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, and notices of public hearings on  regulations.
    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.
    A  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 18 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. 29:5 VA.R. 1075-1192  November 5, 2012, refers to Volume 29, Issue 5, pages 1075 through 1192 of  the Virginia Register issued on 
  November 5, 2012.
    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: John  S. Edwards, Chair; James M. LeMunyon, Vice Chair, Gregory D.  Habeeb; Ryan T. McDougle; Pamela S. Baskervill; Robert L.  Calhoun; Carlos L. Hopkins; E.M. Miller, Jr.; Thomas M. Moncure, Jr.; Christopher  R. Nolen; Timothy Oksman; Charles S. Sharp; Robert L. Tavenner.
    Staff  of the Virginia Register: Jane  D. Chaffin, Registrar of Regulations; Karen Perrine, Assistant  Registrar; Anne Bloomsburg, Regulations Analyst; Rhonda Dyer, Publications  Assistant; Terri Edwards, Operations Staff Assistant.
         
       
                                                        PUBLICATION SCHEDULE AND DEADLINES
Vol. 32 Iss. 4 - October 19, 2015
October 2015 through October 2016
 
  | Volume: Issue | Material Submitted By Noon* | Will Be Published On | 
 
  | 32:4 | September 30, 2015 | October 19, 2015 | 
 
  | 32:5 | October 14, 2015 | November 2, 2015 | 
 
  | 32:6 | October 28, 2015 | November 16, 2015 | 
 
  | 32:7 | November 10, 2015 (Tuesday) | November 30, 2015 | 
 
  | 32:8 | November 24, 2015 (Tuesday) | December 14, 2015 | 
 
  | 32:9 | December 9, 2015 | December 28, 2015 | 
 
  | 32:10 | December 21, 2015 (Monday) | January 11, 2016 | 
 
  | 32:11 | January 6, 2016 | January 25, 2016 | 
 
  | 32:12 | January 20, 2016 | February 8, 2016 | 
 
  | 32:13 | February 3, 2016 | February 22, 2016 | 
 
  | 32:14 | February 17, 2016 | March 7, 2016 | 
 
  | 32:15 | March 2, 2016 | March 21, 2016 | 
 
  | 32:16 | March 16, 2016 | April 4, 2016 | 
 
  | 32:17 | March 30, 2016 | April 18, 2016 | 
 
  | 32:18 | April 13, 2016 | May 2, 2016 | 
 
  | 32:19 | April 27, 2016 | May 16, 2016 | 
 
  | 32:20 | May 11, 2016 | May 30, 2016 | 
 
  | 32:21 | May 25, 2016 | June 13, 2016 | 
 
  | 32:22 | June 8, 2016 | June 27, 2016 | 
 
  | 32:23 | June 22, 2016 | July 11, 2016 | 
 
  | 32:24 | July 6, 2016 | July 25, 2016 | 
 
  | 32:25 | July 20, 2016 | August 8, 2016 | 
 
  | 32:26 | August 3, 2016 | August 22, 2016 | 
 
  | 33:1 | August 17, 2016 | September 5, 2016 | 
 
  | 33:2 | August 31, 2016 | September 19, 2016 | 
 
  | 33:3 | September 14, 2016 | October 3, 2016 | 
 
  | 33:4 | September 28, 2016 | October 17, 2016 | 
 
  | 33:5 | October 12, 2016 | October 31, 2016 | 
*Filing deadlines are Wednesdays
unless otherwise specified.
 
   
                                                        PETITIONS FOR RULEMAKING
Vol. 32 Iss. 4 - October 19, 2015
TITLE 18. PROFESSIONAL AND  OCCUPATIONAL LICENSING
    BOARD OF DENTISTRY
    Agency Decision
    Title of Regulation:  18VAC60-20. Regulations Governing Dental Practice. 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Name of Petitioner: Terry Dickinson.
    Nature of Petitioner's Request: To amend regulations for  unprofessional conduct to adopt, by reference, the Principles of Ethics  and Code of Professional Conduct of the American Dental Association (ADA).
    Agency's Decision: Request denied.
    Statement of Reason for Decision: At its meeting on  September 18, 2015, the board voted to deny the petition. The board reviewed  comments on the petition, a crosswalk between the ADA Code and Virginia law and  regulation, and the ADA Code itself. Members were reminded that the board  relied heavily on the ADA Code in the 2010 development of amended regulations,  so most of the standards in the ADA Code are addressed in current or proposed  regulations. Additionally, some of the standards in the ADA Code, such as  participation in professional societies, are not appropriate to establish as  grounds for disciplinary action. While the board appreciates the aspirational  language of the ADA Code, it must rely on more objective standards on which to  base a finding of unprofessional conduct and discipline a licensee.
    Agency Contact: Elaine J. Yeatts, Agency Regulatory  Coordinator, Department of Health Professions, 9960 Mayland Drive, Suite  300, Richmond, VA 23233, telephone (804) 367-4688, or email  elaine.yeatts@dhp.virginia.gov.
    VA.R. Doc. No. R15-35; Filed September 18, 2015, 2:11 p.m.
         
       
                                                        
                                                        NOTICES OF INTENDED REGULATORY ACTION
Vol. 32 Iss. 4 - October 19, 2015
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
Rules Relating to Compulsory Minimum Training Standards for Correctional Officers of the Department of Corrections, Division of Adult Institutions
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Criminal Justice Services Board intends to  consider amending 6VAC20-100, Rules Relating to Compulsory Minimum Training  Standards for Correctional Officers of the Department of Corrections, Division  of Adult Institutions. The purpose of the proposed action is to revise the  minimum entry-level training standards as well as the hours needed for  corrections officers' compulsory minimum training standards. The proposed  action will remove the performance objectives for the compulsory minimum  training standards, and individuals will be directed to the Department of  Criminal Justice Services website to view the objectives. Additionally, the  proposed action will address the approval authority of the Criminal Justice  Services Board and the Committee on Training and make other changes to update  the regulation.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 9.1-102 of the Code of Virginia.
    Public Comment Deadline: November 18, 2015.
    Agency Contact: Barbara Peterson-Wilson, Law Enforcement Program  Coordinator, Department of Criminal Justice Services, 1100 Bank Street,  Richmond, VA 23219, telephone (804) 225-4503, FAX (804) 225-3853, or email  barbara.peterson-wilson@dcjs.virginia.gov.
    VA.R. Doc. No. R16-2873; Filed September 18, 2015, 10:12 a.m. 
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
Rules Relating to Minimum Training Standards for Juvenile Corrections Officers
Notice of Intended Regulatory Action 
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the Criminal Justice Services Board intends to  consider promulgating 6VAC20-290, Rules Relating to Minimum Training  Standards for Juvenile Corrections Officers. The purpose of the proposed  action is to establish minimum training standards for juvenile corrections  officers employed by the Department of Juvenile Justice pursuant to Chapter 159  of the 2012 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: § 9.1-102 of the Code of Virginia.
    Public Comment Deadline: November 18, 2015.
    Agency Contact: Barbara Peterson-Wilson, Law Enforcement  Program Coordinator, Department of Criminal Justice Services, 1100 Bank Street,  Richmond, VA 23219, telephone (804) 225-4503, FAX (804) 225-3853, or email  barbara.peterson-wilson@dcjs.virginia.gov.
    VA.R. Doc. No. R16-3958; Filed September 17, 2015, 2:03 p.m. 
 
