merge with or acquire a domestic  insurer may apply to the commission for an order exempting the person from the  provisions of §§ 38.2-1323 through 38.2-1327 if the merger or acquisition meets  the standards for exemption provided in § 38.2-1328. 
    1. The application shall be in writing and shall be filed with  the clerk of the commission. Filing instructions are the same as for a Form A  filing. See Section III of the Form A Instructions for information regarding  number of copies and, signature requirements [ , ]  and electronic filing. The applicant shall identify the parties to the  merger or acquisition and shall state (i) the purpose of the merger or  acquisition, (ii) the method of merger or acquisition, and (iii) why the person  believes the exemption criteria of § 38.2-1328 will be met. 
    2. Within 30 days after the application for exemption is filed  with the clerk of the commission, the commission shall enter an order granting  the exemption or giving notice of a hearing to determine the merits of the  application. 
    F. Any hearing held to consider an application filed pursuant  to the provisions of this section and § 38.2-1323 of the Act shall be held  pursuant to § 38.2-1326 and shall begin, unless waived by the insurer, within  40 days of the date the application is filed with the commission. An  application shall be deemed filed upon receipt by the commission of all  material required by this section or § 38.2-1324 of the Act. 
    14VAC5-260-60. Annual registration of insurers; registration  statement filings and amendments. 
    A. An insurer required to file a registration statement  pursuant to § 38.2-1329 of the Act shall furnish the required information in  the format designated on Form B of this chapter. 
    1. The initial registration statement shall be filed with the  commission within 15 days after the insurer becomes subject to registration  under § 38.2-1329 of the Act. 
    2. Annually thereafter by April 30 of each year, for the  previous calendar year, the registrant shall file a completely restated  up-to-date registration statement in the format designated on Form B, with  amendments consolidated therein. Each registration statement shall contain a  summary outlining all items in the current registration statement representing  changes from the prior registration statement. The summary shall be prepared in  the format designated on Form C, as specified in the instructions of that form,  which is a part of this chapter. 
    B. An insurer shall file a copy of its most current registration  statement and the Form C filing, also known as a Summary of Registration  Filing, in each state in which the insurer is authorized to do business, if  requested by the insurance commissioner of that state. 
    C. Amendments to Form B. 
    1. An amendment to Form B shall be filed under the following  conditions: 
    a. Within 15 days after the end of any month in which there is  a material change to the information provided in the annual registration  statement; 
    b. Within 15 days after the end of any month in which the  registrant or insurer learns there is a change in control of the registrant, in  which case all of Form B and Form C shall be made current; 
    c. Within 15 days after the end of any month in which the  registrant or insurer learns there is a material change in information given in  Item 5 of Form B; 
    d. Within 30 days after the investment in any one corporation,  if the total investment in that corporation, by the insurance holding company  system, exceeds 10% of that corporation's voting securities; 
    e. Within 15 days after the end of any month in which there is  a material change in any portion of the information given in Item 6 of Form B; 
    f. Within 15 days after the end of any month in which there is  a change of the chief executive officer, president, or more than 1/3 of the  directors reported in Item 4 of Form B; 
    g. Within five business days following the declaration of any  dividend or other distribution to an insurer's shareholder, and at least 30  days prior to payment thereof; and 
    h. Within 120 days after the end of each fiscal year of the  ultimate controlling person of the insurance holding company system. 
    2. Amendments shall be filed in the Form B format. Subject to  the provisions of subdivision A 2 of this section, only those items which are  being amended need be reported. Each amendment shall include at the top of the  cover page "Amendment No. (insert number) to Registrant Statement, brought  current from (insert year)" and shall indicate as its "Date,"  the date of the change and not the date of the original filings. Filings made  in the format of Forms A, D, E, or F may be deemed amendments filed in the Form  B format when accompanied by certification under oath or affirmation that the  transaction reported on Form A, D, E, or F has been consummated. If the  commission's approval of the transaction is required by the Act, the  certification shall state also that consummation was pursuant to terms and  agreements approved by the commission. 
    3. As used in this section, "material transaction"  has the meaning set forth in § 38.2-1322 of the Act except that, unless the  commission by rule, order or regulation prescribes otherwise, no sale,  purchase, exchange, loan, or extension of credit or investment shall be  considered "material" unless it involves at least 0.5% of an  insurer's admitted assets or 5.0% of the insurer's surplus to policyholders, as  of the immediately preceding December 31. Any sale or other transaction which  is one of a series of transactions occurring within a 12-month period that are  sufficiently similar in nature as to be reasonably construed as a single  transaction and that in the aggregate exceed the minimum limits herein provided  shall be deemed a material transaction. 
    D. Exemptions and alternative and consolidated registrations.  
    1. Any insurer which is authorized to do business in this  Commonwealth may file a registration statement on behalf of any affiliated  insurer or insurers which are required to register under § 38.2-1329 of  the Act. A registration statement may include information not required by the  Act regarding any insurer in the insurance holding company system even if the  insurer is not authorized to do business in this Commonwealth. In lieu of  filing a registration statement on Form B, the authorized insurer may file a  copy of the registration statement or similar report which it is required to  file in its state of domicile, provided: 
    a. The statement or report contains substantially similar  information required to be furnished on Form B; and 
    b. The filing insurer is the principal insurance company in  the insurance holding company system. 
    2. The question of whether the filing insurer is the principal  insurance company in the insurance holding company system is a question of fact  and an insurer filing a registration statement or report in lieu of Form B on  behalf of an affiliated insurer, shall set forth a brief statement of facts  which will substantiate the filing insurer's claim that it, in fact, is the  principal insurer in the insurance holding company system. 
    3. With the prior approval of the commission, an insurer not  licensed to transact the business of insurance in this Commonwealth may follow  any of the procedures which could be done by an authorized insurer under  subdivision 1 of this subsection. 
    4. Any insurer may take advantage of the provisions of  § 38.2-1329 G or § 38.2-1329 H of the Act without obtaining the prior  approval of the commission. The commission, however, reserves the right to  require individual filings if it deems the filings necessary in the interest of  clarity, ease of administration or the public good. 
    5. The state of entry of an alien insurer shall be deemed to  be its state of domicile for the purpose of this chapter. 
    6. Any foreign insurer subject to disclosure requirements and  standards adopted by statute or regulation in the jurisdiction of its domicile  that are substantially similar to those contained in § 38.2-1329 of the  Act, shall be exempted and excepted from registration in this Commonwealth  pursuant to this section and § 38.2-1329 A of the Act; however, if  requested by the commission, the insurer shall furnish to the commission a copy  of the registration statement or other information filed with its state of  domicile. The information shall be filed with the commission within 15 days  after the commission makes its request. 
    7. Any insurer not otherwise exempt or excepted from  § 38.2-1329 of the Code of Virginia may apply for an exemption from the  requirements of this section § 38.2-1329 of the Code of  Virginia by submitting a statement to the commission setting forth its reasons  for being exempt. 
    14VAC5-260-70. Disclaimers and termination of registration. 
    A. A disclaimer of affiliation or a request for termination  of registration claiming that a person does not, or will not upon the taking of  some proposed action, control any other person (hereinafter referred to as the  "subject") shall contain the following information: 
    1. The number of authorized, issued and outstanding voting  securities of the subject;
    2. With respect to the person whose control is denied and all  affiliates of such person, the number and percentage of shares of the subject's  voting securities which are held of record or known to be beneficially owned,  and the number of such shares concerning which there is a right to acquire,  directly or indirectly; and also information as to all transactions in any  securities of the subject which were effected during the past six months by  such persons; 
    3. All material relationships and bases for affiliation,  including a description of all contracts and agreements, between the subject  and the person whose control is denied and all affiliates of such person; and 
    4. A statement explaining why such person should not be  considered to control the subject. 
    B. A request for termination of registration under  § 38.2-1329 of the Act for lack of affiliation shall be deemed to have  been granted unless the commission, within 30 days after receipt of the request  and any additional information required by the commission, notifies the  registrant otherwise. Thereafter, the subject shall be relieved of any  registering or reporting requirements under § 38.2-1329 of the Act that  may arise out of the subject's relationship with the person, unless and until  the commission disallows the disclaimer. 
    1. The commission shall disallow the disclaimer only after  giving all interested parties notice and opportunity to be heard. 
    2. Any disallowance shall be supported by specific findings of  fact. 
    14VAC5-260-90. Dividends and other distributions.
    A. Each registered insurer shall report to the commission as  required under § 38.2-1329 of the Act, all dividends and other distributions to  shareholders within five business days following declaration and at least 30  days prior to payment. An insurer shall not pay a dividend or other  distribution until 30 days after the commission has received written notice of  the declaration thereof and has not within such period disapproved such  payment. The commission may approve the payment of such dividend or other  distribution prior to the 30 days. Such dividends and other distributions are  to be paid out of earned surplus unless the commission has provided prior  written approval for such dividends or other distributions to be paid from  another source. Except as provided in subsection B of this section, the  report shall be filed in the format prescribed by Form F and shall include at  least the following: 
    1. A statement stating whether the dividend or distribution is  extraordinary. If the dividend or distribution is extraordinary, the insurer  also shall state the date of approval, if any, obtained pursuant to § 38.2-1330.1 A of the Act, or the earliest date on which approval may be deemed;  
    2. Earned surplus as of the immediately preceding December 31;  
    3. The amount of the proposed dividend; 
    4. The date of declaration, date of record and date  established for payment of the dividend; 
    5. A statement as to whether the dividend is to be in cash or  other property and, if in property, a description thereof, its cost, and its  fair market value together with an explanation of the basis for valuation; 
    6. The amounts, dates and form of payment of all dividends or  distributions (including regular dividends but excluding distributions of the  insurer's own securities) paid within the period of 12 consecutive months  ending on the date fixed for payment of the proposed dividend for which  approval is sought and commencing on the day after the same day of the same  month in the last preceding year; 
    7. A brief statement as to the effect of the proposed dividend  upon the insurer's surplus and the reasonableness of surplus in relation to the  insurer's outstanding liabilities and the adequacy of surplus relative to the  insurer's financial needs; and 
    8. A statement identifying any and all revaluations of assets.  
    B. If payment of an extraordinary dividend or distribution  has been approved prior to its declaration, the insurer may comply with the  requirements of § 38.2-1329 E of the Act by filing written confirmation  under oath or affirmation that the extraordinary dividend or distribution, as  approved by the commission, has been declared. Confirmation shall be filed  within five business days following declaration. 
    C. An insurer may obtain prior approval of an extraordinary  dividend or distribution, as required by § 38.2-1330.1 A of the Act, by filing  a request for approval with the commission. The request for approval shall be  filed in the format prescribed by Form F and shall include at least the  following: 
    1. All the information required in subsection A of this  section; 
    2. Statements of financial condition and earnings for the  period intervening from the last annual statement filed with the commission and  the end of the month preceding the month in which the request for dividend  approval is submitted; and, if the date of payment or distribution is more than  60 days removed from the date of the most current financial statement submitted  by the insurer, the insurer shall include also a pro forma statement as of the  day after the distribution or payment of the dividend showing its effect and  other known and reasonably projected adjustments to the financial condition and  earnings of the insurer; and 
    3. A copy of the calculations determining that the proposed  dividend is extraordinary. The work paper shall include the following  information: 
    a. The amounts, dates and form of payment of all dividends or  distributions (including regular dividends but excluding distributions of the  insurer's own securities) paid within the period of 12 consecutive months  ending on the date fixed for payment of the proposed dividend for which  approval is sought, and commencing on the day after the same day of the same  month in the last preceding year; 
    b. Surplus as regards to policyholders (total capital  and surplus) as of the immediately preceding December 31; 
    c. If the insurer is a life insurer, the net gain from  operations for the 12-month period ending the immediately preceding December  31; and 
    d. If the insurer is not a life insurer, the net income less  realized capital gains for the 12-month period ending the immediately preceding  December 31, but shall not include pro rata distributions of any class of the  insurer's own securities. 
    4. Statements on each factor set forth in § 38.2-1330 B of the  Act must be submitted in support of the request for approval of an  extraordinary dividend or distribution, although these factors are not intended  to be an exhaustive list. In determining the adequacy and reasonableness of an  insurer's surplus no single factor is controlling. The commission, instead,  will consider the net effect of all of these factors plus other factors bearing  on the financial condition of the insurer. In comparing the surplus maintained  by other insurers, the commission will consider the extent to which each of  these factors varies from company to company and in determining the quality and  liquidity of investments in subsidiaries, the commission will consider the  individual subsidiary and may discount or disallow its valuation to the extent  that the individual investments so warrant. 
    5. In addition, in order to determine the possibility of any  financial effect on the insurer, the commission may request the means of  funding and the purpose of the extraordinary dividend or distribution. 
    D. No declaration of an extraordinary dividend or  distribution shall confer any rights on shareholders without the prior approval  thereof pursuant to § 38.2-1330.1 C of the Act. However, an insurer may declare  an extraordinary dividend or distribution which is conditioned upon the  commission's approval, and the declaration shall confer no rights upon  shareholders until (i) the commission has approved the payment of the dividend  or distribution or (ii) the commission has not disapproved the payment within  the 30-day period provided by § 38.2-1330.1 A of the Act. 
        NOTICE: The forms used  in administering the above regulation are not being published; however, the  name of each form is listed below. The forms are available for public  inspection by contacting the agency contact for this regulation, or at the  office of the Registrar of Regulations, General Assembly Building, 2nd Floor,  Richmond, Virginia.
         FORMS (14VAC5-260) 
    Form A, Instructions for Application for Approval of  Acquisition of Control of or Merger with a Domestic Insurer Pursuant to § 38.2-1323  of the Code of Virginia (rev. 7/06) 9/09). 
    Form B, Instructions for Insurance Holding Company System  Annual Registration Statement Pursuant to § 38.2-1329 of the Code of  Virginia (rev. 7/06) 9/09). 
    Form C, Instructions for Summary of Registration Statement  Pursuant to § 38.2-1329 of the Code of Virginia (rev. 7/06). 
    Form D, Instructions for Prior Notice and Application for  Approval of Certain Transactions Pursuant to § 38.2-1331 of the Code of  Virginia (rev. 7/06). 
    Form E, Instructions for an Acquisition Statement Reporting  Competitive Impact Data Pursuant to § 38.2-1323 of the Code of Virginia (rev.  7/06). 
    Form F, Instructions for Notice of Dividends and  Distributions to Shareholders Pursuant to §§ 38.2-1329 E and 38.2-1330.1 of the  Code of Virginia (rev. 7/06) 9/09). 
    VA.R. Doc. No. R09-2019; Filed September 8, 2009, 3:05 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
        REGISTRAR'S NOTICE: The  Board of Pharmacy is claiming an exemption from the Administrative Process Act  in accordance with (i) § 2.2-4006 A 3 of the Code of Virginia, which  excludes regulations that consist only of changes in style or form or  corrections of technical errors and (ii) § 2.2-4006 A 4 a of the Code of  Virginia, which excludes regulations that are necessary to conform to changes  in Virginia statutory law where no agency discretion is involved. The Board of  Pharmacy will receive, consider, and respond to petitions by any interested  person at any time with respect to reconsideration or revision.
         Title of Regulation: 18VAC110-20. Regulations  Governing the Practice of Pharmacy (amending 18VAC110-20-106, 18VAC110-20-270).
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Effective Date: October 28, 2009.
    Agency Contact: Elizabeth Scott Russell, RPh, Executive  Director, Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4456, FAX (804) 527-4472, or email  scotti.russell@dhp.virginia.gov.
    Summary:
    The amendments correct an error resulting from recent  amendments made to 18VAC110-20-106 B and conform 18VAC110-20-270 B to § 54.1-3320 of the Code of Virginia.
    The amendment to 18VAC110-20-106 B reinserts a reference to  18VAC110-20-90 to specify that approved continuing education programs must  either have approval from the American Council on Pharmaceutical Education  (ACPE) or be approved by the Board of Pharmacy.
    18VAC110-20-270 B provides that a pharmacist shall  determine the number of pharmacy interns, pharmacy technicians, and pharmacy  technician trainees he can safely and competently supervise at one time;  however, the amendment conforms the language to § 54.1-3320 of the Code of  Virginia by limiting the number of persons acting as pharmacy technicians  supervised at one time to four.
    18VAC110-20-106. Requirements for continued competency. 
    A. A pharmacy technician shall be required to have completed  a minimum of 0.5 CEUs or five contact hours of approved continuing education  for each annual renewal of registration. Hours in excess of the number required  for renewal may not be transferred or credited to another year. 
    B. An approved continuing education program shall meet the  requirements as set forth in subsection B of 18VAC110-20-90 or  subsection B of 18VAC110-20-100. 
    C. Upon written request of a pharmacy technician, the board  may grant an extension of up to one year in order for the pharmacy technician  to fulfill the continuing education requirements for the period of time in  question. The granting of an extension shall not relieve the pharmacy  technician from complying with current year requirements. Any subsequent  extension shall be granted for good cause shown. 
    D. Original certificates showing successful completion of  continuing education programs shall be maintained by the pharmacy technician  for a period of three years following the renewal of his registration. The  pharmacy technician shall provide such original certificates to the board upon  request in a manner to be determined by the board. 
    Part VII 
  Prescription Order and Dispensing Standards 
    18VAC110-20-270. Dispensing of prescriptions; certification of  completed prescriptions; supervision of pharmacy technicians.
    A. In addition to the acts restricted to a pharmacist in § 54.1-3320 A of the Code of Virginia, a pharmacist shall provide personal  supervision of compounding of extemporaneous preparations by pharmacy  technicians. 
    B. A pharmacist shall determine the number of pharmacy  interns, pharmacy technicians, and pharmacy technician trainees he can safely  and competently supervise at one time; however, no pharmacist shall  supervise more than four persons acting as pharmacy technicians at one time.
    C. After the prescription has been prepared and prior to the  delivery of the order, the pharmacist shall inspect the prescription product to  verify its accuracy in all respects, and place his initials on the record of  dispensing as a certification of the accuracy of, and the responsibility for,  the entire transaction. Such record showing verification of accuracy shall be  maintained on a pharmacy record for the required time period of two years,  unless otherwise specified in regulation.
    D. If a pharmacist declines to fill a prescription for any  reason other than the unavailability of the drug prescribed, he shall record on  the back of the prescription the word "declined"; the name, address,  and telephone number of the pharmacy; the date filling of the prescription was  declined; and the signature of the pharmacist. 
    E. If a pharmacist determines from a prescriber or by other  means, including the use of his professional judgment, that a prescription  presented for dispensing is a forgery, the pharmacist shall not return the  forged prescription to the person presenting it. The forged prescription may be  given to a law-enforcement official investigating the forgery; or it shall be  retained for a minimum of 30 days before destroying it, in the event it is  needed for an investigative or other legitimate purpose.
    VA.R. Doc. No. R10-2116; Filed September 9, 2009, 11:24 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
    Final Regulation
        REGISTRAR'S NOTICE: The  following regulatory action is exempt from the Administrative Process Act in  accordance with § 2.2-4006 A 7 of the Code of Virginia, which excludes  regulations of the regulatory boards served by the Department of Health  Professions pursuant to Title 54.1 that are limited to reducing fees charged to  regulants and applicants. The Board of Pharmacy will receive, consider, and  respond to petitions by any interested person at any time with respect to  reconsideration or revision.
         Titles of Regulations: 18VAC110-20. Regulations  Governing the Practice of Pharmacy (amending 18VAC110-20-20).
    18VAC110-30. Regulations for Practitioners of the Healing  Arts to Sell Controlled Substances (amending 18VAC110-30-15).
    18VAC110-50. Regulations Governing Wholesale Distributors,  Manufacturers, and Warehousers (amending 18VAC110-50-20).
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Effective Date: October 28, 2009.
    Agency Contact: Elizabeth Scott Russell, RPh, Executive  Director, Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4456, FAX (804) 527-4472, or email  scotti.russell@dhp.virginia.gov.
    Summary:
    The amendments provide for a one-time reduction in renewal  fees. The amendments reduce the annual renewal fee for pharmacists and  physicians selling controlled substances from $90 to $50 and reduce the annual  renewal fee for pharmacy technicians from $25 to $15. Fees for inactive  licensure, which are approximately one-half the active renewal fee, are reduced  correspondingly. Renewal fees for facilities are reduced from $270 to $210  (pharmacies, physician permit, nonrestricted manufacturers, wholesale  distributors, warehousers) and for restricted manufacturers or medical  equipment suppliers from $180 to $140. 
    18VAC110-20-20. Fees. 
    A. Unless otherwise provided, fees listed in this section shall  not be refundable. 
    B. Unless otherwise provided, any fees for taking required  examinations shall be paid directly to the examination service as specified by  the board. 
    C. Initial application fees. 
           | 1.    Pharmacist license | $180 | 
       | 2. Pharmacy intern registration | $15 | 
       | 3. Pharmacy technician    registration | $25 | 
       | 4. Pharmacy permit | $270 | 
       | 5. Permitted physician    licensed to dispense drugs | $270 | 
       | 6. Medical equipment    supplier permit | $180 | 
       | 7. Humane society permit | $20 | 
       | 8. Nonresident pharmacy | $270 | 
       | 9. Controlled substances    registrations  | $90 | 
       | 10. Innovative program    approval. If the board determines    that a technical consultant is required in order to make a decision on    approval, any consultant fee, not to exceed the actual cost, shall also be    paid by the applicant in addition to the application fee. | $250 | 
       | 11. Approval of a    pharmacy technician training program | $150 | 
       | 12. Approval of a    continuing education program | $100 | 
  
    D. Annual renewal fees. 
           | 1. Pharmacist active    license | $90 | 
       | 2. Pharmacist inactive    license | $45 | 
       | 3. Pharmacy technician    registration | $25 | 
       | 4. Pharmacy permit | $270 | 
       | 5. Physician permit to    practice pharmacy | $270 | 
       | 6. Medical equipment    supplier permit | $180 | 
       | 7. Humane society permit | $20 | 
       | 8. Nonresident pharmacy | $270 | 
       | 9. Controlled substances    registrations | $90 | 
       | 10. Innovative program    continued approval based on board order not to exceed $200 per approval    period. |   | 
       | 11. Approval of a    pharmacy technician training program | $75 every two years | 
  
    E. Late fees. The following late fees shall be paid in  addition to the current renewal fee to renew an expired license within one year  of the expiration date or within two years in the case of a pharmacy technician  training program. In addition, engaging in activities requiring a license,  permit, or registration after the expiration date of such license, permit, or  registration shall be grounds for disciplinary action by the board. 
           | 1. Pharmacist license | $30 | 
       | 2. Pharmacist inactive    license | $15 | 
       | 3. Pharmacy technician    registration | $10 | 
       | 4. Pharmacy permit | $90 | 
       | 5. Physician permit to practice    pharmacy | $90 | 
       | 6. Medical equipment    supplier permit | $60 | 
       | 7. Humane society permit | $5 | 
       | 8. Nonresident pharmacy | $90 | 
       | 9. Controlled substances    registrations | $30 | 
       | 10. Approval of a    pharmacy technician training program | $15 | 
  
    F. Reinstatement fees. Any person or entity attempting to  renew a license, permit, or registration more than one year after the  expiration date, or more than two years after the expiration date in the case  of a pharmacy technician training program, shall submit an application for reinstatement  with any required fees. Reinstatement is at the discretion of the board and,  except for reinstatement following license revocation or suspension, may be  granted by the executive director of the board upon completion of an  application and payment of any required fees. 
           | 1. Pharmacist license | $210 | 
       | 2. Pharmacist license    after revocation or suspension | $500 | 
       | 3. Pharmacy technician    registration | $35 | 
       | 4. Pharmacy technician    registration after revocation or suspension | $125 | 
       | 5. Facilities or entities    that cease operation and wish to resume shall not be eligible for    reinstatement but shall apply for a new permit or registration. Facilities or    entities that failed to renew and continued to operate for more than one    renewal cycle shall pay the current and all back renewal fees for the years    in which they were operating plus the following reinstatement fees: |   | 
       | a. Pharmacy permit | $240 | 
       | b. Physician permit to practice pharmacy | $240 | 
       | c. Medical equipment supplier permit | $210 | 
       | d. Humane society permit | $30 | 
       | e. Nonresident pharmacy | $115 | 
       | f. Controlled substances registration | $180 | 
       | g. Approval of a pharmacy technician training program | $75 | 
  
    G. Application for change or inspection fees for facilities  or other entities. 
           | 1. Change of    pharmacist-in-charge | $50 | 
       | 2. Change of ownership    for any facility | $50 | 
       | 3. Inspection for    remodeling or change of location for any facility | 150 | 
       | 4. Reinspection of any    facility | $150 | 
       | 5. Board-required    inspection for a robotic pharmacy system | $150 | 
       | 6. Board-required    inspection of an innovative program location | $150 | 
       | 7. Change of pharmacist    responsible for an approved innovative program | $25 | 
  
    H. Miscellaneous fees. 
           | 1. Duplicate wall    certificate | $25 | 
       | 2. Returned check | $35 | 
  
    I. For the annual renewal due on the stated dates, the  following fees shall be imposed for a license, permit, or registration: 
           | 1. Pharmacist active    license – December 31, 2009 | $50 | 
       | 2. Pharmacist inactive    license – December 31, 2009 | $25 | 
       | 3. Pharmacy technician    registration – December 31, 2009 | $15 | 
       | 4. Pharmacy permit –    April 30, 2010 | $210 | 
       | 5. Physician permit to    practice pharmacy – February 28, 2010 | $210 | 
       | 6. Medical equipment    supplier permit – February 28, 2010 | $140 | 
       | 7. Humane society permit    – February 28, 2010 | $20 | 
       | 8. Nonresident pharmacy –    April 30, 2010 | $210 | 
       | 9. Controlled substances    registrations – February 28, 2010 | $50 | 
  