                                                        REGULATIONS
Vol. 32 Iss. 4 - October 19, 2015
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
    Titles of Regulations: 2VAC5-60. Rules and  Regulations Governing the Operation of Livestock Markets (repealing 2VAC5-60-10 through 2VAC5-60-90).
    2VAC5-61. Rules and Regulations Governing Livestock Dealers  and Marketing Facilities for the Purpose of Controlling and Eradicating  Infectious and Contagious Diseases of Livestock (adding 2VAC5-61-10 through 2VAC5-61-80).
    2VAC5-120. Rules and Regulations Governing the Recordkeeping  by Virginia Cattle Dealers for the Control or Eradication of Brucellosis of  Cattle (repealing 2VAC5-120-10 through 2VAC5-120-80).  
    Statutory Authority: §§ 3.2-6001, 3.2-6002, and 3.2-6004  of the Code of Virginia.
    Effective Date: November 19, 2015. 
    Agency Contact: Charles Broaddus, D.V.M., Program  Manager, Office of Veterinary Services, Department of Agriculture and Consumer  Services, 102 Governor Street, Richmond, VA 23219, telephone (804) 786-4560,  FAX (804) 371-2380, or email charles.broaddus@vdacs.virginia.gov.
    Summary:
    This regulatory action  repeals 2VAC5-60 and 2VAC5-120 and promulgates a new regulation, 2VAC5-61,  Regulations Governing Livestock Dealers and Marketing Facilities for the  Purpose of Controlling and Eradicating Infectious and Contagious Diseases. The  regulation (i) provides for the operation of Virginia's livestock marketing  facilities, including requirements for sanitation and official identification  and recordkeeping, and (ii) removes the obsolete requirement that breeding  cattle sold at livestock markets be tested for brucellosis. Changes since the  proposed stage of the regulation include (i) removing camels, llamas, and  alpacas from regulation provisions; (ii) allowing 48 hours, instead of 24  hours, for removal of dead livestock from marketing facility premises; (iii)  requiring livestock be individually identified before leaving a marketing  facility and allowing the marketing facility to charge a fee for performing  such identification; and (iv) prohibiting livestock to reside or be slaughtered  at a marketing facility.
    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. 
    CHAPTER 61
  REGULATIONS GOVERNING LIVESTOCK DEALERS AND MARKETING FACILITIES FOR THE  PURPOSE OF CONTROLLING AND ERADICATING INFECTIOUS AND CONTAGIOUS DISEASES OF  LIVESTOCK
    2VAC5-61-10. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Animal waste" means livestock or poultry  excreta and associated feed losses, bedding, litter, or other materials.
    "Breeding cattle" means all sexually intact  cattle 18 months of age or older as evidenced by the presence of one or more  permanent incisor teeth, all female cattle that have produced a calf or are  exhibiting signs of pregnancy, all sexually intact females of dairy type  regardless of age, and any sexually intact bovine of any age that is purchased  or sold with the intent that it be used for breeding purposes.
    "Cattle" means all domestic and wild members of  the genera bos, bison, and bubalus to include domestic cattle, yak, bison, and  water buffalo.
    "Certificate of veterinary inspection" means an  official document, which may be in an electronic format, issued by a federal,  state, tribal, or accredited veterinarian certifying the inspection of animals.
    "Dairy type" means all cattle of, or primarily  of, a dairy or dual-purpose breed of cattle including but not limited to cattle  of the Ayrshire, Brown Swiss, Guernsey, Holstein, Jersey, Milking Shorthorn, or  similar breeds to include castrated males of such breeds.
    "Dealer" means any person who engages in or  facilitates, including by electronic means, the business of buying, selling,  auctioning, exchanging, or otherwise transferring ownership of livestock in the  Commonwealth for his own account or that of another person. A person who only  sells livestock of his own production or who buys livestock only for his own  production purposes shall not be considered a dealer under this chapter. 
    "Feeder cattle" means all cattle other than  breeding cattle and slaughter cattle.
    "Livestock" means all cattle, sheep, swine,  goats, horses, donkeys, [ and ] mules [ ,  camels, llamas, and alpacas ].
    "Marketing facility" means a livestock market;  stockyard; buying station; auction, consignment, or other sale venue; or any  other premises including those operating video, web-based, telephone, or other  types of electronic sales methods, where livestock from multiple owners  are commingled and assembled for sale or exchange in the Commonwealth.
    "Official identification" means a unique  identification number issued by a state or federal program, or other forms of  identification approved by the State Veterinarian.
    "Premises" means all grounds, structures, and  associated equipment used by the livestock facility including yards, docks,  pens, paddocks, alleys, sale rings, chutes, scales, and means of conveyance.
    "Slaughter cattle" means those cattle that are  purchased by or shipped without diversion to a state or federally inspected  slaughter establishment for immediate slaughter.
    "State Veterinarian" means the State  Veterinarian of the Commonwealth of Virginia or his designee.
    "State waters" means all waters of any river,  creek, branch, lake, reservoir, pond, bay, roadstead, estuary, inlet, spring,  or well and bodies of surface or underground water, natural or artificial,  wholly or partially within or bordering the Commonwealth or within its  jurisdiction.
    2VAC5-61-20. Registration.
    A. Each dealer in the Commonwealth shall be registered  with the State Veterinarian by application to the State Veterinarian on forms  that he provides. Each dealer shall renew his registration by no later than  January 8 of each even-numbered year thereafter. Anyone operating as a dealer  who fails to register is guilty of a violation of this chapter.
    B. The State Veterinarian may, after due notice and  opportunity for a hearing, deny, suspend, or cancel the registration of a  dealer when the State Veterinarian has determined that the dealer has: 
    1. Violated state or federal laws or regulations governing  the interstate or intrastate movement, shipment, or transportation of  livestock;
    2. Made false or misleading statements in the application  for registration; 
    3. Removed or altered the official identification of  livestock;
    4. Failed to carry out the requirements of this chapter; or
    5. Made false or misleading entries in the records that are  required by this chapter. 
    2VAC5-61-30. Identification of livestock.
    A. All livestock, other than feeder cattle that are not of  a dairy type, that are handled by or otherwise under the scope of business of  each dealer and marketing facility shall be officially identified [ upon  arrival at the marketing facility ]. [ Each  For those livestock that are not identified upon arrival, each ] dealer  and marketing facility shall cause official identification to be applied to any  livestock handled by or otherwise under the scope of their business that is not  already officially identified [ before leaving the marketing  facility and may charge a fee for this service ].
    B. Official identification.
    1. Official identification for cattle shall be an ear tag  bearing a unique identification number issued by an official state or federal  program or other form of identification approved by the State Veterinarian. For  slaughter cattle only that are purchased by a registered dealer, a U.S.  Department of Agriculture back tag shall also be considered official  identification.
    2. Official identification for sheep and goats shall be any  form of identification approved by the U.S. Department of Agriculture scrapie  eradication program or other form of identification approved by the State  Veterinarian. 
    3. Official identification for swine shall be a unique and  permanent group or individual identification number issued by an official state  or federal program and applied to each animal or other forms of identification  approved by the State Veterinarian. 
    4. [ Official identification for alpacas,  camels, and llamas shall be a microchip, scrapie serial tag, or other forms of  identification approved by the State Veterinarian.
    5. ] Official identification for horses  shall be a microchip, registration tattoo, brand, name, and complete physical  description as listed or demonstrated by photographs on either a current  certificate of veterinary inspection or Coggins test certificate, or other form  of identification approved by the State Veterinarian.
    C. Official identification shall not be altered or  removed. 
    2VAC5-61-40. Records.
    A. Each dealer and marketing facility shall keep records  of the following information, which shall be recorded in a timely fashion upon  the completion of each transaction:
    1. Record of the official identification numbers of all  livestock handled or otherwise under the scope of business other than feeder  cattle that are not of a dairy type.
    2. The name and physical address of the person, firm, or  agent from whom each animal was purchased and the date of such purchase. 
    3. The name and physical address of the person, firm, or  agent to whom each animal was sold and the date of such sale. 
    B. Records required by this section shall be kept for at  least five years. Every dealer or marketing facility, during all reasonable  hours, shall permit the State Veterinarian to have access to and be able to  copy any records made and retained as required by this section. 
    C. The State Veterinarian may allow for the records  required by this section to be submitted to him in an electronic format he  prescribes.  Such records, properly submitted electronically to the State  Veterinarian, are exempt from the requirement that they be retained for at  least five years.
    2VAC5-61-50. Inspection of marketing facilities.
    All marketing facilities shall be under the jurisdiction  of the State Veterinarian and available for his inspection. The State  Veterinarian shall assign a designee to each marketing facility for the  following purposes: 
    1. To be present before, during, or after the operation of  the marketing facility as necessary for the purpose of ensuring compliance with  this chapter. 
    2. To ensure that livestock bear official identification  and that proper record is made of each transaction as required by this chapter.
    3. To ensure that livestock are handled in accordance with  the Virginia Comprehensive Animal Care laws (§ 3.2-6500 et seq. of Title 3.2 of  the Code of Virginia).
    4. To ensure proper disposition of all sick or diseased  livestock offered for sale in accordance with this chapter or other orders of  the State Veterinarian. 
    5. To make a thorough inspection of the marketing facility  to determine if the premises are maintained in a clean, sanitary, and orderly  manner.
    2VAC5-61-60. Operation of marketing facilities.
    A. The premises shall be maintained in a state of good  repair. The marketing facility shall contain appropriately constructed and  well-lighted livestock handling chutes, pens, and alleys for the inspection,  identification, vaccination, and testing of livestock. Electrical power shall  be provided.
    B. The premises shall be maintained in a clean, sanitary,  and orderly manner at all times and must be cleaned after each use. The  sanitation process shall prevent contamination of state waters, production of  noxious odors, and the breeding of insects or vermin. Run-off water shall be  diverted from livestock holding areas. 
    C. The marketing facility shall be sprayed with  disinfectant on a monthly basis or as otherwise required by the State  Veterinarian. All alleys, scales, docks, pens, and rings in which livestock  have been housed since the previous application of disinfectant must be cleaned  of all bedding and animal waste so that the base surfaces can be thoroughly  sprayed. No area shall be sprayed that has not been properly cleaned.
    D. Isolation pens shall be provided that are clearly  labeled, adequately drained, constructed of materials able to withstand  frequent cleaning and disinfection, and cleaned and disinfected between each  use.
    E. Condemned and diseased livestock shall be penned  separately from other livestock and shall be removed from the premises within  24 hours of the sale. Such pens shall be plainly marked "For Slaughter  Only."
    F. Dead animals shall be immediately moved to a designated  area of the premises out of public view and removed from the premises within  [ 24 48 ] hours.
    G. The marketing facility shall ensure that feed and water  can be provided to livestock in an appropriate manner when needed or as  directed by the State Veterinarian.
    [ H. Livestock may not be slaughtered or processed at  the marketing facility.
    I. Livestock shall not reside at the marketing facility. ]  
    2VAC5-61-70. Restriction of livestock movement.
    A. Shipment of livestock into other states shall be  subject to all federal laws and regulations governing the interstate shipment  of livestock and in conformity with the requirements of the state of  destination.
    B. Whenever the State Veterinarian has reason to suspect  or knowledge that a threat to the livestock industry or to public safety exists  by the continued conduct of business by a marketing facility or dealer, he may  restrict or prohibit the conduct of the marketing facility's or dealer's  business for such time as the threat or condition exists.
    C. Whenever the sanitation of a marketing facility is not  maintained as required in 2VAC5-61-60, the State Veterinarian may, at his  discretion, (i) prohibit the use of certain areas of the marketing facility or  (ii) limit the activities of such facility with regards to the type or to the  destination of livestock sold in such facility. This restriction shall remain  in effect until the State Veterinarian has determined that the marketing  facility is in compliance.
    [ 2VAC5-61-80. Penalty.
    Any person who violates any of the provisions of this  chapter is guilty of a Class 1 misdemeanor. ] 
        NOTICE: The following  form used in administering the regulation was filed by the agency. The forms is  not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of the form, which has a  hyperlink, to access it. The form is also available from the agency contact or  may be viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (2VAC5-61)
    Application  for Registration: Virginia Livestock/Poultry Dealers and Marketing Facilities,  Form VDACS-03214 (eff. 11/13)
    VA.R. Doc. No. R13-3709; Filed September 18, 2015, 1:54 p.m. 
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
    Titles of Regulations: 2VAC5-60. Rules and  Regulations Governing the Operation of Livestock Markets (repealing 2VAC5-60-10 through 2VAC5-60-90).
    2VAC5-61. Rules and Regulations Governing Livestock Dealers  and Marketing Facilities for the Purpose of Controlling and Eradicating  Infectious and Contagious Diseases of Livestock (adding 2VAC5-61-10 through 2VAC5-61-80).
    2VAC5-120. Rules and Regulations Governing the Recordkeeping  by Virginia Cattle Dealers for the Control or Eradication of Brucellosis of  Cattle (repealing 2VAC5-120-10 through 2VAC5-120-80).  
    Statutory Authority: §§ 3.2-6001, 3.2-6002, and 3.2-6004  of the Code of Virginia.
    Effective Date: November 19, 2015. 
    Agency Contact: Charles Broaddus, D.V.M., Program  Manager, Office of Veterinary Services, Department of Agriculture and Consumer  Services, 102 Governor Street, Richmond, VA 23219, telephone (804) 786-4560,  FAX (804) 371-2380, or email charles.broaddus@vdacs.virginia.gov.
    Summary:
    This regulatory action  repeals 2VAC5-60 and 2VAC5-120 and promulgates a new regulation, 2VAC5-61,  Regulations Governing Livestock Dealers and Marketing Facilities for the  Purpose of Controlling and Eradicating Infectious and Contagious Diseases. The  regulation (i) provides for the operation of Virginia's livestock marketing  facilities, including requirements for sanitation and official identification  and recordkeeping, and (ii) removes the obsolete requirement that breeding  cattle sold at livestock markets be tested for brucellosis. Changes since the  proposed stage of the regulation include (i) removing camels, llamas, and  alpacas from regulation provisions; (ii) allowing 48 hours, instead of 24  hours, for removal of dead livestock from marketing facility premises; (iii)  requiring livestock be individually identified before leaving a marketing  facility and allowing the marketing facility to charge a fee for performing  such identification; and (iv) prohibiting livestock to reside or be slaughtered  at a marketing facility.
    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. 
    CHAPTER 61
  REGULATIONS GOVERNING LIVESTOCK DEALERS AND MARKETING FACILITIES FOR THE  PURPOSE OF CONTROLLING AND ERADICATING INFECTIOUS AND CONTAGIOUS DISEASES OF  LIVESTOCK
    2VAC5-61-10. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Animal waste" means livestock or poultry  excreta and associated feed losses, bedding, litter, or other materials.
    "Breeding cattle" means all sexually intact  cattle 18 months of age or older as evidenced by the presence of one or more  permanent incisor teeth, all female cattle that have produced a calf or are  exhibiting signs of pregnancy, all sexually intact females of dairy type  regardless of age, and any sexually intact bovine of any age that is purchased  or sold with the intent that it be used for breeding purposes.
    "Cattle" means all domestic and wild members of  the genera bos, bison, and bubalus to include domestic cattle, yak, bison, and  water buffalo.
    "Certificate of veterinary inspection" means an  official document, which may be in an electronic format, issued by a federal,  state, tribal, or accredited veterinarian certifying the inspection of animals.
    "Dairy type" means all cattle of, or primarily  of, a dairy or dual-purpose breed of cattle including but not limited to cattle  of the Ayrshire, Brown Swiss, Guernsey, Holstein, Jersey, Milking Shorthorn, or  similar breeds to include castrated males of such breeds.
    "Dealer" means any person who engages in or  facilitates, including by electronic means, the business of buying, selling,  auctioning, exchanging, or otherwise transferring ownership of livestock in the  Commonwealth for his own account or that of another person. A person who only  sells livestock of his own production or who buys livestock only for his own  production purposes shall not be considered a dealer under this chapter. 
    "Feeder cattle" means all cattle other than  breeding cattle and slaughter cattle.
    "Livestock" means all cattle, sheep, swine,  goats, horses, donkeys, [ and ] mules [ ,  camels, llamas, and alpacas ].
    "Marketing facility" means a livestock market;  stockyard; buying station; auction, consignment, or other sale venue; or any  other premises including those operating video, web-based, telephone, or other  types of electronic sales methods, where livestock from multiple owners  are commingled and assembled for sale or exchange in the Commonwealth.
    "Official identification" means a unique  identification number issued by a state or federal program, or other forms of  identification approved by the State Veterinarian.
    "Premises" means all grounds, structures, and  associated equipment used by the livestock facility including yards, docks,  pens, paddocks, alleys, sale rings, chutes, scales, and means of conveyance.
    "Slaughter cattle" means those cattle that are  purchased by or shipped without diversion to a state or federally inspected  slaughter establishment for immediate slaughter.
    "State Veterinarian" means the State  Veterinarian of the Commonwealth of Virginia or his designee.
    "State waters" means all waters of any river,  creek, branch, lake, reservoir, pond, bay, roadstead, estuary, inlet, spring,  or well and bodies of surface or underground water, natural or artificial,  wholly or partially within or bordering the Commonwealth or within its  jurisdiction.
    2VAC5-61-20. Registration.
    A. Each dealer in the Commonwealth shall be registered  with the State Veterinarian by application to the State Veterinarian on forms  that he provides. Each dealer shall renew his registration by no later than  January 8 of each even-numbered year thereafter. Anyone operating as a dealer  who fails to register is guilty of a violation of this chapter.
    B. The State Veterinarian may, after due notice and  opportunity for a hearing, deny, suspend, or cancel the registration of a  dealer when the State Veterinarian has determined that the dealer has: 
    1. Violated state or federal laws or regulations governing  the interstate or intrastate movement, shipment, or transportation of  livestock;
    2. Made false or misleading statements in the application  for registration; 
    3. Removed or altered the official identification of  livestock;
    4. Failed to carry out the requirements of this chapter; or
    5. Made false or misleading entries in the records that are  required by this chapter. 
    2VAC5-61-30. Identification of livestock.
    A. All livestock, other than feeder cattle that are not of  a dairy type, that are handled by or otherwise under the scope of business of  each dealer and marketing facility shall be officially identified [ upon  arrival at the marketing facility ]. [ Each  For those livestock that are not identified upon arrival, each ] dealer  and marketing facility shall cause official identification to be applied to any  livestock handled by or otherwise under the scope of their business that is not  already officially identified [ before leaving the marketing  facility and may charge a fee for this service ].
    B. Official identification.
    1. Official identification for cattle shall be an ear tag  bearing a unique identification number issued by an official state or federal  program or other form of identification approved by the State Veterinarian. For  slaughter cattle only that are purchased by a registered dealer, a U.S.  Department of Agriculture back tag shall also be considered official  identification.
    2. Official identification for sheep and goats shall be any  form of identification approved by the U.S. Department of Agriculture scrapie  eradication program or other form of identification approved by the State  Veterinarian. 
    3. Official identification for swine shall be a unique and  permanent group or individual identification number issued by an official state  or federal program and applied to each animal or other forms of identification  approved by the State Veterinarian. 
    4. [ Official identification for alpacas,  camels, and llamas shall be a microchip, scrapie serial tag, or other forms of  identification approved by the State Veterinarian.
    5. ] Official identification for horses  shall be a microchip, registration tattoo, brand, name, and complete physical  description as listed or demonstrated by photographs on either a current  certificate of veterinary inspection or Coggins test certificate, or other form  of identification approved by the State Veterinarian.
    C. Official identification shall not be altered or  removed. 
    2VAC5-61-40. Records.
    A. Each dealer and marketing facility shall keep records  of the following information, which shall be recorded in a timely fashion upon  the completion of each transaction:
    1. Record of the official identification numbers of all  livestock handled or otherwise under the scope of business other than feeder  cattle that are not of a dairy type.
    2. The name and physical address of the person, firm, or  agent from whom each animal was purchased and the date of such purchase. 
    3. The name and physical address of the person, firm, or  agent to whom each animal was sold and the date of such sale. 
    B. Records required by this section shall be kept for at  least five years. Every dealer or marketing facility, during all reasonable  hours, shall permit the State Veterinarian to have access to and be able to  copy any records made and retained as required by this section. 
    C. The State Veterinarian may allow for the records  required by this section to be submitted to him in an electronic format he  prescribes.  Such records, properly submitted electronically to the State  Veterinarian, are exempt from the requirement that they be retained for at  least five years.
    2VAC5-61-50. Inspection of marketing facilities.
    All marketing facilities shall be under the jurisdiction  of the State Veterinarian and available for his inspection. The State  Veterinarian shall assign a designee to each marketing facility for the  following purposes: 
    1. To be present before, during, or after the operation of  the marketing facility as necessary for the purpose of ensuring compliance with  this chapter. 
    2. To ensure that livestock bear official identification  and that proper record is made of each transaction as required by this chapter.
    3. To ensure that livestock are handled in accordance with  the Virginia Comprehensive Animal Care laws (§ 3.2-6500 et seq. of Title 3.2 of  the Code of Virginia).
    4. To ensure proper disposition of all sick or diseased  livestock offered for sale in accordance with this chapter or other orders of  the State Veterinarian. 
    5. To make a thorough inspection of the marketing facility  to determine if the premises are maintained in a clean, sanitary, and orderly  manner.
    2VAC5-61-60. Operation of marketing facilities.
    A. The premises shall be maintained in a state of good  repair. The marketing facility shall contain appropriately constructed and  well-lighted livestock handling chutes, pens, and alleys for the inspection,  identification, vaccination, and testing of livestock. Electrical power shall  be provided.
    B. The premises shall be maintained in a clean, sanitary,  and orderly manner at all times and must be cleaned after each use. The  sanitation process shall prevent contamination of state waters, production of  noxious odors, and the breeding of insects or vermin. Run-off water shall be  diverted from livestock holding areas. 
    C. The marketing facility shall be sprayed with  disinfectant on a monthly basis or as otherwise required by the State  Veterinarian. All alleys, scales, docks, pens, and rings in which livestock  have been housed since the previous application of disinfectant must be cleaned  of all bedding and animal waste so that the base surfaces can be thoroughly  sprayed. No area shall be sprayed that has not been properly cleaned.
    D. Isolation pens shall be provided that are clearly  labeled, adequately drained, constructed of materials able to withstand  frequent cleaning and disinfection, and cleaned and disinfected between each  use.
    E. Condemned and diseased livestock shall be penned  separately from other livestock and shall be removed from the premises within  24 hours of the sale. Such pens shall be plainly marked "For Slaughter  Only."
    F. Dead animals shall be immediately moved to a designated  area of the premises out of public view and removed from the premises within  [ 24 48 ] hours.
    G. The marketing facility shall ensure that feed and water  can be provided to livestock in an appropriate manner when needed or as  directed by the State Veterinarian.
    [ H. Livestock may not be slaughtered or processed at  the marketing facility.
    I. Livestock shall not reside at the marketing facility. ]  
    2VAC5-61-70. Restriction of livestock movement.
    A. Shipment of livestock into other states shall be  subject to all federal laws and regulations governing the interstate shipment  of livestock and in conformity with the requirements of the state of  destination.
    B. Whenever the State Veterinarian has reason to suspect  or knowledge that a threat to the livestock industry or to public safety exists  by the continued conduct of business by a marketing facility or dealer, he may  restrict or prohibit the conduct of the marketing facility's or dealer's  business for such time as the threat or condition exists.
    C. Whenever the sanitation of a marketing facility is not  maintained as required in 2VAC5-61-60, the State Veterinarian may, at his  discretion, (i) prohibit the use of certain areas of the marketing facility or  (ii) limit the activities of such facility with regards to the type or to the  destination of livestock sold in such facility. This restriction shall remain  in effect until the State Veterinarian has determined that the marketing  facility is in compliance.
    [ 2VAC5-61-80. Penalty.
    Any person who violates any of the provisions of this  chapter is guilty of a Class 1 misdemeanor. ] 
        NOTICE: The following  form used in administering the regulation was filed by the agency. The forms is  not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of the form, which has a  hyperlink, to access it. The form is also available from the agency contact or  may be viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (2VAC5-61)
    Application  for Registration: Virginia Livestock/Poultry Dealers and Marketing Facilities,  Form VDACS-03214 (eff. 11/13)
    VA.R. Doc. No. R13-3709; Filed September 18, 2015, 1:54 p.m. 
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Proposed Regulation
    Titles of Regulations: 2VAC5-110. Rules and  Regulations Pertaining to a Pound or Enclosure to Be Maintained by Each County  or City (repealing 2VAC5-110-10 through  2VAC5-110-110).
    2VAC5-111. Public and Private Animal Shelters (adding 2VAC5-111-10 through 2VAC5-111-40). 
    Statutory Authority: § 3.2-6501 of the Code of Virginia.
    Public Hearing Information:
    December 10, 2015 - 10:30 a.m. - Virginia State Capitol,  Senate Room 3, 1000 Bank Street Richmond, VA 23219
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Dr. Carolynn Bissett, Program Manager,  Animal Care and Emergency Response, Department of Agriculture and Consumer  Services, P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-2483, FAX  (804) 371-2380, TTY (800) 828-1120, or email carolynn.bissett@vdacs.virginia.gov.
    Basis: Section 3.2-109 of the Code of Virginia  establishes the Board of Agriculture and Consumer Services as a policy board  and grants the board the authority to adopt regulations in accordance with the  provisions of Title 3.2 of the Code of Virginia.
    This action is proposed pursuant to § 3.2-6501 of the Code of  Virginia, which authorizes the board to adopt regulations consistent with the  intent and objectives of the Comprehensive Animal Care Laws (Chapter 65  (§ 3.2-6500 et seq.) of Title 3.2 of the Code of Virginia) pertaining to  the care of animals.
    Specifically, this proposed action is consistent with the  intent and objectives of §§ 3.2-6546 (concerning public animal shelters) and 3.2-6548 (concerning private animal shelters) of the Code of Virginia.
    Purpose: The Board of Agriculture and Consumer Services  currently regulates public animal shelters under 2VAC5-110. This body of  regulation, which has not been substantively amended since 1985, sets standards  of facility construction and animal housing intended to ensure that companion  animals held in the public interest are protected from injury or illness. These  regulations apply to all animals housed in the facility, including those that  have satisfied or are not subject to a stray or other holding period. Private  animal shelters that confine companion animals subject to a holding period are  currently unregulated.
    The proposed regulation is intended to ensure that a consistent  standard of confinement and care is applied to all companion animals held in  the public trust while removing redundant provisions and provisions that are  burdensome to public animal shelters holding animals for the purpose of  facilitating adoption. It also seeks to ensure proper oversight of the  provision of veterinary treatment and requires that all animals be provided a  resting platform, bedding, or a perch as appropriate.
    The confinement of animals in animal shelters is intended to  protect citizens from potential public health and safety risks associated with  free-roaming dogs. Additionally, the regulations requiring confinement of loose  animals and a holding period are intended to protect the property rights of  individuals, as companion animals are considered personal property under  Virginia law.
    Substance: The board intends to repeal 2VAC5-110, the  current regulation pertaining to public animal pounds, and replace it with the  proposed regulation pertaining to both public and private animal shelters. The  following points will be addressed in this proposed regulatory action:
    1. The current language concerning minimum animal housing  standards and individual cage construction and size has been refined and  applied to the housing of animals subject to a holding period in both public  and private animal shelters.
    2. The current language concerning facility sanitation,  ventilation, food preparation and storage, and drinking water devices has been  refined and applied to both public and private animal shelters in the proposed  regulation.
    3. The current language concerning water supply, waste  disposal, and euthanasia has been eliminated. These topics are fully addressed  in the Code of Virginia or elsewhere in the Virginia Administrative Code.
    New provisions have been put in place concerning the provision  of veterinary treatment, control of contagious and infectious disease, the care  of compromised animal populations, and the provision of a resting platform or  bedding.
    Issues: This regulatory action offers advantages to the  public and the Commonwealth. The currently regulated community—public animal  shelters and the localities that operate them—have asked the Department of  Agriculture and Consumer Services (VDACS) to provide them with greater  flexibility in housing animals that are not subject to a holding period. This  flexibility will allow localities to better serve the public. Clarification of  expectations regarding veterinary treatment will help to better protect the  public's interests in Virginia's companion animal populations.
    2VAC5-110 has not been substantively amended since 1985. In the  past 30 years, the scope of activities of many public animal shelters  throughout the Commonwealth has significantly increased. Such facilities are  routinely housing companion animals beyond the statutory holding periods  established for stray animals in order to promote the adoption or transfer of  these animals. The current regulations can preclude the implementation of  housing and enrichment practices that are considered industry standard for the  long-term housing of animals. Concurrently, private animal shelters are  confining companion animals subject to holding periods on a routine basis  without regulation. VDACS has determined that it is in the public interest to  ensure that all companion animals in shelter facilities subject to a holding  period be maintained in a manner that protects the animals from injury,  illness, and theft for this short period while allowing public animal shelters  greater freedom in their housing of animals that have satisfied holding period  requirements. 
    VDACS has also determined that greater direction concerning the  provision of veterinary treatment is needed. The Code of Virginia mandates that  veterinary treatment be provided to all animals when needed. Public and private  animal shelters need to allocate sufficient resources for this mandated  treatment and to follow an appropriate protocol in making decisions as to when  treatment is warranted. 
    Finally, VDACS has determined that the provision of resting  platforms or bedding to each animal housed in Virginia's animal shelters will  offer substantive improvement in animal care in those few facilities that do  not already provide such.
    VDACS does not foresee disadvantages to the public or the  Commonwealth.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Board of  Agriculture and Consumer Services (Board) proposes to repeal its regulation  that governs public animal shelters and replace it with a regulation that will  govern both public and private animal shelters. The Board also proposes to two  substantive changes for the replacement regulation which will 1) require animal  shelters to provide each animal with an appropriate resting platform, bedding  or perch and 2) require each shelter to have protocols for the medical  treatment of animals, the control of infectious disease and the management and  care of neonatal and medically compromised animals that have been approved by a  veterinarian. The replacement regulation will also newly require private animal  shelters to have special housing for strays that are in a holding period  window.
    Result of Analysis. There is insufficient information to  ascertain whether benefits will outweigh costs for this regulatory proposal.
    Estimated Economic Impact. Currently, the Virginia Department  of Agriculture and Consumer Services (VDACS) is in charge of inspecting both  public and private animal shelters. Public animal shelters are currently  inspected for compliance with this Board regulation which was promulgated and  became effective in 1985. Private animal shelters are currently inspected for  compliance with relevant legislative requirements in Code of Virginia § 3.2-6548 and § 3.2-6557. Legislative requirements for private animal  shelters are substantively the same as those contained in current regulation  except that private animal shelters do not currently have to have special  housing for strays that are in a holding period window (five days for stray  animals with no identifying tags or chips and 10 days for animals with  identifying tags or chips).
    The Board now proposes to replace this current regulation with  a new regulation that will apply to both public and private animal shelters.  The regulations will be substantively the same except for new requirements that  all animals be provided with a raised platform, bedding or perch and that all  shelters have veterinarian approved protocols in place for 1) the medical  treatment of animals, 2) the control of infectious disease and 3) the  management and the care of neonatal and medically compromised animals.  Additionally, private animal shelters will newly be required to have separate  housing for strays during the holding period if they accept the care of stray  animals after the replacement regulation is promulgated.
    Affected public and private animal shelters may incur costs for  providing bedding for all animals in their care, if they do not already do so.  If bedding must newly be acquired, animal shelters may incur no direct costs if  bedding is donated. If they must purchase bedding, costs will likely range from  a few dollars to $50 per bed. Affected public and private animal shelters will  also incur time costs for time spent writing required protocols and may incur  fees for a veterinarian's time to approve those protocols. Board staff reports  that some shelters have a full time veterinarian on staff and so would not  incur extra costs for approving protocols. Animal shelters who do not have a  veterinarian on staff, will likely have to pay an hourly fee that may range up  to $120 per hour for the time it takes to read and approve protocols. Board  staff estimates that the approval process will take one to two hours. 
    Private animal shelters that currently take in stray animals  will either have to incur costs for purchasing holding period compliant housing  or they will have to stop taking in strays. Board staff estimates that such  housing will cost between $250 and $1,000 per cage but also reports that  shelters may choose to buy a block of six regulation compliant cages of various  sizes for approximately $2,500. The costs added for complying with new  requirements may also cause shelters to be able to take in fewer animals. All  costs associated with this proposed regulation must be weighed against any  improvements that may accrue on account these new requirements. There is  insufficient information to ascertain whether benefits will outweigh costs.
    Businesses and Entities Affected. Board staff reports that  approximately 94 public animal shelters maintained by localities, 15 public  animal shelters that are maintained by private non-profit organizations and 43  private animal shelters will be affected by this proposed regulatory package.  All of the affected private animal shelters are non-profit organizations so no  businesses will be affected by this proposal.
    Localities Particularly Affected. Localities with public animal  shelters will likely be disproportionately affected by this proposed regulatory  change.
    Projected Impact on Employment. This regulatory action will  likely have little impact on employment in the Commonwealth.
    Effects on the Use and Value of Private Property. Because this  regulation will newly require private animal shelters to have special housing  for strays that are in a holding period window, some private animal shelters  may stop taking in strays.
    Small Businesses: Costs and Other Effects. No small businesses  will be affected by this proposed regulatory package.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. No small businesses will be affected by this proposed regulatory package.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17 (2014).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPBs best estimate for the purposes  of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The  agency concurs with the analysis of the Department of Planning and Budget  concerning the proposed regulation, 2VAC5-111, Rules and Regulations Pertaining  to Public and Private Animal Shelters, but offers additional information  regarding private animal shelters. 
    Private animal shelters are not mandated to house stray or  unowned animals that are subject to a holding period. Section 3.2-6546 of  the Code of Virginia requires localities to maintain a public animal shelter to  house stray or unowned animals that are subject to a holding period.   Thus, if a private animal shelter chooses to refer all animals subject to a  holding period to the appropriate public animal shelter it will not incur any  costs related to obtaining compliant housing. Alternatively, if a private  animal shelter chooses to house stray or unowned animals that are subject to a  holding period and the shelter does not already possess compliant housing, it  could incur costs between $250 and $1,000 per cage depending on the cage size.  The shelter may also choose to purchase a block of six compliant cages of  various sizes for approximately $2,500. 
    Summary:
    The Board of Agriculture and Consumer Services proposes to  repeal its regulation that governs public animal shelters and replace it with a  regulation that will govern both public and private animal shelters. The board  also proposes substantive changes for the replacement regulation that will (i)  require animal shelters to provide each animal with an appropriate resting  platform, bedding, or perch; (ii) require each shelter to have protocols that  have been approved by a veterinarian for the medical treatment of animals, the  control of infectious disease, and the management and care of neonatal and  medically compromised animals; and (iii) require private animal shelters to  have special housing for strays that are subject to a holding period.
    CHAPTER 111
  PUBLIC AND PRIVATE ANIMAL SHELTERS
    2VAC5-111-10. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Animal" means any nonaquatic companion animal  that is in the custody of a public or private animal shelter and that is  confined in or on the premises of the animal shelter. 
    "Enclosure" means a structure used to house or  restrict animals from running at large such as a room, pen, cage, run,  compartment, hutch, terrarium, or otherwise confined habitat. 
    "Facility" means a public animal shelter or  private animal shelter as defined in § 3.2-6500 of the Code of Virginia.
    2VAC5-111-20. General provisions.
    A. Each facility shall be kept in a clean, dry, and  sanitary condition and shall provide enclosures that can safely house and allow  for adequate separation of animals of different species, sexes, ages, and  temperaments. Animals shall be maintained in a manner that protects them  against theft, injury, escape, and exposure to harmful substances.
    B. Each facility shall ensure that all enclosures provide  adequate shelter that is properly ventilated and that can be maintained at a  comfortable temperature for the animals confined therein. An enclosure shall  not be cleaned when occupied by an animal unless the animal can be further  confined in a portion of the enclosure that precludes exposure to any cleaning  agent including water and shall be thoroughly dry before the enclosure is  returned to use. A disinfectant or germicidal agent shall be used when  cleaning an enclosure.
    C. Each facility shall reasonably endeavor to ensure that  drinking water is available to each animal at all times unless otherwise  ordered by a licensed veterinarian. Drinking water receptacles or bowls  shall be secured to the enclosure in a fixed position or otherwise be of a  design that cannot be tipped over by an animal and shall be maintained in  sanitary condition.
    D. Each facility shall ensure that animals are adequately  and appropriately fed according to their species and age and that feed is  stored in a manner that prevents spoilage, infestation, and contamination. All  feed delivery utensils and receptacles shall be properly cleaned between uses.
    E. Each facility shall ensure that each animal is provided  access to a resting platform, bedding, or perch as appropriate to its species,  age, and condition. All enclosures shall have solid floors. 
    2VAC5-111-30. Provision of veterinary treatment.
    A. Each facility shall engage a licensed veterinarian to  develop or ratify a protocol for determining if an ill, injured, or otherwise  compromised animal requires treatment by a licensed veterinarian. Each facility  shall adhere to this protocol and provide veterinary treatment when needed.
    B. Each facility shall engage a licensed veterinarian to  develop or ratify a protocol for the control of infectious and contagious  disease and shall adhere to such protocol. Each facility shall provide a marked  isolation room for the confinement of animals suffering from a contagious or  infectious disease.