    18VAC110-30-15. Fees. 
    A. Unless otherwise provided, fees listed in this section  shall not be refundable. 
    B. Fee for initial license for a practitioner of the healing  arts to sell controlled substances. 
    1. The application fee for initial licensure shall be $240. 
    2. The application fee for reinstatement of a license that has  been revoked or suspended indefinitely shall be $500. 
    C. Renewal of license for a practitioner of the healing arts  to sell controlled substances. 
    1. The annual fee for renewal of an active license shall be  $90. For the annual renewal due on before December 31, 2006 2009,  the fee shall be $50. 
    2. The late fee for renewal of a license within one year after  the expiration date is $30 in addition to the annual renewal fee. 
    3. The fee for reinstatement of a license expired for more  than one year shall be $210. 
    D. The fee for reinspection of any facility shall be $150. 
    E. The fee for a returned check shall be $35. 
    18VAC110-50-20. Fees. 
    A. Unless otherwise provided, fees listed in this section  shall not be refundable. 
    B. Initial application fees. 
           | 1. Nonrestricted    manufacturer permit | $270 | 
       | 2. Restricted    manufacturer permit | $180 | 
       | 3. Wholesale distributor    license | $270 | 
       | 4. Warehouser permit | $270 | 
       | 5. Nonresident wholesale    distributor | $270 | 
       | 6. Controlled substances    registration | $90 | 
  
    C. Annual renewal fees. 
           | 1.    Nonrestricted manufacturer permit | $270 | 
       | 2.    Restricted manufacturer permit | $180 | 
       | 3. Wholesale distributor    license | $270 | 
       | 4. Warehouser permit | $270 | 
       | 5. Nonresident wholesale    distributor | $270 | 
       | 6. Controlled substances    registration | $90 | 
  
    D. Late fees. The following late fees shall be paid in  addition to the current renewal fee to renew an expired license within one year  of the expiration date. In addition, engaging in activities requiring a  license, permit, or registration after the expiration date of such license,  permit, or registration shall be grounds for disciplinary action by the board. 
           | 1.    Nonrestricted manufacturer permit | $90 | 
       | 2. Restricted manufacturer    permit | $60 | 
       | 3. Wholesale distributor    license | $90 | 
       | 4. Warehouser permit | $90 | 
       | 5. Nonresident wholesale    distributor | $90 | 
       | 6. Controlled substances    registration | $30 | 
  
    E. Reinstatement fees. 
    1. Any entity attempting to renew a license, permit, or registration  more than one year after the expiration date shall submit an application for  reinstatement with any required fees. Reinstatement is at the discretion of the  board and, except for reinstatement following license revocation or suspension,  may be granted by the executive director of the board upon completion of an  application and payment of any required fees. 
    2. Engaging in activities requiring a license, permit, or  registration after the expiration date of such license, permit, or registration  shall be grounds for disciplinary action by the board. Facilities or entities  that cease operation and wish to resume shall not be eligible for  reinstatement, but shall apply for a new permit or registration. 
    3. Facilities or entities that failed to renew and continued  to operate for more than one renewal cycle shall pay the current and all back  renewal fees for the years in which they were operating plus the following  reinstatement fees: 
           | a. Nonrestricted manufacturer permit | $240 | 
       | b. Restricted manufacturer permit | $210 | 
       | c. Wholesale distributor license | $240 | 
       | d. Warehouser permit | $240 | 
       | e. Nonresident wholesale distributor | $240 | 
       | f. Controlled substances registration | $180 | 
  
    F. Application for change or inspection fees. 
           | 1. Reinspection fee | $150 | 
       | 2. Inspection fee for    change of location, structural changes, or security system changes | $150 | 
       | 3. Change of ownership    fee | $50 | 
       | 4. Change of responsible    party | $50 | 
  
    G. The fee for a returned  check shall be $35. 
    H. For the annual renewal due on or before December  31, 2006 February 28, 2010, the following fees shall be imposed for  a license or permit: 
           | 1. Nonrestricted manufacturer permit | $210 | 
       | 2. Restricted manufacturer permit | $140 | 
       | 3. Wholesale distributor license | $210 | 
       | 4. Warehouser permit | $210 | 
       | 5. Nonresident wholesale distributor | $210 | 
  
    VA.R. Doc. No. R10-2110; Filed September 9, 2009, 11:24 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
    Final Regulation
        REGISTRAR'S NOTICE: The  following regulatory action is exempt from the Administrative Process Act in  accordance with § 2.2-4006 A 7 of the Code of Virginia, which excludes  regulations of the regulatory boards served by the Department of Health  Professions pursuant to Title 54.1 that are limited to reducing fees charged to  regulants and applicants. The Board of Pharmacy will receive, consider, and  respond to petitions by any interested person at any time with respect to  reconsideration or revision.
         Titles of Regulations: 18VAC110-20. Regulations  Governing the Practice of Pharmacy (amending 18VAC110-20-20).
    18VAC110-30. Regulations for Practitioners of the Healing  Arts to Sell Controlled Substances (amending 18VAC110-30-15).
    18VAC110-50. Regulations Governing Wholesale Distributors,  Manufacturers, and Warehousers (amending 18VAC110-50-20).
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Effective Date: October 28, 2009.
    Agency Contact: Elizabeth Scott Russell, RPh, Executive  Director, Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4456, FAX (804) 527-4472, or email  scotti.russell@dhp.virginia.gov.
    Summary:
    The amendments provide for a one-time reduction in renewal  fees. The amendments reduce the annual renewal fee for pharmacists and  physicians selling controlled substances from $90 to $50 and reduce the annual  renewal fee for pharmacy technicians from $25 to $15. Fees for inactive  licensure, which are approximately one-half the active renewal fee, are reduced  correspondingly. Renewal fees for facilities are reduced from $270 to $210  (pharmacies, physician permit, nonrestricted manufacturers, wholesale  distributors, warehousers) and for restricted manufacturers or medical  equipment suppliers from $180 to $140. 
    18VAC110-20-20. Fees. 
    A. Unless otherwise provided, fees listed in this section shall  not be refundable. 
    B. Unless otherwise provided, any fees for taking required  examinations shall be paid directly to the examination service as specified by  the board. 
    C. Initial application fees. 
           | 1.    Pharmacist license | $180 | 
       | 2. Pharmacy intern registration | $15 | 
       | 3. Pharmacy technician    registration | $25 | 
       | 4. Pharmacy permit | $270 | 
       | 5. Permitted physician    licensed to dispense drugs | $270 | 
       | 6. Medical equipment    supplier permit | $180 | 
       | 7. Humane society permit | $20 | 
       | 8. Nonresident pharmacy | $270 | 
       | 9. Controlled substances    registrations  | $90 | 
       | 10. Innovative program    approval. If the board determines    that a technical consultant is required in order to make a decision on    approval, any consultant fee, not to exceed the actual cost, shall also be    paid by the applicant in addition to the application fee. | $250 | 
       | 11. Approval of a    pharmacy technician training program | $150 | 
       | 12. Approval of a    continuing education program | $100 | 
  
    D. Annual renewal fees. 
           | 1. Pharmacist active    license | $90 | 
       | 2. Pharmacist inactive    license | $45 | 
       | 3. Pharmacy technician    registration | $25 | 
       | 4. Pharmacy permit | $270 | 
       | 5. Physician permit to    practice pharmacy | $270 | 
       | 6. Medical equipment    supplier permit | $180 | 
       | 7. Humane society permit | $20 | 
       | 8. Nonresident pharmacy | $270 | 
       | 9. Controlled substances    registrations | $90 | 
       | 10. Innovative program    continued approval based on board order not to exceed $200 per approval    period. |   | 
       | 11. Approval of a    pharmacy technician training program | $75 every two years | 
  
    E. Late fees. The following late fees shall be paid in  addition to the current renewal fee to renew an expired license within one year  of the expiration date or within two years in the case of a pharmacy technician  training program. In addition, engaging in activities requiring a license,  permit, or registration after the expiration date of such license, permit, or  registration shall be grounds for disciplinary action by the board. 
           | 1. Pharmacist license | $30 | 
       | 2. Pharmacist inactive    license | $15 | 
       | 3. Pharmacy technician    registration | $10 | 
       | 4. Pharmacy permit | $90 | 
       | 5. Physician permit to practice    pharmacy | $90 | 
       | 6. Medical equipment    supplier permit | $60 | 
       | 7. Humane society permit | $5 | 
       | 8. Nonresident pharmacy | $90 | 
       | 9. Controlled substances    registrations | $30 | 
       | 10. Approval of a    pharmacy technician training program | $15 | 
  
    F. Reinstatement fees. Any person or entity attempting to  renew a license, permit, or registration more than one year after the  expiration date, or more than two years after the expiration date in the case  of a pharmacy technician training program, shall submit an application for reinstatement  with any required fees. Reinstatement is at the discretion of the board and,  except for reinstatement following license revocation or suspension, may be  granted by the executive director of the board upon completion of an  application and payment of any required fees. 
           | 1. Pharmacist license | $210 | 
       | 2. Pharmacist license    after revocation or suspension | $500 | 
       | 3. Pharmacy technician    registration | $35 | 
       | 4. Pharmacy technician    registration after revocation or suspension | $125 | 
       | 5. Facilities or entities    that cease operation and wish to resume shall not be eligible for    reinstatement but shall apply for a new permit or registration. Facilities or    entities that failed to renew and continued to operate for more than one    renewal cycle shall pay the current and all back renewal fees for the years    in which they were operating plus the following reinstatement fees: |   | 
       | a. Pharmacy permit | $240 | 
       | b. Physician permit to practice pharmacy | $240 | 
       | c. Medical equipment supplier permit | $210 | 
       | d. Humane society permit | $30 | 
       | e. Nonresident pharmacy | $115 | 
       | f. Controlled substances registration | $180 | 
       | g. Approval of a pharmacy technician training program | $75 | 
  
    G. Application for change or inspection fees for facilities  or other entities. 
           | 1. Change of    pharmacist-in-charge | $50 | 
       | 2. Change of ownership    for any facility | $50 | 
       | 3. Inspection for    remodeling or change of location for any facility | 150 | 
       | 4. Reinspection of any    facility | $150 | 
       | 5. Board-required    inspection for a robotic pharmacy system | $150 | 
       | 6. Board-required    inspection of an innovative program location | $150 | 
       | 7. Change of pharmacist    responsible for an approved innovative program | $25 | 
  
    H. Miscellaneous fees. 
           | 1. Duplicate wall    certificate | $25 | 
       | 2. Returned check | $35 | 
  
    I. For the annual renewal due on the stated dates, the  following fees shall be imposed for a license, permit, or registration: 
           | 1. Pharmacist active    license – December 31, 2009 | $50 | 
       | 2. Pharmacist inactive    license – December 31, 2009 | $25 | 
       | 3. Pharmacy technician    registration – December 31, 2009 | $15 | 
       | 4. Pharmacy permit –    April 30, 2010 | $210 | 
       | 5. Physician permit to    practice pharmacy – February 28, 2010 | $210 | 
       | 6. Medical equipment    supplier permit – February 28, 2010 | $140 | 
       | 7. Humane society permit    – February 28, 2010 | $20 | 
       | 8. Nonresident pharmacy –    April 30, 2010 | $210 | 
       | 9. Controlled substances    registrations – February 28, 2010 | $50 | 
  
    18VAC110-30-15. Fees. 
    A. Unless otherwise provided, fees listed in this section  shall not be refundable. 
    B. Fee for initial license for a practitioner of the healing  arts to sell controlled substances. 
    1. The application fee for initial licensure shall be $240. 
    2. The application fee for reinstatement of a license that has  been revoked or suspended indefinitely shall be $500. 
    C. Renewal of license for a practitioner of the healing arts  to sell controlled substances. 
    1. The annual fee for renewal of an active license shall be  $90. For the annual renewal due on before December 31, 2006 2009,  the fee shall be $50. 
    2. The late fee for renewal of a license within one year after  the expiration date is $30 in addition to the annual renewal fee. 
    3. The fee for reinstatement of a license expired for more  than one year shall be $210. 
    D. The fee for reinspection of any facility shall be $150. 
    E. The fee for a returned check shall be $35. 
    18VAC110-50-20. Fees. 
    A. Unless otherwise provided, fees listed in this section  shall not be refundable. 
    B. Initial application fees. 
           | 1. Nonrestricted    manufacturer permit | $270 | 
       | 2. Restricted    manufacturer permit | $180 | 
       | 3. Wholesale distributor    license | $270 | 
       | 4. Warehouser permit | $270 | 
       | 5. Nonresident wholesale    distributor | $270 | 
       | 6. Controlled substances    registration | $90 | 
  
    C. Annual renewal fees. 
           | 1.    Nonrestricted manufacturer permit | $270 | 
       | 2.    Restricted manufacturer permit | $180 | 
       | 3. Wholesale distributor    license | $270 | 
       | 4. Warehouser permit | $270 | 
       | 5. Nonresident wholesale    distributor | $270 | 
       | 6. Controlled substances    registration | $90 | 
  
    D. Late fees. The following late fees shall be paid in  addition to the current renewal fee to renew an expired license within one year  of the expiration date. In addition, engaging in activities requiring a  license, permit, or registration after the expiration date of such license,  permit, or registration shall be grounds for disciplinary action by the board. 
           | 1.    Nonrestricted manufacturer permit | $90 | 
       | 2. Restricted manufacturer    permit | $60 | 
       | 3. Wholesale distributor    license | $90 | 
       | 4. Warehouser permit | $90 | 
       | 5. Nonresident wholesale    distributor | $90 | 
       | 6. Controlled substances    registration | $30 | 
  