    C. Each facility shall engage a licensed veterinarian to  develop or ratify a protocol for the management of neonatal and medically  compromised animals and shall adhere to such protocol. Enclosures shall be  maintained that can properly and safely house such animals.
    2VAC5-111-40. Housing of animals subject to a holding  period.
    A. An enclosure or portion thereof used to house an animal  subject to a holding period shall be entirely constructed of materials that are  durable, nonporous, impervious to moisture, and able to be thoroughly cleaned  and disinfected. 
    B. An enclosure or portion thereof used to house an animal  subject to a holding period that is part of the structural integrity of the  building shall have a surface material that is durable, nonporous, impervious  to moisture, and able to be thoroughly cleaned and disinfected.
    C. All structures contained within an enclosure or portion  thereof shall be constructed of materials that are durable, nonporous,  impervious to moisture, and able to be thoroughly cleaned and disinfected  unless discarded or laundered daily.
    D. An enclosure and all structures therein used to house  an animal subject to a holding period shall be thoroughly cleaned and  disinfected before use by a different animal.  
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (2VAC5-111)
    Animal  Facility Inspection Report, VDACS AC-10 (rev. 7/2015)
    Animal  Facility Inspection Form - Shelter, VDACS AC-10-A (rev. 7/2015)
    Animal  Facility Inspection Form – Animal Care, VDACS AC-10-B (rev. 7/2015)
    Animal  Facility Inspection Form – Operations, VDACS AC-10-C (rev. 7/2015)
    VA.R. Doc. No. R14-4009; Filed September 25, 2015, 9:12 a.m. 
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Proposed Regulation
    Titles of Regulations: 2VAC5-110. Rules and  Regulations Pertaining to a Pound or Enclosure to Be Maintained by Each County  or City (repealing 2VAC5-110-10 through  2VAC5-110-110).
    2VAC5-111. Public and Private Animal Shelters (adding 2VAC5-111-10 through 2VAC5-111-40). 
    Statutory Authority: § 3.2-6501 of the Code of Virginia.
    Public Hearing Information:
    December 10, 2015 - 10:30 a.m. - Virginia State Capitol,  Senate Room 3, 1000 Bank Street Richmond, VA 23219
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Dr. Carolynn Bissett, Program Manager,  Animal Care and Emergency Response, Department of Agriculture and Consumer  Services, P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-2483, FAX  (804) 371-2380, TTY (800) 828-1120, or email carolynn.bissett@vdacs.virginia.gov.
    Basis: Section 3.2-109 of the Code of Virginia  establishes the Board of Agriculture and Consumer Services as a policy board  and grants the board the authority to adopt regulations in accordance with the  provisions of Title 3.2 of the Code of Virginia.
    This action is proposed pursuant to § 3.2-6501 of the Code of  Virginia, which authorizes the board to adopt regulations consistent with the  intent and objectives of the Comprehensive Animal Care Laws (Chapter 65  (§ 3.2-6500 et seq.) of Title 3.2 of the Code of Virginia) pertaining to  the care of animals.
    Specifically, this proposed action is consistent with the  intent and objectives of §§ 3.2-6546 (concerning public animal shelters) and 3.2-6548 (concerning private animal shelters) of the Code of Virginia.
    Purpose: The Board of Agriculture and Consumer Services  currently regulates public animal shelters under 2VAC5-110. This body of  regulation, which has not been substantively amended since 1985, sets standards  of facility construction and animal housing intended to ensure that companion  animals held in the public interest are protected from injury or illness. These  regulations apply to all animals housed in the facility, including those that  have satisfied or are not subject to a stray or other holding period. Private  animal shelters that confine companion animals subject to a holding period are  currently unregulated.
    The proposed regulation is intended to ensure that a consistent  standard of confinement and care is applied to all companion animals held in  the public trust while removing redundant provisions and provisions that are  burdensome to public animal shelters holding animals for the purpose of  facilitating adoption. It also seeks to ensure proper oversight of the  provision of veterinary treatment and requires that all animals be provided a  resting platform, bedding, or a perch as appropriate.
    The confinement of animals in animal shelters is intended to  protect citizens from potential public health and safety risks associated with  free-roaming dogs. Additionally, the regulations requiring confinement of loose  animals and a holding period are intended to protect the property rights of  individuals, as companion animals are considered personal property under  Virginia law.
    Substance: The board intends to repeal 2VAC5-110, the  current regulation pertaining to public animal pounds, and replace it with the  proposed regulation pertaining to both public and private animal shelters. The  following points will be addressed in this proposed regulatory action:
    1. The current language concerning minimum animal housing  standards and individual cage construction and size has been refined and  applied to the housing of animals subject to a holding period in both public  and private animal shelters.
    2. The current language concerning facility sanitation,  ventilation, food preparation and storage, and drinking water devices has been  refined and applied to both public and private animal shelters in the proposed  regulation.
    3. The current language concerning water supply, waste  disposal, and euthanasia has been eliminated. These topics are fully addressed  in the Code of Virginia or elsewhere in the Virginia Administrative Code.
    New provisions have been put in place concerning the provision  of veterinary treatment, control of contagious and infectious disease, the care  of compromised animal populations, and the provision of a resting platform or  bedding.
    Issues: This regulatory action offers advantages to the  public and the Commonwealth. The currently regulated community—public animal  shelters and the localities that operate them—have asked the Department of  Agriculture and Consumer Services (VDACS) to provide them with greater  flexibility in housing animals that are not subject to a holding period. This  flexibility will allow localities to better serve the public. Clarification of  expectations regarding veterinary treatment will help to better protect the  public's interests in Virginia's companion animal populations.
    2VAC5-110 has not been substantively amended since 1985. In the  past 30 years, the scope of activities of many public animal shelters  throughout the Commonwealth has significantly increased. Such facilities are  routinely housing companion animals beyond the statutory holding periods  established for stray animals in order to promote the adoption or transfer of  these animals. The current regulations can preclude the implementation of  housing and enrichment practices that are considered industry standard for the  long-term housing of animals. Concurrently, private animal shelters are  confining companion animals subject to holding periods on a routine basis  without regulation. VDACS has determined that it is in the public interest to  ensure that all companion animals in shelter facilities subject to a holding  period be maintained in a manner that protects the animals from injury,  illness, and theft for this short period while allowing public animal shelters  greater freedom in their housing of animals that have satisfied holding period  requirements. 
    VDACS has also determined that greater direction concerning the  provision of veterinary treatment is needed. The Code of Virginia mandates that  veterinary treatment be provided to all animals when needed. Public and private  animal shelters need to allocate sufficient resources for this mandated  treatment and to follow an appropriate protocol in making decisions as to when  treatment is warranted. 
    Finally, VDACS has determined that the provision of resting  platforms or bedding to each animal housed in Virginia's animal shelters will  offer substantive improvement in animal care in those few facilities that do  not already provide such.
    VDACS does not foresee disadvantages to the public or the  Commonwealth.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Board of  Agriculture and Consumer Services (Board) proposes to repeal its regulation  that governs public animal shelters and replace it with a regulation that will  govern both public and private animal shelters. The Board also proposes to two  substantive changes for the replacement regulation which will 1) require animal  shelters to provide each animal with an appropriate resting platform, bedding  or perch and 2) require each shelter to have protocols for the medical  treatment of animals, the control of infectious disease and the management and  care of neonatal and medically compromised animals that have been approved by a  veterinarian. The replacement regulation will also newly require private animal  shelters to have special housing for strays that are in a holding period  window.
    Result of Analysis. There is insufficient information to  ascertain whether benefits will outweigh costs for this regulatory proposal.
    Estimated Economic Impact. Currently, the Virginia Department  of Agriculture and Consumer Services (VDACS) is in charge of inspecting both  public and private animal shelters. Public animal shelters are currently  inspected for compliance with this Board regulation which was promulgated and  became effective in 1985. Private animal shelters are currently inspected for  compliance with relevant legislative requirements in Code of Virginia § 3.2-6548 and § 3.2-6557. Legislative requirements for private animal  shelters are substantively the same as those contained in current regulation  except that private animal shelters do not currently have to have special  housing for strays that are in a holding period window (five days for stray  animals with no identifying tags or chips and 10 days for animals with  identifying tags or chips).
    The Board now proposes to replace this current regulation with  a new regulation that will apply to both public and private animal shelters.  The regulations will be substantively the same except for new requirements that  all animals be provided with a raised platform, bedding or perch and that all  shelters have veterinarian approved protocols in place for 1) the medical  treatment of animals, 2) the control of infectious disease and 3) the  management and the care of neonatal and medically compromised animals.  Additionally, private animal shelters will newly be required to have separate  housing for strays during the holding period if they accept the care of stray  animals after the replacement regulation is promulgated.
    Affected public and private animal shelters may incur costs for  providing bedding for all animals in their care, if they do not already do so.  If bedding must newly be acquired, animal shelters may incur no direct costs if  bedding is donated. If they must purchase bedding, costs will likely range from  a few dollars to $50 per bed. Affected public and private animal shelters will  also incur time costs for time spent writing required protocols and may incur  fees for a veterinarian's time to approve those protocols. Board staff reports  that some shelters have a full time veterinarian on staff and so would not  incur extra costs for approving protocols. Animal shelters who do not have a  veterinarian on staff, will likely have to pay an hourly fee that may range up  to $120 per hour for the time it takes to read and approve protocols. Board  staff estimates that the approval process will take one to two hours. 
    Private animal shelters that currently take in stray animals  will either have to incur costs for purchasing holding period compliant housing  or they will have to stop taking in strays. Board staff estimates that such  housing will cost between $250 and $1,000 per cage but also reports that  shelters may choose to buy a block of six regulation compliant cages of various  sizes for approximately $2,500. The costs added for complying with new  requirements may also cause shelters to be able to take in fewer animals. All  costs associated with this proposed regulation must be weighed against any  improvements that may accrue on account these new requirements. There is  insufficient information to ascertain whether benefits will outweigh costs.
    Businesses and Entities Affected. Board staff reports that  approximately 94 public animal shelters maintained by localities, 15 public  animal shelters that are maintained by private non-profit organizations and 43  private animal shelters will be affected by this proposed regulatory package.  All of the affected private animal shelters are non-profit organizations so no  businesses will be affected by this proposal.
    Localities Particularly Affected. Localities with public animal  shelters will likely be disproportionately affected by this proposed regulatory  change.
    Projected Impact on Employment. This regulatory action will  likely have little impact on employment in the Commonwealth.
    Effects on the Use and Value of Private Property. Because this  regulation will newly require private animal shelters to have special housing  for strays that are in a holding period window, some private animal shelters  may stop taking in strays.
    Small Businesses: Costs and Other Effects. No small businesses  will be affected by this proposed regulatory package.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. No small businesses will be affected by this proposed regulatory package.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17 (2014).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPBs best estimate for the purposes  of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The  agency concurs with the analysis of the Department of Planning and Budget  concerning the proposed regulation, 2VAC5-111, Rules and Regulations Pertaining  to Public and Private Animal Shelters, but offers additional information  regarding private animal shelters. 
    Private animal shelters are not mandated to house stray or  unowned animals that are subject to a holding period. Section 3.2-6546 of  the Code of Virginia requires localities to maintain a public animal shelter to  house stray or unowned animals that are subject to a holding period.   Thus, if a private animal shelter chooses to refer all animals subject to a  holding period to the appropriate public animal shelter it will not incur any  costs related to obtaining compliant housing. Alternatively, if a private  animal shelter chooses to house stray or unowned animals that are subject to a  holding period and the shelter does not already possess compliant housing, it  could incur costs between $250 and $1,000 per cage depending on the cage size.  The shelter may also choose to purchase a block of six compliant cages of  various sizes for approximately $2,500. 
    Summary:
    The Board of Agriculture and Consumer Services proposes to  repeal its regulation that governs public animal shelters and replace it with a  regulation that will govern both public and private animal shelters. The board  also proposes substantive changes for the replacement regulation that will (i)  require animal shelters to provide each animal with an appropriate resting  platform, bedding, or perch; (ii) require each shelter to have protocols that  have been approved by a veterinarian for the medical treatment of animals, the  control of infectious disease, and the management and care of neonatal and  medically compromised animals; and (iii) require private animal shelters to  have special housing for strays that are subject to a holding period.
    CHAPTER 111
  PUBLIC AND PRIVATE ANIMAL SHELTERS
    2VAC5-111-10. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Animal" means any nonaquatic companion animal  that is in the custody of a public or private animal shelter and that is  confined in or on the premises of the animal shelter. 
    "Enclosure" means a structure used to house or  restrict animals from running at large such as a room, pen, cage, run,  compartment, hutch, terrarium, or otherwise confined habitat. 
    "Facility" means a public animal shelter or  private animal shelter as defined in § 3.2-6500 of the Code of Virginia.
    2VAC5-111-20. General provisions.
    A. Each facility shall be kept in a clean, dry, and  sanitary condition and shall provide enclosures that can safely house and allow  for adequate separation of animals of different species, sexes, ages, and  temperaments. Animals shall be maintained in a manner that protects them  against theft, injury, escape, and exposure to harmful substances.
    B. Each facility shall ensure that all enclosures provide  adequate shelter that is properly ventilated and that can be maintained at a  comfortable temperature for the animals confined therein. An enclosure shall  not be cleaned when occupied by an animal unless the animal can be further  confined in a portion of the enclosure that precludes exposure to any cleaning  agent including water and shall be thoroughly dry before the enclosure is  returned to use. A disinfectant or germicidal agent shall be used when  cleaning an enclosure.
    C. Each facility shall reasonably endeavor to ensure that  drinking water is available to each animal at all times unless otherwise  ordered by a licensed veterinarian. Drinking water receptacles or bowls  shall be secured to the enclosure in a fixed position or otherwise be of a  design that cannot be tipped over by an animal and shall be maintained in  sanitary condition.
    D. Each facility shall ensure that animals are adequately  and appropriately fed according to their species and age and that feed is  stored in a manner that prevents spoilage, infestation, and contamination. All  feed delivery utensils and receptacles shall be properly cleaned between uses.
    E. Each facility shall ensure that each animal is provided  access to a resting platform, bedding, or perch as appropriate to its species,  age, and condition. All enclosures shall have solid floors. 
    2VAC5-111-30. Provision of veterinary treatment.
    A. Each facility shall engage a licensed veterinarian to  develop or ratify a protocol for determining if an ill, injured, or otherwise  compromised animal requires treatment by a licensed veterinarian. Each facility  shall adhere to this protocol and provide veterinary treatment when needed.
    B. Each facility shall engage a licensed veterinarian to  develop or ratify a protocol for the control of infectious and contagious  disease and shall adhere to such protocol. Each facility shall provide a marked  isolation room for the confinement of animals suffering from a contagious or  infectious disease.
    C. Each facility shall engage a licensed veterinarian to  develop or ratify a protocol for the management of neonatal and medically  compromised animals and shall adhere to such protocol. Enclosures shall be  maintained that can properly and safely house such animals.
    2VAC5-111-40. Housing of animals subject to a holding  period.
    A. An enclosure or portion thereof used to house an animal  subject to a holding period shall be entirely constructed of materials that are  durable, nonporous, impervious to moisture, and able to be thoroughly cleaned  and disinfected. 
    B. An enclosure or portion thereof used to house an animal  subject to a holding period that is part of the structural integrity of the  building shall have a surface material that is durable, nonporous, impervious  to moisture, and able to be thoroughly cleaned and disinfected.
    C. All structures contained within an enclosure or portion  thereof shall be constructed of materials that are durable, nonporous,  impervious to moisture, and able to be thoroughly cleaned and disinfected  unless discarded or laundered daily.
    D. An enclosure and all structures therein used to house  an animal subject to a holding period shall be thoroughly cleaned and  disinfected before use by a different animal.  
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (2VAC5-111)
    Animal  Facility Inspection Report, VDACS AC-10 (rev. 7/2015)
    Animal  Facility Inspection Form - Shelter, VDACS AC-10-A (rev. 7/2015)
    Animal  Facility Inspection Form – Animal Care, VDACS AC-10-B (rev. 7/2015)
    Animal  Facility Inspection Form – Operations, VDACS AC-10-C (rev. 7/2015)
    VA.R. Doc. No. R14-4009; Filed September 25, 2015, 9:12 a.m. 
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
    Titles of Regulations: 2VAC5-60. Rules and  Regulations Governing the Operation of Livestock Markets (repealing 2VAC5-60-10 through 2VAC5-60-90).
    2VAC5-61. Rules and Regulations Governing Livestock Dealers  and Marketing Facilities for the Purpose of Controlling and Eradicating  Infectious and Contagious Diseases of Livestock (adding 2VAC5-61-10 through 2VAC5-61-80).
    2VAC5-120. Rules and Regulations Governing the Recordkeeping  by Virginia Cattle Dealers for the Control or Eradication of Brucellosis of  Cattle (repealing 2VAC5-120-10 through 2VAC5-120-80).  
    Statutory Authority: §§ 3.2-6001, 3.2-6002, and 3.2-6004  of the Code of Virginia.
    Effective Date: November 19, 2015. 
    Agency Contact: Charles Broaddus, D.V.M., Program  Manager, Office of Veterinary Services, Department of Agriculture and Consumer  Services, 102 Governor Street, Richmond, VA 23219, telephone (804) 786-4560,  FAX (804) 371-2380, or email charles.broaddus@vdacs.virginia.gov.
    Summary:
    This regulatory action  repeals 2VAC5-60 and 2VAC5-120 and promulgates a new regulation, 2VAC5-61,  Regulations Governing Livestock Dealers and Marketing Facilities for the  Purpose of Controlling and Eradicating Infectious and Contagious Diseases. The  regulation (i) provides for the operation of Virginia's livestock marketing  facilities, including requirements for sanitation and official identification  and recordkeeping, and (ii) removes the obsolete requirement that breeding  cattle sold at livestock markets be tested for brucellosis. Changes since the  proposed stage of the regulation include (i) removing camels, llamas, and  alpacas from regulation provisions; (ii) allowing 48 hours, instead of 24  hours, for removal of dead livestock from marketing facility premises; (iii)  requiring livestock be individually identified before leaving a marketing  facility and allowing the marketing facility to charge a fee for performing  such identification; and (iv) prohibiting livestock to reside or be slaughtered  at a marketing facility.
    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. 
    CHAPTER 61
  REGULATIONS GOVERNING LIVESTOCK DEALERS AND MARKETING FACILITIES FOR THE  PURPOSE OF CONTROLLING AND ERADICATING INFECTIOUS AND CONTAGIOUS DISEASES OF  LIVESTOCK
    2VAC5-61-10. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Animal waste" means livestock or poultry  excreta and associated feed losses, bedding, litter, or other materials.
    "Breeding cattle" means all sexually intact  cattle 18 months of age or older as evidenced by the presence of one or more  permanent incisor teeth, all female cattle that have produced a calf or are  exhibiting signs of pregnancy, all sexually intact females of dairy type  regardless of age, and any sexually intact bovine of any age that is purchased  or sold with the intent that it be used for breeding purposes.
    "Cattle" means all domestic and wild members of  the genera bos, bison, and bubalus to include domestic cattle, yak, bison, and  water buffalo.
    "Certificate of veterinary inspection" means an  official document, which may be in an electronic format, issued by a federal,  state, tribal, or accredited veterinarian certifying the inspection of animals.
    "Dairy type" means all cattle of, or primarily  of, a dairy or dual-purpose breed of cattle including but not limited to cattle  of the Ayrshire, Brown Swiss, Guernsey, Holstein, Jersey, Milking Shorthorn, or  similar breeds to include castrated males of such breeds.
    "Dealer" means any person who engages in or  facilitates, including by electronic means, the business of buying, selling,  auctioning, exchanging, or otherwise transferring ownership of livestock in the  Commonwealth for his own account or that of another person. A person who only  sells livestock of his own production or who buys livestock only for his own  production purposes shall not be considered a dealer under this chapter. 
    "Feeder cattle" means all cattle other than  breeding cattle and slaughter cattle.
    "Livestock" means all cattle, sheep, swine,  goats, horses, donkeys, [ and ] mules [ ,  camels, llamas, and alpacas ].
    "Marketing facility" means a livestock market;  stockyard; buying station; auction, consignment, or other sale venue; or any  other premises including those operating video, web-based, telephone, or other  types of electronic sales methods, where livestock from multiple owners  are commingled and assembled for sale or exchange in the Commonwealth.
    "Official identification" means a unique  identification number issued by a state or federal program, or other forms of  identification approved by the State Veterinarian.
    "Premises" means all grounds, structures, and  associated equipment used by the livestock facility including yards, docks,  pens, paddocks, alleys, sale rings, chutes, scales, and means of conveyance.
    "Slaughter cattle" means those cattle that are  purchased by or shipped without diversion to a state or federally inspected  slaughter establishment for immediate slaughter.
    "State Veterinarian" means the State  Veterinarian of the Commonwealth of Virginia or his designee.
    "State waters" means all waters of any river,  creek, branch, lake, reservoir, pond, bay, roadstead, estuary, inlet, spring,  or well and bodies of surface or underground water, natural or artificial,  wholly or partially within or bordering the Commonwealth or within its  jurisdiction.
    2VAC5-61-20. Registration.
    A. Each dealer in the Commonwealth shall be registered  with the State Veterinarian by application to the State Veterinarian on forms  that he provides. Each dealer shall renew his registration by no later than  January 8 of each even-numbered year thereafter. Anyone operating as a dealer  who fails to register is guilty of a violation of this chapter.
    B. The State Veterinarian may, after due notice and  opportunity for a hearing, deny, suspend, or cancel the registration of a  dealer when the State Veterinarian has determined that the dealer has: 
    1. Violated state or federal laws or regulations governing  the interstate or intrastate movement, shipment, or transportation of  livestock;
    2. Made false or misleading statements in the application  for registration; 
    3. Removed or altered the official identification of  livestock;
    4. Failed to carry out the requirements of this chapter; or
    5. Made false or misleading entries in the records that are  required by this chapter. 
    2VAC5-61-30. Identification of livestock.
    A. All livestock, other than feeder cattle that are not of  a dairy type, that are handled by or otherwise under the scope of business of  each dealer and marketing facility shall be officially identified [ upon  arrival at the marketing facility ]. [ Each  For those livestock that are not identified upon arrival, each ] dealer  and marketing facility shall cause official identification to be applied to any  livestock handled by or otherwise under the scope of their business that is not  already officially identified [ before leaving the marketing  facility and may charge a fee for this service ].
    B. Official identification.
    1. Official identification for cattle shall be an ear tag  bearing a unique identification number issued by an official state or federal  program or other form of identification approved by the State Veterinarian. For  slaughter cattle only that are purchased by a registered dealer, a U.S.  Department of Agriculture back tag shall also be considered official  identification.
    2. Official identification for sheep and goats shall be any  form of identification approved by the U.S. Department of Agriculture scrapie  eradication program or other form of identification approved by the State  Veterinarian. 
    3. Official identification for swine shall be a unique and  permanent group or individual identification number issued by an official state  or federal program and applied to each animal or other forms of identification  approved by the State Veterinarian. 
    4. [ Official identification for alpacas,  camels, and llamas shall be a microchip, scrapie serial tag, or other forms of  identification approved by the State Veterinarian.
    5. ] Official identification for horses  shall be a microchip, registration tattoo, brand, name, and complete physical  description as listed or demonstrated by photographs on either a current  certificate of veterinary inspection or Coggins test certificate, or other form  of identification approved by the State Veterinarian.
    C. Official identification shall not be altered or  removed. 
    2VAC5-61-40. Records.
    A. Each dealer and marketing facility shall keep records  of the following information, which shall be recorded in a timely fashion upon  the completion of each transaction:
    1. Record of the official identification numbers of all  livestock handled or otherwise under the scope of business other than feeder  cattle that are not of a dairy type.
    2. The name and physical address of the person, firm, or  agent from whom each animal was purchased and the date of such purchase. 
    3. The name and physical address of the person, firm, or  agent to whom each animal was sold and the date of such sale. 
    B. Records required by this section shall be kept for at  least five years. Every dealer or marketing facility, during all reasonable  hours, shall permit the State Veterinarian to have access to and be able to  copy any records made and retained as required by this section. 
    C. The State Veterinarian may allow for the records  required by this section to be submitted to him in an electronic format he  prescribes.  Such records, properly submitted electronically to the State  Veterinarian, are exempt from the requirement that they be retained for at  least five years.
    2VAC5-61-50. Inspection of marketing facilities.
    All marketing facilities shall be under the jurisdiction  of the State Veterinarian and available for his inspection. The State  Veterinarian shall assign a designee to each marketing facility for the  following purposes: 
    1. To be present before, during, or after the operation of  the marketing facility as necessary for the purpose of ensuring compliance with  this chapter. 
    2. To ensure that livestock bear official identification  and that proper record is made of each transaction as required by this chapter.
    3. To ensure that livestock are handled in accordance with  the Virginia Comprehensive Animal Care laws (§ 3.2-6500 et seq. of Title 3.2 of  the Code of Virginia).
    4. To ensure proper disposition of all sick or diseased  livestock offered for sale in accordance with this chapter or other orders of  the State Veterinarian. 
    5. To make a thorough inspection of the marketing facility  to determine if the premises are maintained in a clean, sanitary, and orderly  manner.
    2VAC5-61-60. Operation of marketing facilities.
    A. The premises shall be maintained in a state of good  repair. The marketing facility shall contain appropriately constructed and  well-lighted livestock handling chutes, pens, and alleys for the inspection,  identification, vaccination, and testing of livestock. Electrical power shall  be provided.
    B. The premises shall be maintained in a clean, sanitary,  and orderly manner at all times and must be cleaned after each use. The  sanitation process shall prevent contamination of state waters, production of  noxious odors, and the breeding of insects or vermin. Run-off water shall be  diverted from livestock holding areas. 
    C. The marketing facility shall be sprayed with  disinfectant on a monthly basis or as otherwise required by the State  Veterinarian. All alleys, scales, docks, pens, and rings in which livestock  have been housed since the previous application of disinfectant must be cleaned  of all bedding and animal waste so that the base surfaces can be thoroughly  sprayed. No area shall be sprayed that has not been properly cleaned.
    D. Isolation pens shall be provided that are clearly  labeled, adequately drained, constructed of materials able to withstand  frequent cleaning and disinfection, and cleaned and disinfected between each  use.
    E. Condemned and diseased livestock shall be penned  separately from other livestock and shall be removed from the premises within  24 hours of the sale. Such pens shall be plainly marked "For Slaughter  Only."
    F. Dead animals shall be immediately moved to a designated  area of the premises out of public view and removed from the premises within  [ 24 48 ] hours.
    G. The marketing facility shall ensure that feed and water  can be provided to livestock in an appropriate manner when needed or as  directed by the State Veterinarian.
    [ H. Livestock may not be slaughtered or processed at  the marketing facility.
    I. Livestock shall not reside at the marketing facility. ]  
    2VAC5-61-70. Restriction of livestock movement.
    A. Shipment of livestock into other states shall be  subject to all federal laws and regulations governing the interstate shipment  of livestock and in conformity with the requirements of the state of  destination.
    B. Whenever the State Veterinarian has reason to suspect  or knowledge that a threat to the livestock industry or to public safety exists  by the continued conduct of business by a marketing facility or dealer, he may  restrict or prohibit the conduct of the marketing facility's or dealer's  business for such time as the threat or condition exists.
    C. Whenever the sanitation of a marketing facility is not  maintained as required in 2VAC5-61-60, the State Veterinarian may, at his  discretion, (i) prohibit the use of certain areas of the marketing facility or  (ii) limit the activities of such facility with regards to the type or to the  destination of livestock sold in such facility. This restriction shall remain  in effect until the State Veterinarian has determined that the marketing  facility is in compliance.
    [ 2VAC5-61-80. Penalty.
    Any person who violates any of the provisions of this  chapter is guilty of a Class 1 misdemeanor. ] 
        NOTICE: The following  form used in administering the regulation was filed by the agency. The forms is  not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of the form, which has a  hyperlink, to access it. The form is also available from the agency contact or  may be viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (2VAC5-61)
    Application  for Registration: Virginia Livestock/Poultry Dealers and Marketing Facilities,  Form VDACS-03214 (eff. 11/13)
    VA.R. Doc. No. R13-3709; Filed September 18, 2015, 1:54 p.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
DEPARTMENT OF FORESTRY
Final Regulation
    Title of Regulation: 4VAC10-30. Virginia State  Forests Regulations (amending 4VAC10-30-40, 4VAC10-30-120,  4VAC10-30-200, 4VAC10-30-210). 
    Statutory Authority: § 10.1-1101 of the Code of  Virginia.
    Effective Date: November 19, 2015. 
    Agency Contact: Andres Alvarez, Chief of Administration,  Department of Forestry, 900 Natural Resources Drive, Suite 800,  Charlottesville, VA 22903, telephone (434) 220-9022, FAX (434) 977-7749, or  email andres.alvarez@dof.virginia.gov.
    Summary:
    In accordance with Chapter 484 of the 2012 Acts of  Assembly, the amendments require any person 16 years of age or older who hunts,  fishes, traps, rides a bike, or rides a horse in a state forest to purchase an  annual special use permit for a fee of $15.
    Summary of Public Comments and Agency's Response: No  public comments were received by the promulgating agency. 
    4VAC10-30-40. Permits. 
    A permit to do any act shall authorize the same only insofar  as it may be performed in strict accordance with the terms and conditions  thereof. Any violation by its holder or his agents or employees of any term or  condition thereof shall constitute grounds for its revocation by the  department, or by its authorized representative. In case of revocation of any  permit, all moneys paid for or on account thereof shall, at the option of the  department, be forfeited to and be retained by it; and the holder of such  permit, together with his agents and employees who violated such terms and  conditions, shall be jointly and severally liable to the department for all  damages and loss suffered by it in excess of money so forfeited and retained;  but neither such forfeiture and retention by the department of the whole or any  part of such moneys nor the recovery or collection thereby of such damages, or  both, shall in any manner relieve such person or persons from liability to  punishment for any violation of any provision of any Virginia State Forests  Regulation. A state forest hunting special use permit will be  required to hunt or, trap, fish, ride bikes, or ride horses  on any state forest or portion thereof on which hunting and,  trapping, fishing, riding bikes, or riding horses is permitted.
    4VAC10-30-120. Charges. 
    No person 16 years of age or older shall make, use,  or gain admittance to, or attempt to use or gain admittance to the facilities  in any forest for the use of which a charge special use permit is  made required by the department unless he shall pay the charge  or price fixed by the department obtain a special use permit and pay an  annual fee of $15. Any person under 16 years of age may hunt, trap, fish, ride  bikes, or ride horses on any state forest and is not required to obtain a  special use permit or pay an annual fee.
    4VAC10-30-200. Hunting and fishing. 
    No person within the confines of any forest, shall hunt,  trap, shoot, injure, kill or molest in any way any bird or animal, nor shall  any person have in his possession any bird or animal, dead or alive, within the  forest except any bird or animal designated as a game bird or animal by the  Virginia Board of Game and Inland Fisheries, and the trapping of, hunting of,  shooting at, or possession of any such bird or animal is prohibited except  during the lawful hunting season set for the forest or portion thereof by the Virginia  Board of Game and Inland Fisheries and only in those forests or portion thereof  designated by the Forest Superintendent as lawful hunting areas. A state forest  hunting special use permit will be required. All provisions of  the Virginia Code concerning hunting must be complied with. 
    4VAC10-30-210. Fishing. 
    Fishing is permitted in designated areas in each forest, the  only stipulation being that persons fishing must have a state fishing license,  have a special use permit, and comply with the Virginia Game and Inland  Fisheries rules and regulations. 
    VA.R. Doc. No. R13-3185; Filed September 18, 2015, 11:46 a.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
MARINE RESOURCES COMMISSION
Final Regulation
        REGISTRAR'S NOTICE: The  Marine Resources Commission is claiming an exemption from the Administrative  Process Act in accordance with § 2.2-4006 A 11 of the Code of Virginia;  however, the commission is required to publish the full text of final  regulations.
         Title of Regulation: 4VAC20-110. Pertaining to  Lobsters (amending 4VAC20-110-60, 4VAC20-110-65). 
    Statutory Authority: § 28.2-201 of the Code of Virginia.
    Effective Date: October 1, 2015. 
    Agency Contact: Jennifer Farmer, Regulatory Coordinator,  Marine Resources Commission, 2600 Washington Avenue, 3rd Floor, Newport News,  VA 23607, telephone (757) 247-2248 or email jennifer.farmer@mrc.virginia.gov.
    Summary:
    The amendments establish a no-cost commercial lobster permit  required for (i) any American lobster harvester using any gear or methods other  than lobster traps in Virginia waters and (ii) any boat or vessel to possess or  land American lobster in Virginia for commercial purposes.
    4VAC20-110-60. License required and permit  requirements. 
    A. In accordance with the provisions of § 28.2-201 of  the Code of Virginia, the Marine Resources Commission does hereby establish a  Lobster Boat License to be valid for one calendar year and does hereby require  that each such vessel engaged in the fishing for or landing of lobster within  or upon the waters within the jurisdiction of the Commonwealth procure and  display such license provided that such vessel be not otherwise licensed for  fishing by the Marine Resources Commission or engaged in the use of fishing  gear that is not otherwise licensed by the Marine Resources Commission. 
    B. In accordance with the provisions of § 28.2-201 of  the Code of Virginia, the Marine Resources Commission establishes a no cost  commercial lobster permit for any American lobster harvester using any gear or  methods other than lobster traps in Virginia waters.
    C. It shall be unlawful for any boat or vessel to possess  or land American lobster in Virginia for commercial purposes without first  obtaining a Virginia lobster permit, as described in subsection B of this  section, or a Federal Lobster Permit. 
    4VAC20-110-65. Landing limit. 
    Landings by fishermen using gear or methods other than lobster  traps (nontrap fishermen) shall be limited to no more than 100 lobsters per day  (based on a 24-hour period) up to a maximum of 500 lobsters per trip, for trips  five days or longer. Possession by any nontrap fishermen aboard any vessel on  Virginia waters or the landing by any nontrap fishermen of quantities greater than  those specified shall constitute a violation of this chapter. 
    VA.R. Doc. No. R16-4501; Filed September 24, 2015, 2:27 p.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
MARINE RESOURCES COMMISSION
Final Regulation
        REGISTRAR'S NOTICE: The  Marine Resources Commission is claiming an exemption from the Administrative  Process Act in accordance with § 2.2-4006 A 11 of the Code of Virginia;  however, the commission is required to publish the full text of final  regulations.
         Title of Regulation: 4VAC20-720. Pertaining to  Restrictions on Oyster Harvest (amending 4VAC20-720-40 through  4VAC20-720-80). 
    Statutory Authority: § 28.2-201 of the Code of Virginia.
    Effective Date: October 1, 2015. 
    Agency Contact: Jennifer Farmer, Regulatory Coordinator,  Marine Resources Commission, 2600 Washington Avenue, 3rd Floor, Newport News,  VA 23607, telephone (757) 247-2248 or email jennifer.farmer@mrc.virginia.gov.
    Summary:
    The amendments establish a hand scrape season for public  oyster grounds in the Pocomoke Sound Area - Public Ground 10 from November 2,  2015, through November 13, 2015, except as otherwise limited. 
    4VAC20-720-40. Open oyster harvest season and areas. 
    A. It shall be unlawful for any person to harvest oysters  from public and unassigned grounds outside of the seasons and areas set forth  in this section.
    B. It shall be unlawful to harvest clean cull oysters from  the public oyster grounds and unassigned grounds except during the lawful  seasons and from the lawful areas as described in the following subdivisions of  this subsection.
    1. James River Seed Area, including the Deep Water Shoal State  Replenishment Seed Area: October 1, 2015, through April 30, 2016.
    2. Milford Haven: December 1, 2015, through February 29, 2016.
    3. Rappahannock River Area 9: November 1, 2015, through  December 31, 2015.
    4. Little Wicomico River: October 1, 2015, through December  31, 2015.
    5. Coan River: October 1, 2015, through December 31, 2015.
    6. Yeocomico River: October 1, 2015, through December 31,  2015.
    7. Nomini Creek: October 1, 2015, through December 31, 2015.
    8. Mobjack Bay Area: January 1, 2016, through January 31,  2016.
    9. Rappahannock River Rotation Area 5: October 1, 2015, through  November 30, 2015.
    10. Rappahannock River Rotation Area 3: November 1, 2015,  through December 31, 2015.
    11. Great Wicomico River Area: December 1, 2015, through  January 31, 2016.
    12. Upper Chesapeake Bay - Blackberry Hangs Area: December 1,  2015, through January 31, 2016.
    13. James River Area and the Thomas Rock Area (James River):  November 1 2015, through December 31, 2015, and March 1, 2016, through March  31, 2016.
    14. Pocomoke and Tangier Sounds Rotation Area 1: December 1,  2015, through February 29, 2016.
    15. Pocomoke Sound Area - Public Ground 10: November 2,  2015, through November 13, 2015.
    15. 16. Deep Rock Area: December 1, 2015,  through February 29, 2016.
    16. 17. Seaside of the Eastern Shore (for clean  cull oysters only): November 1, 2015, through March 31, 2016.
    C. It shall be unlawful to harvest seed oysters from the  public oyster grounds or unassigned grounds, except during the lawful seasons.  The harvest of seed oysters from the lawful areas is described in the following  subdivisions of this subsection.
    1. James River Seed Area: October 1, 2015, through May 31,  2016.
    2. Deep Water Shoal State Replenishment Seed Area: October 1,  2015, through May 31, 2016.
    4VAC20-720-60. Day and time limit.
    A. It shall be unlawful to take, catch, or possess oysters on  Saturday and Sunday from the public oyster grounds or unassigned grounds in the  waters of the Commonwealth of Virginia, for commercial purposes, except that  this provision shall not apply to any person harvesting no more than one bushel  per day by hand or ordinary tong for household use only during the season when  the public oyster grounds or unassigned grounds are legally open for harvest. 
    B. From October 1, 2015, through December 31, 2015, it shall  be unlawful to take, catch, or possess oysters on any Friday from the public  oyster grounds or unassigned grounds described in 4VAC20-720-40 B 9 through B 14  15.