    E. Reinstatement fees. 
    1. Any entity attempting to renew a license, permit, or registration  more than one year after the expiration date shall submit an application for  reinstatement with any required fees. Reinstatement is at the discretion of the  board and, except for reinstatement following license revocation or suspension,  may be granted by the executive director of the board upon completion of an  application and payment of any required fees. 
    2. Engaging in activities requiring a license, permit, or  registration after the expiration date of such license, permit, or registration  shall be grounds for disciplinary action by the board. Facilities or entities  that cease operation and wish to resume shall not be eligible for  reinstatement, but shall apply for a new permit or registration. 
    3. Facilities or entities that failed to renew and continued  to operate for more than one renewal cycle shall pay the current and all back  renewal fees for the years in which they were operating plus the following  reinstatement fees: 
           | a. Nonrestricted manufacturer permit | $240 | 
       | b. Restricted manufacturer permit | $210 | 
       | c. Wholesale distributor license | $240 | 
       | d. Warehouser permit | $240 | 
       | e. Nonresident wholesale distributor | $240 | 
       | f. Controlled substances registration | $180 | 
  
    F. Application for change or inspection fees. 
           | 1. Reinspection fee | $150 | 
       | 2. Inspection fee for    change of location, structural changes, or security system changes | $150 | 
       | 3. Change of ownership    fee | $50 | 
       | 4. Change of responsible    party | $50 | 
  
    G. The fee for a returned  check shall be $35. 
    H. For the annual renewal due on or before December  31, 2006 February 28, 2010, the following fees shall be imposed for  a license or permit: 
           | 1. Nonrestricted manufacturer permit | $210 | 
       | 2. Restricted manufacturer permit | $140 | 
       | 3. Wholesale distributor license | $210 | 
       | 4. Warehouser permit | $210 | 
       | 5. Nonresident wholesale distributor | $210 | 
  
    VA.R. Doc. No. R10-2110; Filed September 9, 2009, 11:24 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
    Final Regulation
        REGISTRAR'S NOTICE: The  following regulatory action is exempt from the Administrative Process Act in  accordance with § 2.2-4006 A 7 of the Code of Virginia, which excludes  regulations of the regulatory boards served by the Department of Health  Professions pursuant to Title 54.1 that are limited to reducing fees charged to  regulants and applicants. The Board of Pharmacy will receive, consider, and  respond to petitions by any interested person at any time with respect to  reconsideration or revision.
         Titles of Regulations: 18VAC110-20. Regulations  Governing the Practice of Pharmacy (amending 18VAC110-20-20).
    18VAC110-30. Regulations for Practitioners of the Healing  Arts to Sell Controlled Substances (amending 18VAC110-30-15).
    18VAC110-50. Regulations Governing Wholesale Distributors,  Manufacturers, and Warehousers (amending 18VAC110-50-20).
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Effective Date: October 28, 2009.
    Agency Contact: Elizabeth Scott Russell, RPh, Executive  Director, Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA  23233-1463, telephone (804) 367-4456, FAX (804) 527-4472, or email  scotti.russell@dhp.virginia.gov.
    Summary:
    The amendments provide for a one-time reduction in renewal  fees. The amendments reduce the annual renewal fee for pharmacists and  physicians selling controlled substances from $90 to $50 and reduce the annual  renewal fee for pharmacy technicians from $25 to $15. Fees for inactive  licensure, which are approximately one-half the active renewal fee, are reduced  correspondingly. Renewal fees for facilities are reduced from $270 to $210  (pharmacies, physician permit, nonrestricted manufacturers, wholesale  distributors, warehousers) and for restricted manufacturers or medical  equipment suppliers from $180 to $140. 
    18VAC110-20-20. Fees. 
    A. Unless otherwise provided, fees listed in this section shall  not be refundable. 
    B. Unless otherwise provided, any fees for taking required  examinations shall be paid directly to the examination service as specified by  the board. 
    C. Initial application fees. 
           | 1.    Pharmacist license | $180 | 
       | 2. Pharmacy intern registration | $15 | 
       | 3. Pharmacy technician    registration | $25 | 
       | 4. Pharmacy permit | $270 | 
       | 5. Permitted physician    licensed to dispense drugs | $270 | 
       | 6. Medical equipment    supplier permit | $180 | 
       | 7. Humane society permit | $20 | 
       | 8. Nonresident pharmacy | $270 | 
       | 9. Controlled substances    registrations  | $90 | 
       | 10. Innovative program    approval. If the board determines    that a technical consultant is required in order to make a decision on    approval, any consultant fee, not to exceed the actual cost, shall also be    paid by the applicant in addition to the application fee. | $250 | 
       | 11. Approval of a    pharmacy technician training program | $150 | 
       | 12. Approval of a    continuing education program | $100 | 
  
    D. Annual renewal fees. 
           | 1. Pharmacist active    license | $90 | 
       | 2. Pharmacist inactive    license | $45 | 
       | 3. Pharmacy technician    registration | $25 | 
       | 4. Pharmacy permit | $270 | 
       | 5. Physician permit to    practice pharmacy | $270 | 
       | 6. Medical equipment    supplier permit | $180 | 
       | 7. Humane society permit | $20 | 
       | 8. Nonresident pharmacy | $270 | 
       | 9. Controlled substances    registrations | $90 | 
       | 10. Innovative program    continued approval based on board order not to exceed $200 per approval    period. |   | 
       | 11. Approval of a    pharmacy technician training program | $75 every two years | 
  
    E. Late fees. The following late fees shall be paid in  addition to the current renewal fee to renew an expired license within one year  of the expiration date or within two years in the case of a pharmacy technician  training program. In addition, engaging in activities requiring a license,  permit, or registration after the expiration date of such license, permit, or  registration shall be grounds for disciplinary action by the board. 
           | 1. Pharmacist license | $30 | 
       | 2. Pharmacist inactive    license | $15 | 
       | 3. Pharmacy technician    registration | $10 | 
       | 4. Pharmacy permit | $90 | 
       | 5. Physician permit to practice    pharmacy | $90 | 
       | 6. Medical equipment    supplier permit | $60 | 
       | 7. Humane society permit | $5 | 
       | 8. Nonresident pharmacy | $90 | 
       | 9. Controlled substances    registrations | $30 | 
       | 10. Approval of a    pharmacy technician training program | $15 | 
  
    F. Reinstatement fees. Any person or entity attempting to  renew a license, permit, or registration more than one year after the  expiration date, or more than two years after the expiration date in the case  of a pharmacy technician training program, shall submit an application for reinstatement  with any required fees. Reinstatement is at the discretion of the board and,  except for reinstatement following license revocation or suspension, may be  granted by the executive director of the board upon completion of an  application and payment of any required fees. 
           | 1. Pharmacist license | $210 | 
       | 2. Pharmacist license    after revocation or suspension | $500 | 
       | 3. Pharmacy technician    registration | $35 | 
       | 4. Pharmacy technician    registration after revocation or suspension | $125 | 
       | 5. Facilities or entities    that cease operation and wish to resume shall not be eligible for    reinstatement but shall apply for a new permit or registration. Facilities or    entities that failed to renew and continued to operate for more than one    renewal cycle shall pay the current and all back renewal fees for the years    in which they were operating plus the following reinstatement fees: |   | 
       | a. Pharmacy permit | $240 | 
       | b. Physician permit to practice pharmacy | $240 | 
       | c. Medical equipment supplier permit | $210 | 
       | d. Humane society permit | $30 | 
       | e. Nonresident pharmacy | $115 | 
       | f. Controlled substances registration | $180 | 
       | g. Approval of a pharmacy technician training program | $75 | 
  
    G. Application for change or inspection fees for facilities  or other entities. 
           | 1. Change of    pharmacist-in-charge | $50 | 
       | 2. Change of ownership    for any facility | $50 | 
       | 3. Inspection for    remodeling or change of location for any facility | 150 | 
       | 4. Reinspection of any    facility | $150 | 
       | 5. Board-required    inspection for a robotic pharmacy system | $150 | 
       | 6. Board-required    inspection of an innovative program location | $150 | 
       | 7. Change of pharmacist    responsible for an approved innovative program | $25 | 
  
    H. Miscellaneous fees. 
           | 1. Duplicate wall    certificate | $25 | 
       | 2. Returned check | $35 | 
  
    I. For the annual renewal due on the stated dates, the  following fees shall be imposed for a license, permit, or registration: 
           | 1. Pharmacist active    license – December 31, 2009 | $50 | 
       | 2. Pharmacist inactive    license – December 31, 2009 | $25 | 
       | 3. Pharmacy technician    registration – December 31, 2009 | $15 | 
       | 4. Pharmacy permit –    April 30, 2010 | $210 | 
       | 5. Physician permit to    practice pharmacy – February 28, 2010 | $210 | 
       | 6. Medical equipment    supplier permit – February 28, 2010 | $140 | 
       | 7. Humane society permit    – February 28, 2010 | $20 | 
       | 8. Nonresident pharmacy –    April 30, 2010 | $210 | 
       | 9. Controlled substances    registrations – February 28, 2010 | $50 | 
  
    18VAC110-30-15. Fees. 
    A. Unless otherwise provided, fees listed in this section  shall not be refundable. 
    B. Fee for initial license for a practitioner of the healing  arts to sell controlled substances. 
    1. The application fee for initial licensure shall be $240. 
    2. The application fee for reinstatement of a license that has  been revoked or suspended indefinitely shall be $500. 
    C. Renewal of license for a practitioner of the healing arts  to sell controlled substances. 
    1. The annual fee for renewal of an active license shall be  $90. For the annual renewal due on before December 31, 2006 2009,  the fee shall be $50. 
    2. The late fee for renewal of a license within one year after  the expiration date is $30 in addition to the annual renewal fee. 
    3. The fee for reinstatement of a license expired for more  than one year shall be $210. 
    D. The fee for reinspection of any facility shall be $150. 
    E. The fee for a returned check shall be $35. 
    18VAC110-50-20. Fees. 
    A. Unless otherwise provided, fees listed in this section  shall not be refundable. 
    B. Initial application fees. 
           | 1. Nonrestricted    manufacturer permit | $270 | 
       | 2. Restricted    manufacturer permit | $180 | 
       | 3. Wholesale distributor    license | $270 | 
       | 4. Warehouser permit | $270 | 
       | 5. Nonresident wholesale    distributor | $270 | 
       | 6. Controlled substances    registration | $90 | 
  
    C. Annual renewal fees. 
           | 1.    Nonrestricted manufacturer permit | $270 | 
       | 2.    Restricted manufacturer permit | $180 | 
       | 3. Wholesale distributor    license | $270 | 
       | 4. Warehouser permit | $270 | 
       | 5. Nonresident wholesale    distributor | $270 | 
       | 6. Controlled substances    registration | $90 | 
  
    D. Late fees. The following late fees shall be paid in  addition to the current renewal fee to renew an expired license within one year  of the expiration date. In addition, engaging in activities requiring a  license, permit, or registration after the expiration date of such license,  permit, or registration shall be grounds for disciplinary action by the board. 
           | 1.    Nonrestricted manufacturer permit | $90 | 
       | 2. Restricted manufacturer    permit | $60 | 
       | 3. Wholesale distributor    license | $90 | 
       | 4. Warehouser permit | $90 | 
       | 5. Nonresident wholesale    distributor | $90 | 
       | 6. Controlled substances    registration | $30 | 
  
    E. Reinstatement fees. 
    1. Any entity attempting to renew a license, permit, or registration  more than one year after the expiration date shall submit an application for  reinstatement with any required fees. Reinstatement is at the discretion of the  board and, except for reinstatement following license revocation or suspension,  may be granted by the executive director of the board upon completion of an  application and payment of any required fees. 
    2. Engaging in activities requiring a license, permit, or  registration after the expiration date of such license, permit, or registration  shall be grounds for disciplinary action by the board. Facilities or entities  that cease operation and wish to resume shall not be eligible for  reinstatement, but shall apply for a new permit or registration. 
    3. Facilities or entities that failed to renew and continued  to operate for more than one renewal cycle shall pay the current and all back  renewal fees for the years in which they were operating plus the following  reinstatement fees: 
           | a. Nonrestricted manufacturer permit | $240 | 
       | b. Restricted manufacturer permit | $210 | 
       | c. Wholesale distributor license | $240 | 
       | d. Warehouser permit | $240 | 
       | e. Nonresident wholesale distributor | $240 | 
       | f. Controlled substances registration | $180 | 
  
    F. Application for change or inspection fees. 
           | 1. Reinspection fee | $150 | 
       | 2. Inspection fee for    change of location, structural changes, or security system changes | $150 | 
       | 3. Change of ownership    fee | $50 | 
       | 4. Change of responsible    party | $50 | 
  
    G. The fee for a returned  check shall be $35. 
    H. For the annual renewal due on or before December  31, 2006 February 28, 2010, the following fees shall be imposed for  a license or permit: 
           | 1. Nonrestricted manufacturer permit | $210 | 
       | 2. Restricted manufacturer permit | $140 | 
       | 3. Wholesale distributor license | $210 | 
       | 4. Warehouser permit | $210 | 
       | 5. Nonresident wholesale distributor | $210 | 
  