    C. It shall be unlawful for any person to harvest or attempt  to harvest oysters prior to sunrise or after 2 p.m. from the areas described in  4VAC20-720-40 B 1 through B 15 16 and 4VAC20-720-40 C. In  addition, it shall be unlawful for any boat with an oyster dredge aboard to  leave the dock until one hour before sunrise or return to the dock after  sunset, and it shall be unlawful for any boat with a hand scrape aboard to  leave the dock until one-half hour before sunrise or return to the dock after  sunset.
    4VAC20-720-70. Gear restrictions. 
    A. It shall be unlawful for any person to harvest oysters in  the James River Seed Area, including the Deep Water Shoal State Replenishment  Seed Area, the Rappahannock River Area 9, Milford Haven, Little Wicomico River,  Coan River, Nomini Creek and Yeocomico River, except by hand tong. It shall be  unlawful for any person to have a hand scrape on board a boat that is  harvesting or attempting to harvest oysters from public grounds by hand tong.
    B. It shall be unlawful to harvest oysters from the seaside  of the Eastern Shore area by any gear, except by hand.
    C. It shall be unlawful to harvest oysters in the  Rappahannock River Rotation Areas 3 and 5, James River Area, Thomas Rock Area,  Upper Chesapeake Bay Blackberry Hangs Area, Mobjack Bay Area, and Great  Wicomico River Area, and Pocomoke Sound Area - Public Ground 10, by any gear  except by hand scrape. 
    D. It shall be unlawful for any person to have more than one  hand scrape on board any boat that is harvesting oysters or attempting to  harvest oysters from public grounds. It shall be unlawful for any person to  have a hand tong on board a boat that is harvesting or attempting to harvest  oysters from public grounds by hand scrape.
    E. It shall be unlawful to harvest oysters from the Pocomoke  and Tangier Sounds Rotation Area 1, except by an oyster dredge.
    F. It shall be unlawful to harvest oysters from the Deep Rock  Area, except by an oyster patent tong. 
    4VAC20-720-75. Gear license. 
    A. It shall be unlawful for any person to harvest shellfish,  from the hand scrape areas in the Rappahannock River, James River, Upper  Chesapeake Bay, Mobjack Bay Area, and Great Wicomico River, and  Pocomoke Sound Area - Public Ground 10, unless that person has first  obtained a valid hand scrape license. 
    B. It shall be unlawful for any person to harvest shellfish  with an oyster dredge from the public oyster grounds in the Pocomoke and  Tangier Sounds Rotation Area 1, unless that person has first obtained a valid  oyster dredge license. 
    C. It shall be unlawful for any person to harvest shellfish  with a patent tong from the public oyster grounds in the Deep Rock Area, unless  that person has first obtained a valid oyster patent tong license.
    D. It shall be unlawful for any person to harvest shellfish  with a hand tong from the public oyster grounds, as described in 4VAC20-720-70  A, unless that person has first obtained a valid hand tong license.
    E. It shall be unlawful for any person to harvest shellfish  by hand from the public oyster grounds on the Seaside of the Eastern Shore, as  described in 4VAC20-720-40 B 16 17, unless that person has first  obtained a valid oyster by hand license.
    4VAC20-720-80. Quotas and harvest limits.
    A. It shall be unlawful for any person who does not possess a  valid commercial fisherman's registration license and a valid gear license  required by harvest area, as described in 4VAC20-720-75, and has not paid the  current year's oyster resource user fee to harvest or possess more than eight  bushels per day. It shall be unlawful for any vessel to exceed a daily vessel  limit of 24 bushels clean cull oysters harvested from the areas described in  4VAC20-720-40 B 8 through 14 15.
    B. It shall be unlawful for any person who does not possess a  valid commercial fisherman's registration license and a valid gear license  required by harvest area, as described in 4VAC20-720-75, and has not paid the  current year's oyster resource user fee to harvest or possess more than eight  bushels per day. It shall be unlawful for any vessel to exceed a daily vessel  limit for clean cull oysters harvested from the areas described in  4VAC20-720-40 B 2 through 7 and 15 16, whereby that vessel limit  shall equal the number of registered commercial fisherman licensees on board  the vessel who hold a valid gear license and who have paid the oyster resource  user fee multiplied by eight.
    C. It shall be unlawful for any vessel to exceed a daily  vessel limit for clean cull oysters harvested from the areas described in  4VAC20-720-40 B 1, whereby that vessel limit shall equal the number of  registered commercial fisherman licensees on board the vessel who hold a valid  gear license and who have paid the oyster resource user fee multiplied by 12.  It shall be unlawful for any person who does not possess a valid commercial  fisherman's registration license and hold a valid gear license required by  harvest area, as described in 4VAC20-720-75, and has not paid the current  year's oyster resource user fee to harvest or possess more than 12 bushels per  day. 
    D. In the Pocomoke and Tangier Sounds Rotation Area 1, no  blue crab bycatch is allowed. It shall be unlawful to possess on board any  vessel more than 250 hard clams.
    VA.R. Doc. No. R16-4500; Filed September 24, 2015, 3:12 p.m. 
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
CRIMINAL JUSTICE SERVICES BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  Criminal Justice Services Board is claiming an exemption from Article 2 of 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  Criminal Justice Services Board will receive, consider, and respond to  petitions from any interested person at any time with respect to  reconsideration or revision.
         Title of Regulation: 6VAC20-40. Rules Relating to  Compulsory Minimum Training Standards for Undercover Investigative Officers (repealing 6VAC20-40-10 through 6VAC20-40-60).  
    Statutory Authority: § 9.1-102 of the Code of Virginia.
    Effective Date: November 19, 2015. 
    Agency Contact: Barbara Peterson-Wilson, Law Enforcement  Program Coordinator, Department of Criminal Justice Services, 1100 Bank Street,  Richmond, VA 23219, telephone (804) 225-4503, FAX (804) 225-3853, or email  barbara.peterson-wilson@dcjs.virginia.gov.
    Summary:
    Chapter 278 of the 2015 Acts of Assembly eliminates the  requirement that the Department of Criminal Justice Services establish training  courses for undercover investigation work that is designed to be conducted for  law-enforcement officers who have not completed the compulsory law-enforcement  officer minimum training standards. This action repeals the associated  regulations as unnecessary.
    VA.R. Doc. No. R16-4375; Filed September 18, 2015, 3:15 p.m. 
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
CRIMINAL JUSTICE SERVICES BOARD
Proposed Regulation
    Title of Regulation: 6VAC20-230. Regulations Relating  to Special Conservator of the Peace (amending 6VAC20-230-30, 6VAC20-230-90). 
    Statutory Authority: § 9.1-150.2 of the Code of  Virginia.
    Public Hearing Information:
    October 21, 2015 - 10 a.m. - Washington Building, 1100  Bank Street, Room B27, Richmond, VA 23219. (Note: Individuals wishing to attend  the public hearing must present a photo ID at the security desk when entering  the building.)
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Barbara Peterson-Wilson, Director of  Policy and Legislative Affairs, Department of Criminal Justice Services, 1100  Bank Street, Richmond, VA 23219, telephone (804) 225-4503, FAX (804) 786-6344,  or email barbara.peterson-wilson@dcjs.virginia.gov.
    Basis: Section 19.2-13 of the Code of Virginia requires  persons appointed as a special conservator of the peace to be covered by a  policy of liability insurance or self-insurance in an amount and with coverage  as fixed by the Criminal Justice Services Board. Pursuant to § 9.1-150.2 of the  Code of Virginia, the Criminal Justice Services Board is statutorily authorized  to establish the amount and type of insurance coverage required for special  conservators of the peace. It also has the statutory authority to adopt  regulations establishing the qualifications of applicants for registration and  to administer the regulatory system promulgated by the board. 
    Purpose: Special conservators of the peace (SCOPs) are  unique actors in that they are typically citizens granted full arrest authority  equivalent to law-enforcement officers. SCOPs can carry firearms and use lethal  force when effecting arrests; they can use the seal of the Commonwealth and the  word "police" on their badges and uniforms. SCOPs engage in similar  activities as law enforcement, such as enforcing the laws of the Commonwealth, making  arrests, and dealing with dangerous people and situations while on duty.  Because their authority, responsibilities, and actions are similar to that of  law-enforcement officers, SCOPs need to be adequately and similarly protected  from potential claims of wrongdoing. Unlike governmental actors, who enjoy a  certain degree of protection, coverage and in some cases, immunity, SCOPs  employed by private corporations likely enjoy no immunity for their actions and  therefore need adequate coverage when claims are made against them. For the  same reasons, citizens interacting with SCOPs must also be afforded some degree  of protection or ability to be made whole after suffering wrongdoing or  misconduct by SCOPs.
    Currently an SCOP applicant is required to maintain either a  $10,000 surety or cash bond or a $10,000 general liability insurance policy.  The $10,000 bond amount is the minimum amount that the board can fix pursuant  to § 19.2-13 of the Code of Virginia; this requirement will be removed  from the Code of Virginia pursuant to Chapters 766 and 772 of the 2015 Acts of  Assembly. The Code of Virginia does not specify a minimum amount of insurance  and provides the board with the authority to fix the amount and type of  insurance coverage. The board evaluated the established minimum standards to  determine whether it adequately protected individual SCOPs, employers of SCOPs,  and private citizens interacting with SCOPs. 
    To this end, the board sought additional information and input  from the Department of Criminal Justice Services (DCJS) and the Private  Security Services Advisory Board (PSSAB). An expert from the Virginia Municipal  League (VML) and an expert from the Virginia Department of Taxation, Division  of Risk Management (DRM) both presented information to the board about bonds  and insurance as it relates to the coverage of individuals with arrest  authority. VML is statutorily authorized to provide insurance whose members  include local governments, towns, and counties. VML is the insurance company  for 150 police departments in Virginia. The Division of Risk Management  protects Virginia's state government, other public entities, and certain  qualified individuals from financial loss caused by legal liability, loss to  property, and other hazards. DRM protects a diverse range of exposures for  state government, constitutional officers, local governments, and others  throughout Virginia.
    The experts indicated that a cash bond is a bond paid in cash  and is not secured by property or real estate. They further advised that cash  and surety bonds merely protect an employer from dishonest acts of the employee  (such as theft) and speculated that the bond requirement for special  conservators was an antiquated method that was likely codified in  § 19.2-13 prior to the emergence of insurance. Both experts advised that  bonds do not act like insurance and do nothing to protect the public from  misconduct or injury inflicted by special conservators of the peace. Ideally,  the SCOP would be covered by both a bond (to protect the employer) and  liability insurance (to protect the SCOP and public). The expert from DRM  advised that additional coverage of a $500,000 faithful performance bond exists  for all state employees.
    The board was advised of the different types of insurance.  General liability insurance covers situations resulting in injury or damage to  another person or property. Self-insurance of one's property or interests  against possible loss is established through a special fund for that specific  purpose, instead of seeking coverage with an underwriter. Self-insurance is  typically used by local and state governments. Law-enforcement liability  insurance, a type of professional insurance, covers what general liability  insurance does not, namely actions and misconduct arising out of arrests or the  enforcement of criminal laws. Law-enforcement liability insurance covers errors  of judgment (what the SCOP should have done), such as excessive use of force,  wrongful detention, racial profiling, and infliction of mental anguish. Most  law-enforcement claims are for errors of judgment and excessive use of force  and, to a lesser degree, include claims for racial profiling and mental  anguish. The main difference between general liability insurance and  professional law-enforcement liability is that professional law-enforcement  liability covers specific actions arising out of law-enforcement duties and  actions.
    The experts also advised the board that the industry standard  for coverage of individuals with arrest authority is $1 million in  professional law-enforcement coverage. VML insures all of its member officers  and special conservators of the peace for at least $1 million per  occurrence, and many police departments pay for additional coverage. By  statute, sheriffs are covered by a $1.5 million liability policy and a $500,000  fidelity bond. The experts informed the board that there is a healthy,  commercial market available for the purchase of professional law-enforcement  liability. 
    In summary, the experts advised that a $10,000 bond and a  $10,000 general liability insurance plan was not adequate coverage to (i)  provide recourse for an individual harmed by SCOP actions or misconduct or (ii)  protect the SCOP from claims arising out of his law-enforcement activities. 
    Prior to making a decision, the board also sought advice from  the Private Security Services Advisory Board. The PSSAB recommended that the  board increase the bond amount to $100,000 and to change the insurance amount  and type to $500,000 in a general liability insurance plan. DCJS recommended  increasing the bond amount to $100,000 and changing the insurance amount and  type to $500,000 in professional law-enforcement liability insurance. 
    After considering all information and recommendations from  experts, DCJS, and PSSAB, and mindful of ensuring the health, safety, and  welfare of citizens and special conservators of the peace arising out of the  law-enforcement duties of SCOPs, the board decided at its June 2014 meeting  that special conservators of the peace must maintain either a $100,000 surety  or cash bond or $500,000 professional law-enforcement liability in order to  become eligible for registration and appointment. On May 7, 2015, the board  decided to remove the proposal to increase the surety or cash bond and to  strike the requirement from the regulations to conform to statutory language  enacted by Chapters 766 and 772 of the 2015 Acts of Assembly.
    Substance: The proposed changes reflect the board's  statutory authority to amend the $10,000 general liability or self-insurance to  a minimum of $500,000 in professional law-enforcement liability insurance.  Further, the proposed changes reflect the removal of the cash or surety bond  option to conform to the change in the Code of Virginia as enacted in Chapters  766 and 772 of the 2015 Acts of Assembly.
    Issues: The primary advantage to the public is ensuring  an increased opportunity for recourse in the event that an individual is harmed  as a result of interacting with an SCOP. Individual SCOPs are also provided  with increased liability protection for actions arising out of their conduct.  The current requirements do nothing to protect the individual SCOP from  defending against actions arising out of their errors of judgment. There are no  disadvantages to the agency or the Commonwealth.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Criminal  Justice Services Board (Board) proposes to amend its regulation for special conservators  of the peace (SCOP) to change the type of insurance that SCOPs must be covered  under and to increase the amount of insurance required from $10,000 to  $500,000. Pursuant to Chapter 772 of the 2015 Acts of the Assembly, the Board  also proposes to eliminate language that allowed SCOPs to carry a surety bond  instead of insurance.
    Result of Analysis. There is insufficient information to  ascertain whether benefits will outweigh costs for this proposed regulatory  action.
    Estimated Economic Impact. Current regulation requires that  special conservators of the peace (SCOP) have either a surety bond worth at  least $10,000 or have at least $10,000 in comprehensive general insurance. In  2015, the General Assembly eliminated the choice for SCOPs to secure surety  bonds; Board staff reports that the General Assembly made this change to SCOP  legislation because surety bonds normally only provide coverage against  economic losses caused by the covered employees theft and, so, would be an  inappropriate instrument to cover SCOPs for claims made against them and to  provide protection for the public from the misconduct of SCOPs. 
    For this reason, the Board also proposes to change the type of  insurance required for SCOPs from comprehensive general insurance liability  insurance to professional law-enforcement liability insurance which covers  actions and misconduct that may arise during arrests or the enforcement of  criminal laws. Upon consultation with the Private Security Services Advisory  Board, the Virginia Municipal League and the Department of Taxation's Division  of Risk Management, the Board also proposes to increase the amount of insurance  coverage required from $10,000 to $500,000. Board staff reports that the  proposed insurance coverage will likely cost individual SCOPs or their  employers in the range of $2,500 to $25,000 per year. Board staff reports that  rates will vary widely based on any number of factors including the revenues,  operational risk and history of the employing business as well as the scope of  practice of the SCOPs. Changing the type and amount of insurance required will  better protect the public from harm caused by SCOP misconduct. There is  insufficient information about the scope of misconduct experienced by citizens  of the Commonwealth in a typical year to ascertain whether benefits will  outweigh costs for these regulatory changes.
    Businesses and Entities Affected. Board staff reports that  there are 760 SCOPs registered with the Board. Board staff estimates that less  than one percent of these SCOPs are individual proprietors that would qualify  as small businesses and reports that all other SCOPs are in the employ of  cities, counties, state agencies or large corporations. All of these entities  and their employers will be affected by these regulatory changes. 
    Localities Particularly Affected. Localities that employ SCOPs  will be particularly affected by this proposed regulation. Localities that  currently hold surety bonds on their SCOPs may see increased costs as they will  have to obtain insurance for them instead. Board staff reports that five  localities currently hold surety bonds on their SCOP employees. Board staff  further reports that the other 30 localities that employ SCOPs have  law-enforcement insurance to cover them that is already greater than the limits  set by the Board. These localities will likely not see increased costs.
    Projected Impact on Employment. Increasing insurance  requirements in this regulatory action and the elimination of the surety bond  alternative will likely increase costs for employing SCOPs and may,  consequently, decrease the number of individuals who are employed in this  field.
    Effects on the Use and Value of Private Property. To the extent  that this regulatory action raises the cost of working as an SCOP, individual  proprietor SCOPs will likely see decreased profits. Individual proprietor SCOPs  whose costs increase to the point that their businesses are not profitable at  all will likely close those businesses and find other employment. 
    Large corporations that employ SCOPs may experience some  decrease in profits or they may choose to employ fewer SCOPs as a result of  increasing insurance requirements.
    Small Businesses: Costs and Other Effects. Individual  proprietor SCOPs will have to pay likely much higher insurance premiums on  account of this regulatory action.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. There are likely no alternative methods that would both meet the  Board's goal and further reduce costs.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17  (2014). Section 2.2-4007.04 requires that such economic impact analyses  determine the public benefits and costs of the proposed amendments. Further the  report should include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a  finding that a proposed regulation may have an adverse impact on small  business, the Joint Commission on Administrative Rules is notified at the time  the proposed regulation is submitted to the Virginia Register of Regulations  for publication. This analysis shall represent DPB's best estimate for the  purposes of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The  Department of Criminal Justice Services concurs with the economic impact  analysis of the Department of Planning and Budget.
    Summary:
    The proposed amendments (i) change the type of insurance  under which special conservators of the peace must be covered; (ii) increase  the amount of insurance required from $10,000 to $500,000; and (iii) pursuant  to Chapters 766 and 772 of the 2015 Acts of Assembly, eliminate language  allowing a special conservator of the peace to carry a surety bond instead of  insurance.
    6VAC20-230-30. Initial registration application. 
    A. Individuals are required to be registered pursuant to § 19.2-13  of the Code of Virginia in the category of special conservator of the peace.  Prior to the issuance of a registration, the applicant shall meet or exceed the  requirements of registration and application submittal to the department as set  forth in this section. Individuals who carry or have access to a firearm while  on duty must have a valid registration with firearms verification. The court  may limit or prohibit the carrying of weapons by any special conservator of the  peace as defined in § 19.2-13 F G of the Code of Virginia. 
    B. Each person applying for registration shall meet the  minimum requirements for eligibility as follows: 
    1. Be a minimum of 18 years of age; 
    2. Successfully complete all initial training requirements for  special conservator of the peace, including firearms verification if  applicable, requested pursuant to the entry-level training standards in  6VAC20-230-160; and 
    3. Be a United States citizen or legal resident alien of the  United States. 
    C. Each person applying for registration shall file with the  department: 
    1. A properly completed application provided by the  department; 