    VA.R. Doc. No. R10-2110; Filed September 9, 2009, 11:24 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF COUNSELING
Fast-Track Regulation
    Titles of Regulations: 18VAC115-20. Regulations  Governing the Practice of Professional Counseling (amending 18VAC115-20-106).
    18VAC115-50. Regulations Governing the Practice of Marriage  and Family Therapy (amending 18VAC115-50-96).
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Hearing Information: No public hearings are  scheduled. 
    Public Comment Deadline: October 28, 2009.
    Effective Date: November 12, 2009. 
    Agency Contact: Evelyn B. Brown, Executive Director,  Board of Counseling, 9960 Mayland Drive, Suite 300, Richmond, VA 23233,  telephone (804) 367-4488, FAX (804) 527-4435, or email  evelyn.brown@dhp.virginia.gov.
    Basis: Section 54.1-2400 of the Code of Virginia provides  the Board of Counseling the authority to promulgate regulations to administer  the regulatory system.
    Purpose: The purpose of the amendments is to recognize  an additional professional body as approved to offer continuing education and  supervisor training. This action is in response to a petitioner's request. The  American Association of Pastoral Counselors (AAPC) has an established history  of professionalism and high standards for training of supervisors, so its  recognition and acceptance as an organization that can provide education and  training courses is consistent with the board's responsibility to protect the  health, safety, and welfare of the public. The supervisory requirements for  pastoral counselors certified by AAPC are rigorous and lengthy and exceed the  standards set by the board, so the public is well-protected by having a  residency supervised by a licensee who has obtained supervision training from  AAPC.
    Rationale for Using Fast-Track Process: A fast-track  process is being used to promulgate this regulation because the addition of  another approved provider of continuing education and supervisor training  offers increased opportunities for licensees to meet the board's current  requirements. Since the regulation is more inclusive, and the AAPC is an  established body recognized for its professionalism, there should be no  controversy.
    Substance: The action would amend 18VAC115-20-106 and  18VAC115-50-96 to add the American Association of Pastoral Counselors to the  list of approved providers of continuing education. The organizations in the  list are referenced in 18VAC115-20-52 and 18VAC115-50-60 as recognized as also  approved to provide the training required to become a supervisor of a  residency.
    Issues: The advantage to the public may be the additional  availability of continuing education courses and training courses for  counselors and marriage and family therapists, which may make them safer to  practice. There are no disadvantages. There are no advantages or disadvantages  to the agency or the Commonwealth.
    The Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Board of  Counseling proposes to add another professional group to the list of entities  that are approved to offer continuing educations and supervisor training.
    Result of Analysis. The benefits likely exceed the costs for  this proposed change.
    Estimated Economic Impact. Current Board regulations contain a  list of entities that are able to approve or certify workshops, seminars,  conferences or courses that can be used to satisfy continuing education  requirements/supervisor training requirements for licensed professional  counselors and licensed marriage and family therapists. The Board proposes to  add the American Association of Pastoral Counselors (AAPC) to this list. This  means that licensees will be able to get credit toward Board required education  for classes that are approved by AAPC. Since licensees will not be required to  take classes through AAPC, they would likely only choose these classes if the  are no more expensive or inconvenient than other, already approved,  alternatives.  Consequently, licensees are not likely to incur any  additional cost on account of this proposed change. Licensees may, however,  benefit from having additional training opportunities available that may prove  to be less costly or more convenient.
    Businesses and Entities Affected. This regulatory action will  affect the 3,220 professional counselors and 849 marriage and family therapists  that are currently licensed by the Board, as well as any individuals who become  licensed at some point in the future.
    Localities Particularly Affected. No locality will be  particularly affected by this proposed regulatory action.
    Projected Impact on Employment. This regulatory action will  likely have no impact on employment in the Commonwealth.
    Effects on the Use and Value of Private Property. This  regulatory action will likely have no effect on the use or value of private  property in the Commonwealth.
    Small Businesses: Costs and Other Effects. Small businesses in  the Commonwealth are unlikely to incur any costs on account of this regulatory  action.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. Small businesses in the Commonwealth are unlikely to incur any costs on  account of this regulatory action.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  36 (06). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    Agency's Response to the Department of Planning and Budget's  Economic Impact Analysis: The Board of Counseling concurs with the analysis  of the Department of Planning and Budget on proposed amended regulations for  18VAC115-20, Regulations Governing the Practice of Professional Counseling and  18VAC115-50, Regulations Governing the Practice of Marriage and Family  Therapists.
    Summary: 
    The proposed amendments add the American Association of  Pastoral Counselors to the list of organizations approved to provide continuing  education for professional counselors and marriage and family therapists and to  offer training for persons who want to qualify to supervise a residency.
    18VAC115-20-106. Continuing competency activity criteria. 
    A. Continuing competency activities must focus on increasing  knowledge or skills in one or more of the following areas: 
    1. Ethics, standards of practice or laws governing behavioral  science professions; 
    2. Counseling theory; 
    3. Human growth and development; 
    4. Social and cultural foundations; 
    5. The helping relationship; 
    6. Group dynamics, processing and counseling; 
    7. Lifestyle and career development; 
    8. Appraisal of individuals; 
    9. Research and evaluation; 
    10. Professional orientation; 
    11. Clinical supervision; 
    12. Marriage and family therapy; or 
    13. Addictions. 
    B. Approved hours of continuing competency activity shall be  one of the following types: 
    1. Formally organized learning activities or home study.  Activities may be counted at their full hour value. Hours shall be obtained  from one or a combination of the following board-approved, mental  health-related activities: 
    a. Regionally accredited university or college level academic  courses in a behavioral health discipline. 
    b. Continuing education programs offered by universities or  colleges. 
    c. Workshops, seminars, conferences, or courses in the  behavioral health field offered by federal, state or licensed health facilities  and licensed hospitals. 
    d. Workshops, seminars, conferences or courses in the  behavioral health field offered by an individual or organization that has been  certified or approved by one of the following: 
    (1) The American Association of Marriage and Family Counselors  and its state affiliates. 
    (2) The American Association of Marriage and Family Therapists  and its state affiliates. 
    (3) The American Association of State Counseling Boards. 
    (4) The American Counseling Association and its state and  local affiliates. 
    (5) The American Psychological Association and its state  affiliates. 
    (6) The Commission on Rehabilitation Counselor Certification. 
    (7) NAADAC, The Association for Addiction Professionals and  its state and local affiliates. 
    (8) National Association of Social Workers. 
    (9) National Board for Certified Counselors. 
    (10) A national behavioral health organization or  certification body. 
    (11) Individuals or organizations that have been approved as  continuing competency sponsors by the American Association of State Counseling  Boards or a counseling board in another state. 
    (12) The American Association of Pastoral Counselors.
    2. Individual professional activities. 
    a. Publication/presentation/new program development. 
    (1) Publication of articles. Activity will count for a maximum  of eight hours. Publication activities are limited to articles in refereed  journals or a chapter in an edited book. 
    (2) Publication of books. Activity will count for a maximum of  18 hours. 
    (3) Presentations. Activity will count for a maximum of eight  hours. The same presentations may be used only once in a two-year period. Only  actual presentation time may be counted. 
    (4) New program development Activity will count for a maximum  of eight hours. New program development includes a new course, seminar, or  workshop. New courses shall be graduate or undergraduate level college or  university courses. 
    b. Dissertation. Activity will count for a maximum of 18  hours. Dissertation credit may only be counted once. 
    c. Clinical supervision/consultation. Activity will count for  a maximum of ten hours. Continuing competency can only be granted for clinical  supervision/consultation received on a regular basis with a set agenda.  Continuing competency cannot be granted for supervision that you provide to  others. 
    d. Leadership. Activity will count for a maximum of eight  hours. The following leadership positions are acceptable for continuing  competency credit: officers of state or national counseling organization;  editor and/or reviewer of professional counseling journals; member of state  counseling licensure/certification board; member of a national counselor  certification board; member of a national ethics disciplinary review committee  rendering licenses; active member of a counseling committee producing a  substantial written product; chair of a major counseling conference or  convention; other leadership positions with justifiable professional learning  experiences. The leadership positions must take place for a minimum of one year  after the date of first licensure. 
    e. Practice related programs. Activity will count up to a  maximum of eight hours. The board may allow up to eight contact hours of  continuing competency as long as the regulant submits proof of attendance plus  a written justification of how the activity assists him in his direct service  of his clients. Examples include language courses, software training, medical  topics, etc. 
    18VAC115-50-96. Continuing competency activity criteria. 
    A. Continuing competency activities must focus on increasing  knowledge or skills in one or more of the following areas: 
    1. Ethics, standards of practice or laws governing behavioral  science professions; 
    2. Counseling theory; 
    3. Human growth and development; 
    4. Social and cultural foundations; 
    5. The helping relationship; 
    6. Group dynamics, processing and counseling; 
    7. Lifestyle and career development; 
    8. Appraisal of individuals; 
    9. Research and evaluation; 
    10. Professional orientation; 
    11. Clinical supervision; 
    12. Marriage and family therapy; or 
    13. Addictions. 
    B. Approved hours of continuing competency activity shall be  one of the following types: 
    1. Formally organized learning activities or home study.  Activities may be counted at their full hour value. Hours shall be obtained  from one or a combination of the following board-approved, mental  health-related activities: 
    a. Regionally accredited university or college level academic  courses in a behavioral health discipline. 
    b. Continuing education programs offered by universities or  colleges. 
    c. Workshops, seminars, conferences, or courses in the  behavioral health field offered by federal, state or local licensed health  facilities and licensed hospitals. 
    d. Workshops, seminars, conferences or courses in the  behavioral health field offered by an individual or organization that has been  certified or approved by one of the following: 
    (1) The American Association of Marriage and Family Counselors  and its state affiliates. 
    (2) The American Association of Marriage and Family Therapists  and its state affiliates. 
    (3) The American Association of State Counseling Boards. 
    (4) The American Counseling Association and its state and  local affiliates. 
    (5) The American Psychological Association and its state  affiliates. 
    (6) The Commission on Rehabilitation Counselor Certification. 
    (7) NAADAC, The Association for Addiction Professionals. and  its state and local affiliates. 
    (8) National Association of Social Workers. 
    (9) National Board for Certified Counselors. 
    (10) A national behavioral health organization or  certification body. 
    (11) Individuals or organizations that have been approved as  continuing competency sponsors by the American Association of State Counseling  Boards or a counseling board in another state. 
    (12) The American Association of Pastoral Counselors.
    2. Individual professional activities. 
    a. Publication/presentation/new program development. 
    (1) Publication of articles. Activity will count for a maximum  of eight hours. Publication activities are limited to articles in refereed  journals or a chapter in an edited book. 
    (2) Publication of books. Activity will count for a maximum of  18 hours. 
    (3) Presentations. Activity will count for a maximum of eight  hours. The same presentations may be used only once in a two-year period. Only  actual presentation time may be counted. 
    (4) New program development activity will count for a maximum  of eight hours. New program development includes a new course, seminar, or  workshop. New courses shall be graduate or undergraduate level college or  university courses. 
    b. Dissertation. Activity will count for a maximum of 18  hours. Dissertation credit may only be counted once. 
    c. Clinical supervision/consultation. Activity will count for  a maximum of ten hours. Continuing competency can only be granted for clinical  supervision/consultation received on a regular basis with a set agenda.  Continuing competency cannot be granted for supervision that you provide to  others. 
    d. Leadership. Activity will count for a maximum of eight  hours. The following leadership positions are acceptable for continuing  competency credit: officers of state or national counseling organization;  editor and/or reviewer of professional counseling journals; member of state counseling  licensure/certification board; member of a national counselor certification  board; member of a national ethics disciplinary review committee rendering  licenses; active member of a counseling committee producing a substantial  written product; chair of a major counseling conference or convention; other  leadership positions with justifiable professional learning experiences. The  leadership positions must take place for a minimum of one year after the date  of first licensure. 
    e. Practice related programs. Activity will count up to a  maximum of eight hours. The board may allow up to eight contact hours of  continuing competency as long as the regulant submits proof of attendance plus  a written justification of how the activity assists him in his direct service  of his clients. Examples include language courses, software training, medical  topics, etc. 
    VA.R. Doc. No. R09-22; Filed September 9, 2009, 11:25 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF COUNSELING
Fast-Track Regulation
    Titles of Regulations: 18VAC115-20. Regulations  Governing the Practice of Professional Counseling (amending 18VAC115-20-106).
    18VAC115-50. Regulations Governing the Practice of Marriage  and Family Therapy (amending 18VAC115-50-96).
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Public Hearing Information: No public hearings are  scheduled. 
    Public Comment Deadline: October 28, 2009.
    Effective Date: November 12, 2009. 
    Agency Contact: Evelyn B. Brown, Executive Director,  Board of Counseling, 9960 Mayland Drive, Suite 300, Richmond, VA 23233,  telephone (804) 367-4488, FAX (804) 527-4435, or email  evelyn.brown@dhp.virginia.gov.
    Basis: Section 54.1-2400 of the Code of Virginia provides  the Board of Counseling the authority to promulgate regulations to administer  the regulatory system.
    Purpose: The purpose of the amendments is to recognize  an additional professional body as approved to offer continuing education and  supervisor training. This action is in response to a petitioner's request. The  American Association of Pastoral Counselors (AAPC) has an established history  of professionalism and high standards for training of supervisors, so its  recognition and acceptance as an organization that can provide education and  training courses is consistent with the board's responsibility to protect the  health, safety, and welfare of the public. The supervisory requirements for  pastoral counselors certified by AAPC are rigorous and lengthy and exceed the  standards set by the board, so the public is well-protected by having a  residency supervised by a licensee who has obtained supervision training from  AAPC.
    Rationale for Using Fast-Track Process: A fast-track  process is being used to promulgate this regulation because the addition of  another approved provider of continuing education and supervisor training  offers increased opportunities for licensees to meet the board's current  requirements. Since the regulation is more inclusive, and the AAPC is an  established body recognized for its professionalism, there should be no  controversy.
    Substance: The action would amend 18VAC115-20-106 and  18VAC115-50-96 to add the American Association of Pastoral Counselors to the  list of approved providers of continuing education. The organizations in the  list are referenced in 18VAC115-20-52 and 18VAC115-50-60 as recognized as also  approved to provide the training required to become a supervisor of a  residency.
    Issues: The advantage to the public may be the additional  availability of continuing education courses and training courses for  counselors and marriage and family therapists, which may make them safer to  practice. There are no disadvantages. There are no advantages or disadvantages  to the agency or the Commonwealth.
    The Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Board of  Counseling proposes to add another professional group to the list of entities  that are approved to offer continuing educations and supervisor training.
    Result of Analysis. The benefits likely exceed the costs for  this proposed change.
    Estimated Economic Impact. Current Board regulations contain a  list of entities that are able to approve or certify workshops, seminars,  conferences or courses that can be used to satisfy continuing education  requirements/supervisor training requirements for licensed professional  counselors and licensed marriage and family therapists. The Board proposes to  add the American Association of Pastoral Counselors (AAPC) to this list. This  means that licensees will be able to get credit toward Board required education  for classes that are approved by AAPC. Since licensees will not be required to  take classes through AAPC, they would likely only choose these classes if the  are no more expensive or inconvenient than other, already approved,  alternatives.  Consequently, licensees are not likely to incur any  additional cost on account of this proposed change. Licensees may, however,  benefit from having additional training opportunities available that may prove  to be less costly or more convenient.
    Businesses and Entities Affected. This regulatory action will  affect the 3,220 professional counselors and 849 marriage and family therapists  that are currently licensed by the Board, as well as any individuals who become  licensed at some point in the future.
    Localities Particularly Affected. No locality will be  particularly affected by this proposed regulatory action.
    Projected Impact on Employment. This regulatory action will  likely have no impact on employment in the Commonwealth.
    Effects on the Use and Value of Private Property. This  regulatory action will likely have no effect on the use or value of private  property in the Commonwealth.
    Small Businesses: Costs and Other Effects. Small businesses in  the Commonwealth are unlikely to incur any costs on account of this regulatory  action.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. Small businesses in the Commonwealth are unlikely to incur any costs on  account of this regulatory action.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  36 (06). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    Agency's Response to the Department of Planning and Budget's  Economic Impact Analysis: The Board of Counseling concurs with the analysis  of the Department of Planning and Budget on proposed amended regulations for  18VAC115-20, Regulations Governing the Practice of Professional Counseling and  18VAC115-50, Regulations Governing the Practice of Marriage and Family  Therapists.
    Summary: 
    The proposed amendments add the American Association of  Pastoral Counselors to the list of organizations approved to provide continuing  education for professional counselors and marriage and family therapists and to  offer training for persons who want to qualify to supervise a residency.
    18VAC115-20-106. Continuing competency activity criteria. 
    A. Continuing competency activities must focus on increasing  knowledge or skills in one or more of the following areas: 
    1. Ethics, standards of practice or laws governing behavioral  science professions; 
    2. Counseling theory; 
    3. Human growth and development; 
    4. Social and cultural foundations; 
    5. The helping relationship; 
    6. Group dynamics, processing and counseling; 
    7. Lifestyle and career development; 
    8. Appraisal of individuals; 
    9. Research and evaluation; 
    10. Professional orientation; 
    11. Clinical supervision; 
    12. Marriage and family therapy; or 
    13. Addictions. 
    B. Approved hours of continuing competency activity shall be  one of the following types: 
    1. Formally organized learning activities or home study.  Activities may be counted at their full hour value. Hours shall be obtained  from one or a combination of the following board-approved, mental  health-related activities: 
    a. Regionally accredited university or college level academic  courses in a behavioral health discipline. 
    b. Continuing education programs offered by universities or  colleges. 
    c. Workshops, seminars, conferences, or courses in the  behavioral health field offered by federal, state or licensed health facilities  and licensed hospitals. 
    d. Workshops, seminars, conferences or courses in the  behavioral health field offered by an individual or organization that has been  certified or approved by one of the following: 
    (1) The American Association of Marriage and Family Counselors  and its state affiliates. 
    (2) The American Association of Marriage and Family Therapists  and its state affiliates. 
    (3) The American Association of State Counseling Boards. 
    (4) The American Counseling Association and its state and  local affiliates. 
    (5) The American Psychological Association and its state  affiliates. 
    (6) The Commission on Rehabilitation Counselor Certification. 
    (7) NAADAC, The Association for Addiction Professionals and  its state and local affiliates. 
    (8) National Association of Social Workers. 
    (9) National Board for Certified Counselors. 
    (10) A national behavioral health organization or  certification body. 
    (11) Individuals or organizations that have been approved as  continuing competency sponsors by the American Association of State Counseling  Boards or a counseling board in another state. 
    (12) The American Association of Pastoral Counselors.
    2. Individual professional activities. 
    a. Publication/presentation/new program development. 
    (1) Publication of articles. Activity will count for a maximum  of eight hours. Publication activities are limited to articles in refereed  journals or a chapter in an edited book. 
    (2) Publication of books. Activity will count for a maximum of  18 hours. 
    (3) Presentations. Activity will count for a maximum of eight  hours. The same presentations may be used only once in a two-year period. Only  actual presentation time may be counted. 
    (4) New program development Activity will count for a maximum  of eight hours. New program development includes a new course, seminar, or  workshop. New courses shall be graduate or undergraduate level college or  university courses. 
    b. Dissertation. Activity will count for a maximum of 18  hours. Dissertation credit may only be counted once. 
    c. Clinical supervision/consultation. Activity will count for  a maximum of ten hours. Continuing competency can only be granted for clinical  supervision/consultation received on a regular basis with a set agenda.  Continuing competency cannot be granted for supervision that you provide to  others. 
    d. Leadership. Activity will count for a maximum of eight  hours. The following leadership positions are acceptable for continuing  competency credit: officers of state or national counseling organization;  editor and/or reviewer of professional counseling journals; member of state  counseling licensure/certification board; member of a national counselor  certification board; member of a national ethics disciplinary review committee  rendering licenses; active member of a counseling committee producing a  substantial written product; chair of a major counseling conference or  convention; other leadership positions with justifiable professional learning  experiences. The leadership positions must take place for a minimum of one year  after the date of first licensure. 
    e. Practice related programs. Activity will count up to a  maximum of eight hours. The board may allow up to eight contact hours of  continuing competency as long as the regulant submits proof of attendance plus  a written justification of how the activity assists him in his direct service  of his clients. Examples include language courses, software training, medical  topics, etc. 
    18VAC115-50-96. Continuing competency activity criteria. 
    A. Continuing competency activities must focus on increasing  knowledge or skills in one or more of the following areas: 
    1. Ethics, standards of practice or laws governing behavioral  science professions; 
    2. Counseling theory; 
    3. Human growth and development; 
    4. Social and cultural foundations; 
    5. The helping relationship; 
    6. Group dynamics, processing and counseling; 
    7. Lifestyle and career development; 
    8. Appraisal of individuals; 
    9. Research and evaluation; 
    10. Professional orientation; 
    11. Clinical supervision; 
    12. Marriage and family therapy; or 
    13. Addictions. 
    B. Approved hours of continuing competency activity shall be  one of the following types: 
    1. Formally organized learning activities or home study.  Activities may be counted at their full hour value. Hours shall be obtained  from one or a combination of the following board-approved, mental  health-related activities: 
    a. Regionally accredited university or college level academic  courses in a behavioral health discipline. 
    b. Continuing education programs offered by universities or  colleges. 
    c. Workshops, seminars, conferences, or courses in the  behavioral health field offered by federal, state or local licensed health  facilities and licensed hospitals. 
    d. Workshops, seminars, conferences or courses in the  behavioral health field offered by an individual or organization that has been  certified or approved by one of the following: 
    (1) The American Association of Marriage and Family Counselors  and its state affiliates. 
    (2) The American Association of Marriage and Family Therapists  and its state affiliates. 
    (3) The American Association of State Counseling Boards. 
    (4) The American Counseling Association and its state and  local affiliates. 
    (5) The American Psychological Association and its state  affiliates. 
    (6) The Commission on Rehabilitation Counselor Certification. 
    (7) NAADAC, The Association for Addiction Professionals. and  its state and local affiliates. 
    (8) National Association of Social Workers. 
    (9) National Board for Certified Counselors. 
    (10) A national behavioral health organization or  certification body. 
    (11) Individuals or organizations that have been approved as  continuing competency sponsors by the American Association of State Counseling  Boards or a counseling board in another state. 
    (12) The American Association of Pastoral Counselors.
    2. Individual professional activities. 
    a. Publication/presentation/new program development. 
    (1) Publication of articles. Activity will count for a maximum  of eight hours. Publication activities are limited to articles in refereed  journals or a chapter in an edited book. 
    (2) Publication of books. Activity will count for a maximum of  18 hours. 
    (3) Presentations. Activity will count for a maximum of eight  hours. The same presentations may be used only once in a two-year period. Only  actual presentation time may be counted. 
    (4) New program development activity will count for a maximum  of eight hours. New program development includes a new course, seminar, or  workshop. New courses shall be graduate or undergraduate level college or  university courses. 
    b. Dissertation. Activity will count for a maximum of 18  hours. Dissertation credit may only be counted once. 
    c. Clinical supervision/consultation. Activity will count for  a maximum of ten hours. Continuing competency can only be granted for clinical  supervision/consultation received on a regular basis with a set agenda.  Continuing competency cannot be granted for supervision that you provide to  others. 
    d. Leadership. Activity will count for a maximum of eight  hours. The following leadership positions are acceptable for continuing  competency credit: officers of state or national counseling organization;  editor and/or reviewer of professional counseling journals; member of state counseling  licensure/certification board; member of a national counselor certification  board; member of a national ethics disciplinary review committee rendering  licenses; active member of a counseling committee producing a substantial  written product; chair of a major counseling conference or convention; other  leadership positions with justifiable professional learning experiences. The  leadership positions must take place for a minimum of one year after the date  of first licensure. 
    e. Practice related programs. Activity will count up to a  maximum of eight hours. The board may allow up to eight contact hours of  continuing competency as long as the regulant submits proof of attendance plus  a written justification of how the activity assists him in his direct service  of his clients. Examples include language courses, software training, medical  topics, etc. 
    VA.R. Doc. No. R09-22; Filed September 9, 2009, 11:25 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
REAL ESTATE APPRAISER BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  following regulatory action is exempt from the Administrative Process Act in  accordance with § 2.2-4006 A 4 c of the Code of Virginia, which excludes  regulations that are necessary to meet the requirements of federal law or  regulations, provided such regulations do not differ materially from those  required by federal law or regulation. The Real Estate Appraiser Board will  receive, consider, and respond to petitions by any interested person at any  time with respect to reconsideration or revision.
         Title of Regulation: 18VAC130-20. Real Estate  Appraiser Board Rules and Regulations (amending 18VAC130-20-10).
    Statutory Authority: § 54.1-2013 of the Code of  Virginia.
    Effective Date: November 1, 2009.
    Agency Contact: Christine Martine, Executive Director,  Real Estate Appraiser Board, 9960 Mayland Drive, Suite 400, Richmond, VA 23233,  telephone (804) 367-8552, FAX (804) 527-4298, or email  reappraisers@dpor.virginia.gov.
    Summary:
    Under the provisions of Title XI of the Financial  Institutions Reform, Recovery and Enforcement Act (FIRREA), the Appraiser  Qualifications Board (AQB) establishes the minimum education, experience, and  examination requirements for real property appraisers to obtain state licensure  or certification. During the May 2009, Appraisal Subcommittee (ASC) field  review, the Real Estate Appraiser Board was informed that the four categories  of experience defined in 18VAC130-20-10 do not comply with the AQB requirements  for experience that went into effect on January 1, 2008. The regulations are  amended to comply with the federal requirements. The board's forms are also  updated.
    Part I 
  General 
    18VAC130-20-10. Definitions.
    The following words and terms when used in this chapter,  unless a different meaning is provided or is plainly required by the context,  shall have the following meanings: 
    "Accredited colleges, universities, junior and community  colleges" means those accredited institutions of higher learning approved  by the Virginia Council of Higher Education or listed in the Transfer Credit  Practices of Designated Educational Institutions, published by the American  Association of Collegiate Registrars and Admissions Officers or a recognized  international equivalent. 
    "Adult distributive or marketing education  programs" means those programs offered at schools approved by the Virginia  Department of Education or any other local, state, or federal government  agency, board or commission to teach adult education or marketing courses. 
    "Analysis" means a study of real estate or real  property other than the estimation of value. 
    "Appraisal Foundation" means the foundation  incorporated as an Illinois Not for Profit Corporation on November 30, 1987, to  establish and improve uniform appraisal standards by defining, issuing and  promoting such standards. 
    "Appraisal subcommittee" means the designees of the  heads of the federal financial institutions regulatory agencies established by  the Federal Financial Institutions Examination Council Act of 1978 (12 USC §  3301 et seq.), as amended. 
    "Appraiser" means one who is expected to perform  valuation services competently and in a manner that is independent, impartial  and objective. 
    "Appraiser classification" means any category of  appraiser which the board creates by designating criteria for qualification for  such category and by designating the scope of practice permitted for such  category. 
    "Appraiser Qualifications Board" means the board  created by the Appraisal Foundation to establish appropriate criteria for the  certification and recertification of qualified appraisers by defining, issuing  and promoting such qualification criteria; to disseminate such qualification  criteria to states, governmental entities and others; and to develop or assist  in the development of appropriate examinations for qualified appraisers. 
    "Appraiser trainee" means an individual who is  licensed as an appraiser trainee to appraise those properties which the  supervising appraiser is permitted to appraise. 
    "Business entity" means any corporation,  partnership, association or other business entity under which appraisal  services are performed. 
    "Certified general real estate appraiser" means an  individual who meets the requirements for licensure that relate to the  appraisal of all types of real estate and real property and is licensed as a  certified general real estate appraiser. 
    "Certified instructor" means an individual holding  an instructor certificate issued by the Real Estate Appraiser Board to act as  an instructor. 
    "Certified residential real estate appraiser" means  an individual who meets the requirements for licensure for the appraisal of or  the review appraisal of any residential real estate or real property of one to  four residential units regardless of transaction value or complexity. Certified  residential real estate appraisers may also appraise or provide a review  appraisal of nonresidential properties with a transaction value up to $250,000.  
    "Classroom hour" means 50 minutes out of each  60-minute segment. The prescribed number of classroom hours includes time  devoted to tests which are considered to be part of the course. 
    "Distance education" means an educational process  based on the geographical separation of provider and student (i.e., CD-ROM,  on-line learning, correspondence courses, etc.). 
    "Experience" as used in this chapter includes but  is not limited to experience gained in the performance of traditional appraisal  assignments, or in the performance of the following: fee and staff appraisals,  ad valorem tax appraisal, review appraisal, appraisal analysis, real estate  consulting, highest and best use analysis, and feasibility analysis/study. 
    For the purpose of this chapter, experience has been divided  into four major categories: (i) fee and staff appraisal, (ii) ad valorem tax  appraisal, (iii) review appraisal, and (iv) real estate consulting. 
    1. "Fee/staff appraiser experience" means experience  acquired as either a sole appraiser, as a cosigner, or through disclosure of  assistance in the certification in accordance with the Uniform Standards of  Professional Appraisal Practice. 
    Sole appraiser experience is experience obtained by an  individual who makes personal inspections of real estate, assembles and  analyzes the relevant facts, and by the use of reason and the exercise of judgment,  forms objective opinions and prepares reports as to the market value or other  properly defined value of identified interests in said real estate. 
    Cosigner appraiser experience is experience obtained by an  individual who signs an appraisal report prepared by another, thereby accepting  full responsibility for the content and conclusions of the appraisal. 
    To qualify for fee/staff appraiser experience, an individual  must have prepared written appraisal reports which meet minimum standards.  For appraisal reports dated prior to July 1, 1991, these minimum standards  include the following (if any item is not applicable, the applicant shall  adequately state the reasons for the exclusions): 
    a. An adequate identification of the real estate and the  interests being appraised; 
    b. The purpose of the report, date of value, and date of  report; 
    c. A definition of the value being appraised; 
    d. A determination of highest and best use; 
    e. An estimate of land value; 
    f. The usual valuation approaches for the property type  being appraised or the reason for excluding any of these approaches; 
    g. A reconciliation and conclusion as to the property's  value; 
    h. Disclosure of assumptions or limiting conditions, if  any; and 
    i. Signature of appraiser. 
    For appraisal reports dated subsequent to July 1, 1991, the  minimum standards for written appraisal reports are those as prescribed in  Standard 2 of after January 30, 1989, that comply with the Uniform  Standards of Professional Appraisal Practice in the edition in effect at the  time of the reports' preparation, including Standards 1 and 2. 
    2. "Ad valorem tax appraisal experience" means  experience obtained by an individual who assembles and analyzes the relevant  facts, and who correctly employs those recognized methods and techniques that  are necessary to produce and communicate credible appraisals within the context  of the real property tax laws. Ad valorem tax appraisal experience may be  obtained either through individual property appraisals or through mass  appraisals as long as applicants under this category of experience can  demonstrate that they are using techniques to value real property similar to  those being used by fee/staff appraisers and that they are effectively  utilizing the appraisal process. 
    To qualify for ad valorem tax appraisal experience for  individual property appraisals, an individual must have prepared written  appraisal reports which meet minimum standards. For appraisal reports dated  prior to July 1, 1991, these minimum standards include the following (if any  item is not applicable, the applicant shall adequately state the reasons for  the exclusions): 
    a. An adequate identification of the real estate and the  interests being appraised; 
    b. The effective date of value; 
    c. A definition of the value being appraised if other than  fee simple; 
    d. A determination of highest and best use; 
    e. An estimate of land value; 
    f. The usual valuation approaches for the property type  being appraised or the reason for excluding any of these approaches; 
    g. A reconciliation and conclusion as to the property's  value; and 
    h. Disclosure of assumptions or limiting conditions, if  any. 
    For appraisal reports dated subsequent to July 1, 1991, the  minimum standards for written appraisal reports are those as prescribed in after  January 30, 1989, that comply with the Uniform Standards of Professional  Appraisal Practice in the edition in effect at the time of the reports'  preparation. 
    To qualify for ad valorem tax appraisal experience for mass  appraisals, an individual must have prepared mass appraisals or have documented  mass appraisal files which meet minimum standards. For mass appraisals dated  prior to July 1, 1991, these minimum standards include the following (if any  item is not applicable, the applicant shall adequately state the reasons for  the exclusions): 
    a. An adequate identification of the real estate and the  interests being appraised; 
    b. The effective date of value; 
    c. A definition of the value being appraised if other than  fee simple; 
    d. A determination of highest and best use; 
    e. An estimate of land value; and 
    f. Those recognized methods and techniques that are  necessary to produce a credible appraisal. 
    For mass appraisal reports, the minimum standards for these  appraisal reports are those as prescribed in Standard 6 of after  January 30, 1989, that comply with the Uniform Standards of Professional  Appraisal Practice in the edition in effect at the time of the reports'  preparation, including Standard 6. 
    In addition to the preceding, to qualify for ad valorem tax  appraisal experience, the applicant's experience log must be attested to by the  applicant's supervisor. 
    3. "Reviewer experience" means experience obtained  by an individual who examines the reports of appraisers to determine whether  their conclusions are consistent with the data reported and other generally  known information. An individual acting in the capacity of a reviewer does not  necessarily make personal inspection of real estate, but does review and  analyze relevant facts assembled by fee/staff appraisers, and by the use of  reason and exercise of judgment, forms objective conclusions as to the validity  of fee/staff appraisers' opinions. Reviewer experience shall not constitute  more than 1,000 hours of total experience claimed and at least 50% of the review  experience claimed must be in field review wherein the individual has  personally inspected the real property which is the subject of the review. 
    To qualify for reviewer experience, an individual must have  prepared written reports after January 30, 1989, recommending the  acceptance, revision, or rejection of the fee/staff appraiser's opinions,  which written reports must meet minimum standards. For appraisal reviews dated  prior to July 1, 1991, these minimum standards include the following (if any  item is not applicable, the applicant shall adequately state the reasons for  the exclusions): 
    a. An identification of the report under review, the real  estate and real property interest being appraised, the effective date of the  opinion in the report under review, and the date of the review; 
    b. A description of the review process undertaken; 
    c. An opinion as to the adequacy and appropriateness of the  report being reviewed, and the reasons for any disagreement; 
    d. An opinion as to whether the analyses, opinions, and  conclusions in the report under review are appropriate and reasonable, and the  development of any reasons for any disagreement; 
    e. Signature of reviewer. 
    For appraisal review reports dated subsequent to July 1,  1991, the minimum standards for these appraisal reports are those as prescribed  in Standard 3 of that comply with the Uniform Standards of  Professional Appraisal Practice in the edition in effect at the time of the  reports' preparation, including Standard 3. 
    Signing as "Review Appraiser" on an appraisal report  prepared by another will not qualify an individual for experience in the  reviewer category. Experience gained in this capacity will be considered under  the cosigner subcategory of fee/staff appraiser experience. 
    4. "Real estate consulting experience" means  experience obtained by an individual who assembles and analyzes the relevant  facts and by the use of reason and the exercise of judgment, forms objective  opinions concerning matters other than value estimates relating to real property.  Real estate consulting experience includes, but is not necessarily limited to,  the following: 
           |   | Absorption Study Ad Valorem Tax Study
 Annexation Study
 Assemblage Study
 Assessment Study
 Condominium Conversion Study
 Cost-Benefit Study
 Cross Impact Study
 Depreciation/Cost Study
 Distressed Property Study
 Economic Base Analysis
 Economic Impact Study
 Economic Structure Analysis
 Eminent Domain Study
 Feasibility Study
 Highest and Best Use Study
 Impact Zone Study
 Investment Analysis Study
 Investment Strategy Study
 Land Development Study
 Land Suitability Study
 Land Use Study
 Location Analysis Study
 Market Analysis Study
 Market Strategy Study
 Market Turning Point Analysis
 Marketability Study
 Portfolio Study
 Rehabilitation Study
 Remodeling Study
 Rental Market Study
 Right of Way Study
 Site Analysis Study
 Utilization Study
 Urban Renewal Study
 Zoning Study
 | 
  