    2. His mailing address on the application; 
    3. Fingerprint cards pursuant to 6VAC20-230-40; 
    4. The applicable, nonrefundable application fee; 
    5. A drug and alcohol test pursuant to 6VAC230-50 6VAC20-230-50;  and 
    6. Pursuant to § 19.2-13 C D of the Code of  Virginia, documentation verifying that the applicant has secured a surety  bond or cash bond in the amount not to be less than $10,000 executed by a  surety company authorized to do business in Virginia, or a certificate of  insurance reflecting the department as a certificate holder, showing a policy  of comprehensive general professional law-enforcement liability  insurance with a minimum coverage of $10,000 $500,000 issued by  an insurance company authorized to do business in Virginia. 
    D. Upon completion of the initial registration application  requirements, the department may issue a temporary registration letter for not  more than 120 days at a time while awaiting the results of the state and  national fingerprint search provided the applicant has met the necessary  conditions and requirements. This temporary registration letter shall be taken  to the circuit court where seeking appointment for special conservator of the  peace. 
    E. Each registration shall be issued to the individual named  on the application and shall be valid only for use by that individual. No  registration shall be assigned or otherwise transferred to another individual. 
    F. Each registered individual shall comply with all  applicable administrative requirements and standards of conduct and shall not  engage in any acts prohibited by applicable sections of the Code of Virginia  and this chapter. 
    G. Once the individual has met the requirements and received  a temporary registration letter, he shall petition the circuit court for  appointment in the jurisdiction where the individual will be employed. 
    H. Meeting the requirements of registration allows an  individual to be eligible for appointment. Registration does not guarantee  appointment. 
    I. Upon completion of an appointment by a circuit court, the  individual shall file with the department a copy of the court order granting  appointment as a special conservator of the peace. A final registration letter  will be issued by the department. This registration letter shall be submitted  to a specified entity for a state-issued photo identification card. 
    6VAC20-230-90. Reinstatement. 
    A. Individuals who do not renew their registration on or  before the expiration date may not work as a special conservator of the peace  until reinstatement requirements have been met. Pursuant to the Code of  Virginia, all such persons must currently be registered with the department as  a special conservator of the peace. 
    B. A renewal application must be received by the department  within 60 days following the expiration date of the registration in order to be  reinstated by the department providing all renewal requirements have been met.  The department shall not reinstate renewal applications received after the  60-day reinstatement period has expired. It is unlawful to operate without a  valid registration during the reinstatement period. The department shall not  reinstate a registration that has become null and void due to not maintaining  required insurance or surety bond coverage. The department will notify  the court when an individual has not met the registration renewal requirements  with the department. Prior to reinstatement, the following shall be submitted  to the department: 
    1. The appropriate renewal application and completion of  renewal requirements including required training pursuant to this chapter; and 
    2. The applicable, nonrefundable reinstatement fee. 
    C. A registration shall be renewed or reinstated only when  all renewal application requirements are received by the department. After the  60-day reinstatement period, an applicant shall meet all initial application  requirements, including applicable training requirements. 
    D. Following submittal of all reinstatement requirements, the  department will process and may approve any application for reinstatement  pursuant to the renewal process for the application. 
    VA.R. Doc. No. R15-4099; Filed September 18, 2015, 11:46 a.m. 
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
CRIMINAL JUSTICE SERVICES BOARD
Final Regulation
    Title of Regulation: 6VAC20-280. Rules Relating to  Compulsory Minimum Training Standards for Law-Enforcement Field Training  Officers (adding 6VAC20-280-10 through 6VAC20-280-90). 
    Statutory Authority: § 9.1-102 of the Code of Virginia.
    Effective Date: November 18, 2015. 
    Agency Contact: Barbara Peterson-Wilson, Law Enforcement  Program Coordinator, Department of Criminal Justice Services, 1100 Bank Street,  Richmond, VA 23219, telephone (804) 225-4503, or email  barbara.peterson-wilson@dcjs.virginia.gov.
    Summary:
    The regulation establishes minimum training standards and  qualifications for the certification and recertification of law-enforcement  officers serving as field training officers.
    Summary of Public Comments and Agency's Response: No  public comments were received by the promulgating agency. 
    CHAPTER 280
  RULES RELATING TO COMPULSORY MINIMUM TRAINING STANDARDS FOR LAW-ENFORCEMENT  FIELD TRAINING OFFICERS
    6VAC20-280-10. Definitions.
    The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Academy director" means the chief  administrative officer of a certified training academy.
    "Agency administrator" means any chief of  police, sheriff, or agency head of a state or local law-enforcement agency.
    "Board" means the Criminal Justice Services  Board.
    "Certified training academy" means a training  facility in compliance with academy certification standards operated by the  state or by local units of government for the purpose of providing instruction  of compulsory minimum training standards.
    "Compulsory minimum training standards" means  the performance outcomes and training criteria approved by the board's  Committee on Training. 
    "Department" means the Department of Criminal  Justice Services.
    "Director" means the chief administrative  officer of the department or his designee.
    "Field training officer" means a certified  law-enforcement officer who provides training to newly employed law-enforcement  officers for the purposes of training and measuring entry-level officer  performance. 
    "Provisional field training officer" means a  certified law-enforcement officer who provides training to a newly employed  law-enforcement officer for the purposes of training and measuring entry-level  officer performance, but who has not met the standards as prescribed under 6VAC20-280-20.  A provisional field training officer is only allowed to act as a field training  officer if no other field training officer is available for that department.
    6VAC20-280-20. Compulsory minimum training standards.
    Pursuant to the provisions of subdivision 3 of § 9.1-102  of the Code of Virginia, the department establishes these standards [ for  as the ] compulsory minimum training standards for law-enforcement  field training officers. 
    1. The course shall include a minimum of 32 hours of  training and must address each of the following subjects:
    a. Field training program and the field training officer.
    b. Field training program delivery and evaluation.
    c. Training liability.
    d. Characteristics of the adult learner.
    e. Methods of instruction.
    f. Fundamentals of communication.
    g. Written test.
    2. A field training officer recertification course shall  include a minimum of two hours of training. The director of a certified  training academy shall establish recertification criteria for that academy. 
    6VAC20-280-30. Applicability.
    A. Every law-enforcement officer designated by the agency  administrator to serve as a field training officer must meet the compulsory  minimum training standards established in 6VAC20-280-20 after December 31,  [ 2013 2015 ].
    B. The law-enforcement officer selected as a field  training officer shall successfully complete a field training program designed  by the certified criminal justice academy. 
    C. All officers serving as field training officers after  December 31, [ 2013 2015 ], shall be  required to comply with this chapter other than for recertification. 
    D. A provisional field training officer must be certified  by the department. A provisional field training officer certification:
    1. Requires a high school diploma or high school  equivalency examination approved by the Board of Education;
    2. Requires that the field training officer has met the  minimum training standards for the primary function for which he is employed by  a criminal justice agency, if applicable;
    3. Does not authorize an individual to instruct or qualify  others in mandated firearms, defensive tactics, driver training, or radar  courses; and
    4. Is not valid for more than one year and is not  renewable. 
    Individuals may apply for field training officer  certification upon meeting the requirements of this chapter.
    6VAC20-280-40. Time required for completion of training.
    Effective January 1, [ 2014 2016 ],  each law-enforcement officer designated by the agency administrator to serve as  a field training officer shall comply with field training officer training  requirements in 6VAC20-280-20 prior to serving in the capacity of that  position. 
    6VAC20-280-50. Compliance with compulsory minimum training  standards.
    A. The field training officer curriculum shall be  maintained in accordance with the academy certification standards. The academy  director shall maintain documentation of the type of training approved, means  of attaining such training, and means of testing such programs. 
    B. Training developed and conducted shall be subject to  inspection and reviewed by the department.
    C. Agencies without a certified field training officer may  complete the Category 10 requirements of 6VAC20-20-21 with a certified field  training officer from another Virginia criminal justice agency.
    6VAC20-280-60. Grading.
    A. All certified training academies shall utilize testing  procedures for initial certification that indicate that the field training  officer has satisfactorily completed the training standards of this chapter.
    B. Academy training records must be maintained in  accordance with the provisions of this chapter and §§ 42.1-76 through 42.1-90.1  of the Code of Virginia.
    6VAC20-280-70. Recertification.
    A field training officer's initial certification is valid  for three years and may be renewed by attending a field training officer  recertification course. The recertification course must contain at least two  hours of training, and the director of a certified training academy shall  establish recertification criteria for that academy.
    6VAC20-280-80. Failure to comply with rules and regulations.
    Any individual attending a certified training academy  shall comply with the rules and regulations promulgated by the department. The  academy director shall be responsible for enforcement of all rules and regulations  established to govern the conduct of attendees. If the academy director  considers a violation of the rules and regulations detrimental to the welfare  of the academy, the academy director may expel the individual from the academy.  Notification of such action shall immediately be reported in writing to the  agency administrator of the individual in accordance with the rules and  regulations within the authority of the certified training academy.
    6VAC20-280-90. Administrative requirements.
    Records of field training officer certification and  recertification shall be maintained by the employing agency. 
    VA.R. Doc. No. R13-2896; Filed September 17, 2015, 1:05 p.m. 
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Fast-Track Regulation
    Title of Regulation: 9VAC20-110. Regulations  Governing the Transportation of Hazardous Materials (amending 9VAC20-110-110). 
    Statutory Authority: § 10.1-1450 of the Code of  Virginia.
    Public Hearing Information: No public hearings are  scheduled. 
    Public Comment Deadline: November 18, 2015.
    Effective Date: December 3, 2015. 
    Agency Contact: Debra Harris, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4209, FAX (804) 698-4346, or email  debra.harris@deq.virginia.gov.
    Basis: This regulation is promulgated under the  authorities of § 10.1-1450 of the Code of Virginia, which requires the  Virginia Waste Management Board to promulgate regulations designating the  manner and method by which hazardous materials shall be loaded, unloaded,  packed, identified, marked, placarded, stored, and transported. Additionally,  the board's overall authority is provided in § 10.1-1402 of the Virginia Waste  Management Act, Chapter 14 (§ 10.1-1400 et seq.) of Title 10.1 of the Code  of Virginia, which authorizes the Virginia Waste Management Board to promulgate  and enforce regulations necessary to carry out its powers and duties and the  intent of the chapter and federal law. 
    Purpose: The Virginia State Police is provided grant  funds through the federal government's Motor Carrier Safety Assistance Program  (MCSAP) for its hazardous materials program. A program audit by the U.S.  Department of Transportation's Federal Motor Carrier Safety Administration  noted that 9VAC20-110 did not include the requirements of Subpart F of 49 CFR  Part 107, which is a condition for the grant. Therefore, an amendment to  9VAC20-110-110 to add Subpart F to the list of federal regulations incorporated  by reference is necessary. This amendment will provide the Virginia State  Police with the ability to ensure cargo tanks used to transport hazardous  material are properly registered in accordance with federal requirements and  will also meet the conditions for the MCSAP grant and will provide a beneficial  impact for the public's safety.
    Rationale for Using Fast-Track Process: This amendment  is not expected to be controversial as it is necessary to revise the regulation  to meet the MCSAP grant conditions and provide the Virginia State Police with  the ability to ensure hazardous material transport cargo tanks' registration,  and records are in accordance with federal requirements.
    Substance: The changes to the regulations have been made  to include the requirements of Subpart F of 49 CFR Part 107.
    Issues: There are no advantages or disadvantages to the  public. The advantage to the Commonwealth is that this amendment will provide  the Virginia State Police with the ability to ensure cargo tanks used to  transport hazardous material are properly registered in accordance with federal  requirements and will also meet the conditions for their MCSAP grant.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Virginia  Waste Management Board (Board) proposes to amend its Regulations Governing the  Transportation of Hazardous Materials to incorporate by reference 49 CFR 107  Subpart F (which is a federal regulation that includes registration and  recordkeeping requirements for people who manufacture, assemble, inspect or  repair certain cargo tank motor vehicles). 
    Result of Analysis. Benefits likely outweigh costs for this  proposed regulatory change.
    Estimated Economic Impact. The Board's Regulations Governing  the Transportation of Hazardous Materials set rules for (and incorporate  federal regulations that affect) the State Police's enforcement of safe  hazardous materials transportation. The State Police are able to get grants to  defray the cost of enforcement through the federal government's Motor Carrier  Safety Assistance Program (MCSAP) so long as this regulation includes all  applicable federal rules. A recent audit by the U.S. Department of  Transportation, however, noted that the Board's Regulations did not include the  requirements contained in 49 CFR 107 Subpart F. In order for the State Police  to continue to be eligible to apply for MCSAP grants, the Board now proposes to  incorporate 49 CFR 107 Subpart F by reference.
    No affected entity is likely to incur any costs on account of  this regulatory change because all regulated entities already have to follow  all applicable federal laws and regulations. This proposed regulatory change  will benefit regulated entities as it will give them a more complete picture of  the rules that they must comply to. The State Police will also benefit from  this change as it will allow them to continue getting federal grant money to  defray the costs of this enforcement program.
    Businesses and Entities Affected. All individuals or entities  that haul hazardous materials, as well as the State Police that enforce  hazardous waste transportation laws and regulations, will be affected by this  regulatory change. Board staff reports that approximately 33,000 cargo tank  trucks hauling hazardous materials are inspected by the State Police each year.
    Localities Particularly Affected. No locality will be  particularly affected by this proposed regulatory action. 
    Projected Impact on Employment. This proposed regulation is  unlikely to affect employment in the Commonwealth.
    Effects on the Use and Value of Private Property. This proposed  regulation is unlikely to affect the use or value of private property in the  Commonwealth.
    Small Businesses: Costs and Other Effects. No small business is  likely to incur any costs on account of the proposed regulation.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. No small business is likely to incur any costs on account of the  proposed regulation.
    Real Estate Development Costs. This proposed regulation is  unlikely to affect real estate development costs.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17 (2014).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments.  Further the report  should include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such economic  impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPB's best estimate for the purposes  of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The  department has reviewed the economic impact analysis prepared by the Department  of Planning and Budget and has no comment.
    Summary:
    The amendments incorporate by reference 49 CFR Part 107  Subpart F, a federal regulation that includes registration and recordkeeping  requirements for people who manufacture, assemble, inspect, or repair certain  cargo tank motor vehicles.
    Part III 
  Compliance with Federal Regulations 
    9VAC20-110-110. Compliance. 
    Every person who transports or offers for transportation hazardous  materials within or through the Commonwealth of Virginia shall comply with the  federal regulations governing the transportation of hazardous materials  promulgated by the United States Secretary of Transportation with amendments  promulgated as of October 1, 2014, pursuant to the Hazardous Materials  Transportation Act, and located at Title 49 of the Code of Federal Regulations  as set forth below and which are incorporated in these regulations by  reference: 
    1. Special Permits. 49 CFR Part 107, Subpart B. 
    2. Registration of Cargo Tank and Cargo Tank Motor Vehicle  Manufacturers, Assemblers, Repairers, Inspectors, Testers, and Design  Certifying Engineers in 49 CFR Part 107, Subpart F. 
    2. 3. Registration of Persons Who Offer or  Transport Hazardous Materials in 49 CFR Part 107, Subpart G. 
    3. 4. Hazardous Materials Regulations in 49 CFR  Parts 171 through 177. 
    4. 5. Specifications for Packagings in 49 CFR  Part 178. 
    5. 6. Specifications for Tank Cars in 49 CFR  Part 179. 
    6. 7. Continuing Qualification and Maintenance  of Packagings in 49 CFR Part 180. 
    7. 8. Motor Carrier Safety Regulations in 49 CFR  Parts 390 through 397. 
    VA.R. Doc. No. R16-3970; Filed September 29, 2015, 2:51 p.m. 
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Fast-Track Regulation
    Title of Regulation: 12VAC30-130. Amount, Duration  and Scope of Selected Services (amending 12VAC30-130-800, 12VAC30-130-810,  12VAC30-130-820). 
    Statutory Authority: § 32.1-325 of the Code of  Virginia; 42 USC § 1396 et seq.
    Public Hearing Information: No public hearings are  scheduled. 
    Public Comment Deadline: November 18, 2015.
    Effective Date: December 3, 2015. 
    Agency Contact: Emily McClellan, Regulatory Supervisor,  Policy Division, Department of Medical Assistance Services, 600 East Broad  Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX (804)  786-1680, or email emily.mcclellan@dmas.virginia.gov.
    Basis: Section 32.1-325 of the Code of Virginia grants  to the Board of Medical Assistance Services the authority to administer and  amend the Plan for Medical Assistance. Section 32.1-324 of the Code of Virginia  authorizes the Director of the Department of Medical Assistance Services (DMAS)  to administer and amend the Plan for Medical Assistance according to the  board's requirements. The Medicaid authority as established by § 1902(a) of the  Social Security Act (42 USC § 1396a) provides governing authority for payments  for services.
    42 CFR 431.54(e) permits state Medicaid agencies to have  programs that restrict Medicaid individuals who have been found to be  over-utilizing either physician or pharmacy services, or both. DMAS' Client  Medical Management (CMM) Programs operate under the authority of a § 1915(b)  (of the Social Security Act) waiver granted by the Centers for Medicare and  Medicaid Services (CMS). The waiver permits DMAS to deny the standard freedom  of choice (42 CFR § 431.51) to these identified recipients and restrict  them to specified physicians or pharmacies, or both.
    Purpose: The purpose of this action is to promulgate  permanent regulatory changes for the CMM Programs. Item 301 RR of Chapter 2 of  the 2014 Acts of the Assembly, Special Session I, directed DMAS to make  programmatic changes to this program to ensure appropriate utilization, prevent  abuse, promote improved and cost efficient medical management of essential  health care, and assist and educate beneficiaries in appropriately using  medical and pharmacy services. These changes will further improve the health,  safety, and welfare of individuals who are eligible for Medicaid and who also  use higher than typical amounts of services from different physicians and  pharmacies by assisting and educating these individuals in the appropriate use  of medical and pharmacy services.
    These changes will not impact the health and safety of the  Commonwealth citizens who do not receive Medicaid services. These changes will  not affect Medicaid enrolled providers.
    Rationale for Using Fast-Track Process: DMAS believes  that the fast-track rulemaking process is appropriate because these proposed  changes are more liberal than the current policies. DMAS does not anticipate  any objections to these changes. The CMM Programs are still DMAS' utilization  control programs for fee-for-service individuals. DMAS did not receive any  objections to the emergency regulations or comments during the Notice of  Intended Regulatory Action public comment period.
    Substance: This action affects the Client Medical  Management Programs (12VAC30-130-800, 12VAC30-130-810, and 12VAC30-130-820).