    To qualify for real estate consulting experience, an  individual must have prepared written reports which meet minimum standards.  For real estate consulting reports dated prior to July 1, 1991, these minimum  standards include the following (if any item is not applicable, the applicant  shall so state the reasons for the exclusions): 
    a. A definition of the problem; 
    b. An identification of the real estate under consideration  (if any); 
    c. Disclosure of the client's objective; 
    d. The effective date of the consulting assignment and date  of report; 
    e. The information considered, and the reasoning that  supports the analyses, opinions, and conclusions; 
    f. Any assumptions and limiting conditions that affect the  analyses, opinions, and conclusions; 
    g. Signature of real estate appraiser. 
    For real estate consulting reports dated subsequent to July  1, 1991, the minimum standards for these appraisal reports are those as  prescribed in Standard 4 of after January 30, 1989, that comply with  the Uniform Standards of Professional Appraisal Practice in the edition in  effect at the time of the reports' preparation, including Standards 4 and 5.  Real estate consulting shall not constitute more than 500 hours of experience  for any type of appraisal license. 
    "Inactive license" means a license that has been  renewed without meeting the continuing education requirements specified in this  chapter. Inactive licenses do not meet the requirements set forth in § 54.1-2011 of the Code of Virginia. 
    "Licensed residential real estate appraiser" means  an individual who meets the requirements for licensure for the appraisal of or  the review appraisal of any noncomplex, residential real estate or real  property of one to four residential units, including federally related  transactions, where the transaction value is less than $1 million. Licensed  residential real estate appraisers may also appraise or provide a review appraisal  of noncomplex, nonresidential properties with a transaction value up to  $250,000. 
    "Licensee" means any individual holding an active  license issued by the Real Estate Appraiser Board to act as a certified general  real estate appraiser, certified residential real estate appraiser, licensed  residential real estate appraiser, or appraiser trainee as defined,  respectively, in § 54.1-2009 of the Code of Virginia and in this chapter. 
    "Local, state or federal government agency, board or  commission" means an entity established by any local, federal or state  government to protect or promote the health, safety and welfare of its  citizens. 
    "Proprietary school" means a privately owned school  offering appraisal or appraisal related courses approved by the board. 
    "Provider" means accredited colleges, universities,  junior and community colleges; adult distributive or marketing education  programs; local, state or federal government agencies, boards or commissions;  proprietary schools; or real estate appraisal or real estate related  organizations. 
    "Real estate appraisal activity" means the act or  process of valuation of real property or preparing an appraisal report. 
    "Real estate appraisal" or "real estate  related organization" means any appraisal or real estate related  organization formulated on a national level, where its membership extends to  more than one state or territory of the United States. 
    "Reciprocity agreement" means a conditional  agreement between two or more states that will recognize one another's regulations  and laws for equal privileges for mutual benefit. 
    "Registrant" means any corporation, partnership,  association or other business entity which provides appraisal services and  which is registered with the Real Estate Appraiser Board in accordance with § 54.1-2011 E of the Code of Virginia. 
    "Reinstatement" means having a license or  registration restored to effectiveness after the expiration date has passed. 
    "Renewal" means continuing the effectiveness of a  license or registration for another period of time. 
    "Sole proprietor" means any individual, but not a  corporation, partnership or association, who is trading under his own name, or  under an assumed or fictitious name pursuant to the provisions of §§ 59.1-69  through 59.1-76 of the Code of Virginia. 
    "Substantially equivalent" is any educational  course or seminar, experience, or examination taken in this or another  jurisdiction which is equivalent in classroom hours, course content and  subject, and degree of difficulty, respectively, to those requirements outlined  in this chapter and Chapter 20.1 (§ 54.1-2009 et seq.) of Title 54.1 of  the Code of Virginia for licensure and renewal. 
    "Supervising appraiser" means any individual  holding a license issued by the Real Estate Appraiser Board to act as a certified  general real estate appraiser, certified residential real estate appraiser, or  licensed residential real estate appraiser who supervises any unlicensed person  acting as a real estate appraiser or an appraiser trainee as specified in this  chapter. 
    "Transaction value" means the monetary amount of a  transaction which may require the services of a certified or licensed appraiser  for completion. The transaction value is not always equal to the market value  of the real property interest involved. For loans or other extensions of  credit, the transaction value equals the amount of the loan or other extensions  of credit. For sales, leases, purchases and investments in or exchanges of real  property, the transaction value is the market value of the real property  interest involved. For the pooling of loans or interests in real property for  resale or purchase, the transaction value is the amount of the loan or the  market value of real property calculated with respect to each such loan or  interest in real property. 
    "Uniform Standards of Professional Appraisal  Practice" means those standards promulgated by the Appraisal Standards  Board of the Appraisal Foundation for use by all appraisers in the preparation  of appraisal reports. 
    "Valuation" means an estimate or opinion of the  value of real property. 
    "Valuation assignment" means an engagement for  which an appraiser is employed or retained to give an analysis, opinion or  conclusion that results in an estimate or opinion of the value of an identified  parcel of real property as of a specified date. 
    "Waiver" means the voluntary, intentional  relinquishment of a known right. 
        NOTICE: The forms used  in administering the above regulation are not being published; however, the  name of each form is listed below. The forms are available for public  inspection by contacting the agency contact for this regulation, or at the  office of the Registrar of Regulations, General Assembly Building, 2nd Floor,  Richmond, Virginia.
         FORMS  (18VAC130-20)
    Real Estate Appraiser Board License Application, 40LIC (rev.  2/08) (rev. 5/09). 
    Real Estate Appraiser Board Experience Log, 40EXP (rev.  2/08) (rev. 7/09). 
    Real Estate Appraiser Board Experience Verification Form,  40EXPVER (rev. 8/07) (rev. 4/09). 
    Real Estate Appraiser Board Experience Requirements, 40EXPREQ  (rev. 2/08) (rev. 4/09). 
    Real Estate Appraiser Board Trainee License Application,  40TRLIC (rev. 2/08) (rev. 5/09). 
    Real Estate Appraiser Board Trainee Supervisor Verification  Form, 40TRSUP (rev. 6/08) (rev. 4/09). 
    Real Estate Appraiser Business Registration Application,  40BUS (rev. 8/07) (rev. 4/09). 
    Real Estate Appraiser Board Pre-license Course Application,  40CRS (rev. 9/07) (rev. 4/09). 
    Real Estate Appraiser Board Instructor Certificate  Application, 40INSTR (rev. 8/07) (rev. 5/09). 
    Real Estate Appraiser Board Pre-license Renewal Course  Application, 40RENCRS (rev. 8/07) (rev. 2/09).
    Real Estate Appraiser Board Activate Application, 40ACT (rev.  8/07) (rev. 4/09).
    Real Estate Appraiser Board Temporary License Application, 40LIC  (rev. 8/07) 40TLIC (rev. 4/09).
    VA.R. Doc. No. R10-2115; Filed September 2, 2009, 12:09 p.m. 
TITLE 23. TAXATION
DEPARTMENT OF TAXATION
Final Regulation
    Title of Regulation: 23VAC10-210. Retail Sales and  Use Tax (amending 23VAC10-210-910).
    Statutory Authority: § 58.1-203 of the Code of  Virginia.
    Effective Date: October 28, 2009.
    Agency Contact: Bland Sutton, Analyst, Department of  Taxation, 600 East Main Street, Richmond, VA 23219, telephone (804) 371-2332,  FAX (804) 371-2355, or email bland.sutton@tax.virginia.gov.
    Summary:
    The application of the retail sales and use tax to  maintenance contracts that provide both parts and labor was amended by the 1994  General Assembly effective January 1, 1996. The amendments reflect this  statutory change and provide examples illustrating the tax application of this  change.
    Summary of Public Comments and Agency's Response: No  public comments were received by the promulgating agency. 
    23VAC10-210-910. Maintenance contracts and warranty plans.
    A. Definitions. The following words and terms when used in  this section shall have the following meanings unless the context clearly  indicates otherwise:
    "Maintenance contract" defined. As used in this  regulation the term "maintenance contract" means any an  agreement whereby a person agrees to maintain or repair an item of tangible  personal property over a specified period of time for a fee which that  is determined at the time when the agreement is entered into  made. A maintenance contract may provide for provision of labor  only, parts only, or labor and parts.
    B. Maintenance contracts, generally.
    1. Labor only contracts. Maintenance contracts which  that provide only solely for the furnishing of repair  labor are contracts for the provision of a service only services  and charges for such contracts are not subject to the tax taxable.  This includes software maintenance contracts that provide services, i.e.,  updates, revisions, replacements and programming, by electronic means such as  online downloads or online remote access. Persons providing repair services  under such contracts are liable for the tax on all items purchased for use  in making repairs used and consumed in the provision of their services.
    C. 2. Parts only contracts. Maintenance  contracts which that provide only solely for the  furnishing or replacement of parts, rather than labor, represent a sale  of tangible personal property. The total charge to the customer for such  parts only contracts is subject to the tax taxable.  Persons providing replacement parts may purchase such parts under a resale  certificate of exemption.
    Example: Buyer A purchases a maintenance contract from  Seller B that provides for repair and replacement parts only. It is stipulated  in the contract that all repair labor will be billed separately to the buyer  based on an hourly rate. This contract constitutes a parts only contract and is  100% taxable.
    D. 3. Parts and labor contracts. Maintenance  contracts, the terms of which provide that provide for the furnishing  of both repair or replacement parts and repair labor, represent a sale  of tangible personal property are a combination of taxable sales and  nontaxable services. As it is impossible to determine in advance the  percentages of labor and parts that will be provided under the contract, the  contract will be deemed to be a contract for one-half labor and one-half parts,  regardless of the percentages of labor and parts actually provided under the  contract. The Thus, one-half of the total charge for such contracts  a contract is subject to the tax since at the time the contract is  entered into it is impossible to ascertain what portion of future repair  transactions will represent parts and what portion will represent labor. Persons  providing maintenance pursuant to such contracts may purchase repair or  replacement parts under a resale certificate of exemption, but are liable for  the tax on all items purchased for their own personal use and consumption in  performing repairs or maintenance.
    Example 1: A maintenance contract provides that if  Purchaser C's refrigerator breaks down, Seller D will come out and fix it  (repair labor) and replace any parts that are defective (replacement parts) for  one year. The contract is a parts and labor contract and subject to tax on  one-half of the total contract price.
    Example 2: Buyer E purchases a maintenance contract for  computer hardware and software from Seller F. Under the terms of the contract,  Seller F provides 24-hour telephone hotline support, parts replacement for  hardware, new releases, updates, revisions, and replacements of licensed  software in tangible form, and services to correct programming errors. This  maintenance contract constitutes a parts and labor contract and would be  subject to the tax based on one-half the total contract price.
    Thus the tax will apply to the total charge for such  contracts, regardless of the fact that the contract may specify separate  charges for parts and labor. Persons providing maintenance pursuant to such  contracts may purchase repair or replacement parts under a resale certificate  of exemption, but are liable for the tax on all items purchased for use in  performing the repairs or maintenance.
    E. 4. After hours maintenance charges. Additional  Any additional charges for extended or after hours maintenance which  that are based upon a percentage of or addition to the standard  maintenance contract are taxable in the same manner as the contract upon which  the additional charges are based.
    Example: A maintenance contract that is part labor and part  replacement parts will continue to be taxed at one-half of the total charge  whether or not the buyer decides to add additional after hours protection to  the contract.
    F. 5. Extended warranty plans. The With  the exception of extended warranty plans issued by licensed insurance  companies, the tax applies to charges for extended warranty plans which  that provide for the provision of repair parts and labor. The  application of the tax to extended warranty plans is calculated in the same manner  as maintenance contracts in this subsection. Extended warranty plans issued  by an insurance company regulated by the Bureau of Insurance of the State  Corporation Commission are insurance transactions and are not subject to the  tax. For repairs generally, see 23VAC10-210-3050.
    VA.R. Doc. No. R07-248; Filed September 9, 2009, 12:36 p.m. 
 
                                                        ALLOCATION OF A PORTION OF THE COMMONWEALTH'S SHARE OF THE  CALENDAR YEAR 2009 NATIONAL LIMITATION FOR QUALIFIED SCHOOL CONSTRUCTION BONDS  UNDER THE AMERICAN RECOVERY AND REINVESTMENT ACT OF 2009
     The American Recovery and Reinvestment Act of 2009 (Pub. L. No.  111-5, 123 Stat. 355) was enacted on February 17, 2009 ("ARRA").   Section 3(a) of ARRA sets forth the purposes of ARRA, which include (i)  preserving and creating jobs and promoting economic recovery, (ii) assisting  those most impacted by the recession, (iii) investing in infrastructure that  will provide long-term economic benefits, and (iv) stabilizing State and local  government budgets, in order to minimize and avoid reductions in essential  services and counterproductive State and local tax increases.
    Section 1521(a), Title I, Division B of ARRA added Section 54F  to the Internal Revenue Code of 1986, as amended (the "Tax Code").   Section 54F provides for the issuance of qualified school construction bonds  ("QSCBs").  QSCBs are tax credit bonds that are designed to bear no  interest and may be issued to finance the construction, rehabilitation, or  repair of a public school facility or for qualifying public school facility  land acquisitions.  Among the conditions for the valid issuance of QSCBs is the  receipt of an award of the national limitation for the calendar year in which  the QSCBs are to be issued.
    Section 54F(c) creates a national limitation of $11 billion for  each of calendar years 2009 and 2010.  Section 54F(d)(1) requires the U.S.  Secretary of the Treasury to make allocations to the States in proportion to  the respective amounts each State is eligible to receive under Section 1124 of  the Elementary and Secondary Education Act of 1965 (20 U.S.C. 6333) for the  most recent federal fiscal year ending before the calendar year.   Pursuant to  Notice 2009-35 of the Internal Revenue Service (IRB 2009-17, dated April 27,  2009) (the "Notice"), the share of the calendar year 2009 national  limitation allocated to the Commonwealth of Virginia (the  "Commonwealth" or "Virginia") is $191,077,000 (the  "2009 Commonwealth Share").
    Section 54F(d)(1) also provides that the national limitation  amount allocated to a state for any calendar year shall be allocated by the  state to issuers within the state.  The Notice provides that eligible issuers  of QSCBs include states, political subdivisions as defined for purposes of  Section 103 of the Tax Code, large local educational agencies that are state or  local governmental entities, certain "on-behalf-of" issuers and  certain conduit financing issuers. Neither Virginia nor federal law provides any  process for making allocations of the 2009 Commonwealth Share to eligible  issuers.
    In order to effectuate the purposes of ARRA, it is imperative  that the Commonwealth begin allocating the 2009 Commonwealth Share to benefit  qualifying projects.
    In preparation for the initial allocation of the 2009  Commonwealth Share set forth herein, I directed the staff of the Virginia  Public School Authority ("VPSA") to survey the localities with  projects on the First Priority Waiting List for assistance from the Literary  Fund as of April 2009 (the "FPWL") to determine which FPWL localities  were interested in pursuing, and could qualify for, QSCB financing through a  VPSA pooled QSCB issue in the fall of 2009. 
    Accordingly, by virtue of the powers invested in me by Article  V of the Constitution of Virginia and Section 2.2-103 of the Code of Virginia  of 1950, as amended, as Governor of the Commonwealth of Virginia, I hereby  allocate to VPSA pursuant to Section 54F(d)(1) of the Tax Code a portion of the  2009 Commonwealth Share sufficient for VPSA to issue a face amount of QSCBs at  one time or from time to time to produce for each of the below-listed projects  an amount of net sale proceeds up to the maximum amount specified below:
    In order to facilitate (i) additional executive orders  allocating the 2009 Commonwealth Share to further the purposes of Section 3(a)  of ARRA and (ii) the carrying over to calendar year 2010 of any unused 2009  Commonwealth Share, the Secretary/Treasurer of VPSA shall notify the Chief of  Staff in writing of how much of the 2009 Commonwealth Share VPSA has used  pursuant to this Executive Order within five business days following each VPSA  issuance of the QSCBs contemplated hereby.
    This Executive Order shall be effective as of September 15,  2009, without any further act or filing and shall remain in force and effect so  long as Section 54F shall remain in effect, unless sooner rescinded or amended  by further executive order. I intend to issue an additional Executive Order to  provide for the allocation of the remaining 2009 Commonwealth Share and the  Commonwealth's share of the calendar year 2010 national limitation for QSCBs.
    Given under my hand and under the Seal of the Commonwealth of   Virginia this 4th day of September, 2009.
    /s/ Timothy M. Kaine