    Currently, the regulations that provide for the administration  of the CMM programs affect the fee-for-service Medicaid eligible population,  which is only potentially 31% of the entire Medicaid population. These  regulations do not affect those individuals who participate in the managed care  model of service delivery.
    Medicaid's managed care program is now statewide and as of  April 2014 cared for 69% of all Medicaid eligible individuals. 12VAC30-120-370  sets out the reasons that individuals can be exempted from participating in the  managed care program. Some of the reasons are (i) individuals are inpatients in  state mental hospitals, nursing facilities, intermediate care facilities for  individuals with intellectual disabilities, or hospice; (ii) individuals are  affected by Medicaid spend-down policies; (iii) individuals are in either home  or community-based waiver programs; (iv) individuals are eligible for Part C  services through the Department of Behavioral Health and Developmental  Services; (v) individuals have an eligibility period less than three months in  duration or have retroactive eligibility; or (vi) children are enrolled in the  Virginia Birth-Related Neurological Injury Compensation Program established  pursuant to Chapter 50 (§ 38.2-5000  et seq.) of Title 38.2 of the Code of Virginia. Only the individuals who fit  any of these exemption reasons receive their medical care via the  fee-for-service model and therefore can be affected by CMM.
    Pursuant to current CMM regulations and after patterns of  inappropriate or excessive service use are identified, individuals are  restricted to one pharmacy or physician for a minimum of 36 months. At the end  of the restriction period, if the recipient continues to demonstrate  inappropriate use of services, he is re-enrolled in the program for another 36  months. DMAS tracks this inappropriate use with computer claim denial codes  that result from providers' bills for services that may have been rendered.
    Even though the recidivism rate averages about 7.8%, DMAS  believes changing the restriction period to 24 months initially and 12 months  for re-enrollment to be appropriate. With the managed care statewide expansion,  the CMM potential population has substantially decreased. This reduction in CMM  restricted members along with the changes to the restrictions periods will  allow staff to facilitate resolution of any early enrollment issues and also to  be more proactive in assisting and educating Medicaid individuals in  appropriately using medical and pharmacy services. DMAS staff will continue to  work with members who are over-utilizing services, but also will more closely  assess under-utilization that results in abusive practices. These changes may  also contribute to cost avoidance. 
    This action continues to provide for the medical care needs of  individuals with multiple diagnoses and complex health care needs that require  care from physicians and specialists in addition to their primary care  physicians. Provision is also retained for individuals who have legitimate  complex medical conditions that require high numbers of prescription  medications. Provisions are being retained for such complex care recipients to  appeal a restriction status and be exempted from restriction. 
    Providers must require that Medicaid individuals present their  Medicaid identification cards when they present for services. When providers  input the unique identification number, they are advised that the individual's  access to physician or pharmacy services, or both, is restricted. This action  continues to provide that if the individual's restriction pharmacy does not  have the required drug, or in emergency situations, the individual may receive  the required medication from an alternative pharmacy. Such alternative  pharmacies are paid for providing medications in such situations.
    Individuals demonstrating the following utilization patterns  will be evaluated to determine if they warrant being restricted to designated  physician or pharmacy providers, or both:
    • An individual receiving narcotic prescriptions from two or  more prescribers without supporting diagnoses indicative of use. 
    • An individual having two occurrences of filling prescriptions  for the same drug two or more times on the same or the subsequent day. 
    • An individual receiving more than 24 prescriptions in a  three-month period. 
    • An individual receiving more than 12 psychotropic prescriptions,  more than 12 analgesic prescriptions, or more than 12 prescriptions for  controlled drugs that have the potential for abuse, in a three-month period.
    • An individual who uses emergency hospital services for three  or more emergency room visits for nonemergency care during a three-month period  to include cases of self referral, nonacute episodes of care, or solely for  nonacute management of chronic diagnoses or symptoms. 
    • Utilizing services from three or more prescribers and three  or more dispensing pharmacies in a three-month period.
    • Exceeding the maximum therapeutic dosage of the same drug or  multiple drugs in the same therapeutic class, which have been prescribed by two  or more practitioners, for a period exceeding four weeks. 
    • Receiving two or more drugs, duplicative in nature or  potentially addictive (even within acceptable therapeutic levels), dispensed by  more than one pharmacy or prescribed by more than one practitioner for a period  exceeding four weeks.
    • Utilizing three or more different physicians of the same type  or specialty in a three-month period for treatment of the same or similar  condition or conditions. 
    • Two or more occurrences of seeing two or more physicians of  the same type or specialty on the same or subsequent day for the same or  similar diagnosis. 
    • Duplicative, excessive, or contraindicated utilization of  medications, medical supplies, or appliances dispensed by or prescribed by more  than one provider for the time period specified by DMAS. 
    • One or more providers recommend restriction for medical  management because the recipient has demonstrated inappropriate utilization  practices. 
    • A pattern of noncompliance that is inconsistent with sound  fiscal or medical practices. For example, noncompliance may be characterized by  (i) failure to disclose to a provider any treatment or services provided by  another provider; (ii) failure to follow a drug regimen or other recommended  treatment; (iii) requests for medical services or medications that are not  medically necessary; (iv) use of hospital emergency services via self-referral  for nonacute episodes of care, or solely for nonacute management of the medical  condition; or (v) under-use or under-utilization of medically necessary  services that result in higher costs for the management of the medical  condition. 
    • Any documented occurrences of use of the eligibility card to  obtain drugs under false pretenses, which includes, but is not limited to the  purchase or attempt to purchase drugs via a forged or altered prescription. 
    • Any documented occurrences of card-sharing. 
    • Any documented occurrences of alteration of the  recipient eligibility card. 
    Controls placed on individuals who may be abusing services will  improve cost-efficiency of care and enable better monitoring and improved  coordination of the health care needs toward the overall goal of improved  health care outcomes. The following are examples of individuals whose use of  Medicaid covered services warranted being included in a CMM program. 
    CASE A: For an individual who receives medical services for  multiple diagnoses, a utilization review process documents the use of seven  physicians, three pharmacies, and nonemergency services. In some of these  instances, DMAS has found such individuals refusing regular therapies and  opting instead for treatment in emergency rooms and hospitals. During such an  individual's CMM program enrollment, DMAS staff (Recipient Monitoring Unit  (RMU) case manager) would make multiple contacts with the individual,  providers, other DMAS units and resources in the individual's community to  identify and facilitate coordination of care with one treatment center. After enrollment  in a CMM program, such an individual would receive scheduled services at one  treatment center and pharmaceutical services at one pharmacy, while  nonemergency services are denied or paid at reduced rates. In this manner, the  individual's health would be stabilized through appropriate use of available  services. 
    CASE B: For an individual, who is receiving medical services  for multiple diagnoses (such as diabetes, depression, and chronic pain), a  utilization review process documents the use of four physicians and one  pharmacy with simultaneous prescriptions for narcotic analgesics and medicine  for maintenance treatment of opioid dependence. Since enrollment in a CMM  program, the individual's health care is coordinated by a primary care  physician who has referred this individual to other health care providers that  treat such diagnoses. Pharmaceutical services are received at one pharmacy.
    CASE C: For an individual who is receiving medical services for  multiple diagnoses (such as back pain, bipolar disorder, diabetes, and asthma),  a utilization review process documented the use of five physicians and 10  pharmacies with duplicate prescriptions from the several physicians. The  individual also had the same day/subsequent day filling of syringe supplies.  RMU staff discussed inappropriate utilization identified during the review  process with the individual prior to enrollment in a CMM program. Since  enrollment in a CMM program, the individual's pharmaceutical services are  coordinated through one pharmacy and one primary care physician who is the  primary prescriber of medications. During routine monitoring of services, there  have been documented attempts by the individual to use nondesignated pharmacies  for services.
    Issues: The primary advantage to the general public and  private citizens of proposed amendments is the decrease in the duplicative  efforts of doctors and pharmacies by allowing them to provide the same level of  care for all patients. The amendments also reduce an individual's access to  excessive amounts of medications that have therapeutic properties that could  cause harm to himself and other individuals in the community if they are  re-sold to other persons.
    The primary advantage to the Commonwealth is the close  monitoring of the fee-for-service Medicaid population's utilization patterns  and the identifying of instances of over-utilization and noncompliance that  could result in misappropriations of state and federal funding. Restriction of  individuals to one pharmacy or physician, or both, has resulted in reductions  in Medicaid expenditures for individuals during Client Medical Management  restriction periods. There are no disadvantages to the public or the  Commonwealth.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The  Department of Medical Assistance Services (DMAS) proposes to 1) reduce the time  periods the individuals with excessive utilization patterns may be restricted  to a single physician and/or a pharmacy from 36 to 24 months initially and from  36 to 12 months beyond the initial restriction period, and 2) add  under-utilization among the factors that may cause an individual to be enrolled  in the program.
    Result of Analysis. The benefits likely exceed the costs for  all proposed changes.
    Estimated Economic Impact. The Client Medical Management  program restricts access of individuals who have a history of utilizing high  numbers of different physicians and/or pharmacies for their primary health care  services to a single physician and/or pharmacy. 1 Restriction in the  program is for a defined period of time and the individual is required to  establish a medical home with a single primary care physician and/or pharmacy  once enrolled in the program. The initial restriction period is currently 36  months. If the high utilization patterns continue, the individual is required  to stay in the program for an additional 36 months. The proposed changes will  reduce the initial restriction period to 24 months and the subsequent  restriction period to 12 months.
    Currently, there are approximately 120 individuals enrolled in  the program. DMAS estimates that the program provides approximately $800,000  savings in total funds (federal and state funds) per year by controlling over  utilization of medical services. DMAS also reports a 7.8% recidivism rate in  this program. However, DMAS believes that changing the restriction period to  24-months initially and 12 months for re-enrollment is appropriate. DMAS  believes that no significant change in savings will materialize because the  proposed less restrictive time periods are not expected to increase the current  recidivism rate. In addition, DMAS highlights that as the managed care has  expanded over the years, the fee-for-service population and consequently the  CMM program enrollment has shrunk, allowing DMAS staff more time to focus on  individual cases and improve the program's success by assisting and educating  Medicaid individuals in the appropriate use of medical and pharmacy services.
    In addition, the proposed changes will allow enrollment of  individuals who are underutilizing services in the program. According to DMAS,  underutilization of medically necessary services is not medically responsible  or fiscally sound and can result in the further deterioration of an otherwise  manageable health condition. While this change may add to the savings that may  be expected, given the small size of the program, DMAS does not expect such  savings to be significant.
    This proposed action also includes numerous other changes;  however, they reorganize or clarify the current language and therefore are not  expected to have a significant economic impact.
    Businesses and Entities Affected. The proposed amendments  primarily affect individuals enrolled in the Client Medical Management program  and DMAS. Currently, there are approximately 120 individuals enrolled in the  program.
    Localities Particularly Affected. The regulations apply  throughout the Commonwealth. 
    Projected Impact on Employment. The proposed amendments are  unlikely to significantly affect employment.
    Effects on the Use and Value of Private Property. The proposed  amendments are unlikely to significantly affect the use and value of private  property.
    Small Businesses: Costs and Other Effects. The proposed  amendments are unlikely to significantly affect small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The proposed amendments are unlikely to adversely affect small  businesses.
    Real Estate Development Costs. The proposed amendments are  unlikely to affect real estate development costs.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17  (2014). Section 2.2-4007.04 requires that such economic impact analyses  determine the public benefits and costs of the proposed amendments. Further the  report should include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a  finding that a proposed regulation may have an adverse impact on small business,  the Joint Commission on Administrative Rules is notified at the time the  proposed regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPB's best estimate for the purposes  of public review and comment on the proposed regulation.
    _________________________________________________
    1 The individuals with legitimate needs for having  multiple physicians/pharmacies are not enrolled in the program.
    Agency's Response to Economic Impact Analysis: The  agency has reviewed the economic impact analysis prepared by the Department of  Planning and Budget and concurs with this analysis.
    Summary:
    The amendments (i) reduce the time periods that individuals  with excessive utilization patterns may be restricted to a single physician or  a pharmacy to 24 months initially and 12 months beyond the initial restriction  period, (ii) add under-utilization among the factors that may cause an  individual to be enrolled in the Client Medical Management Programs and (iii)  add an educational component to the programs. The amendments are made pursuant  to Item 301 RR of Chapter 2 of the 2014 Acts of Assembly, Special Session I. 
    Part XIII 
  Client Medical Management Program Programs
    12VAC30-130-800. Definitions.
    The following words and terms when used in this part shall  have the following meanings unless the context clearly indicates otherwise: 
    "APA" means the Administrative Process Act  established by Chapter 40 (§ 2.2-4000 et seq.) of Title 2.2 of the Code of Virginia.  
    "Abuse by recipients" means practices by  recipients that are inconsistent with sound fiscal or medical practices and  result in unnecessary costs to the Virginia Medicaid Program.
    "Abuse by providers" means practices that are  inconsistent with sound fiscal, business, or medical practices and result in  unnecessary costs to the Virginia Medicaid Program or in reimbursement for a  level of utilization or pattern of services that is not medically necessary. 
    "Abuse" or "abusive activities" means  practices by individuals or providers that are inconsistent with sound fiscal  or medical practices and result in unnecessary costs to the Virginia Medicaid  program.
    "Card-sharing" means (i) the intentional  sharing of a recipient an individual's eligibility card for use  by someone other than the recipient individual for whom it was  issued, or a pattern of repeated (ii) unauthorized use of a  recipient an individual's eligibility card by one or more persons  other than the recipient individual for whom it was issued due to  the failure of the recipient individual to safeguard the card.
    "Client Medical Management Program (CMM) for recipients  individuals" or "CMM Program for individuals"  means the recipients' individuals' utilization control program  designed to prevent abuse and promote improved and cost efficient medical  management of essential health care for noninstitutionalized recipients individuals  through restriction to one primary care provider, or one  pharmacy, and one transportation provider, or any combination of  these three designated providers. Referrals may not be made to  providers restricted through the Client Medical Management Program, nor may  restricted providers serve as covering providers.
    "Client Medical Management Program (CMM) for  providers"  or "CMM Program for providers" means the  providers' utilization control program designed to complement the recipient  individual abuse and utilization control program in promoting improved  and cost efficient medical management of essential health care. Restricted  providers may not serve as designated providers for restricted recipients.  Restricted providers may not serve as referral or covering providers for  restricted recipients.
    "Contraindicated medical care" means treatment  that is medically improper or undesirable and which results in duplicative or  excessive utilization of services. 
    "Contraindicated use of drugs" means the  concomitant use of two or more drugs whose combined pharmacologic action  produces an undesirable therapeutic effect or induces an adverse effect by the  extended use of a drug with a known potential to produce this effect. 
    "Controlled substance" means a substance that  has a potential for abuse because physical and psychic dependence and tolerance  may develop upon repeated administration and that is classified as a Schedules  I through V drug.
    "Covering provider" means a provider designated by  the primary provider to render health care services in the temporary absence of  the primary provider. 
    "DMAS" or "the department" means  the Department of Medical Assistance Services. 
    "Dental services" means covered dental services  available to Medicaid or FAMIS eligible children as well as the limited,  emergency services available to Medicaid eligible adults.
    "Designated provider physician or pharmacy"  means the provider who agrees to be the designated primary physician,  designated or pharmacy, or designated transportation provider  from whom the restricted recipient individual must first attempt  to seek health care medical or pharmaceutical services. Other  providers may be established as designated physician or pharmacy  providers with the approval of DMAS.
    "Diagnosis" means (i) the process of determining  by examination the nature and circumstances of a diseased condition or injury  and (ii) the decision reached from such examination.
    "Diagnostic category" means the broad  classification of diseases and injuries found in the ICD as defined in  12VAC30-95-5 International Classification of Diseases (ICD), which  is commonly used by providers in billing for medical services.
    "Drug" means a substance or medication intended for  use in the diagnosis, cure, mitigation, treatment or prevention of disease as  defined by the Virginia Drug Control Act (§ 54.1-3400 et seq. of the Code  of Virginia).
    "Duplicative medical care" means two or more  practitioners are concurrently treat treating the same or  similar medical problems or conditions falling into the same diagnostic  category, but excluding confirmation for diagnosis, evaluation, or  assessment. 
    "Duplicative medications" means more than one  prescription of the same drug or more than one drug in the same therapeutic  class. 
    "Education" means providing individuals with  information regarding DMAS' identification of inappropriate utilization and  what is appropriate access to Medicaid covered services according to the  policies and procedures of the CMM Program for individuals and the CMM Program  for providers. Education shall not include providing a professional opinion  regarding a individual's medical or mental health. 
    "Eligibility card" means the document issued to  each Medicaid individual listing the name and Medicaid number, either the  identification or billing number, of the eligible individual, which may be in  the form of a plastic card magnetically encoded, allowing electronic access to  inquiries for eligibility status.
    "Emergency hospital services" means those hospital  services that are necessary to treat a medical emergency. Hospital treatment of  a medical emergency necessitates the use of the most accessible hospital  available that is equipped to furnish the required services. 
    "EPSDT" means the Early and Periodic Screening,  Diagnosis, and Treatment Program which that is federally mandated  for eligible individuals under younger than 21 years of age. 
    "Essential medical services" means quality  medical services, including but not limited to preventive care, emergency  services, maternity care, hospital and physician services, and prescription  drug services as set out in the State Plan for Medical Assistance.
    "Excessive medical care" means obtaining greater  than necessary services such that health risks to the recipient individual  or unnecessary costs to the Virginia Medicaid Program may ensue from the  accumulation of services or obtaining duplicative services.
    "Excessive medications" means obtaining medication  in greater than generally acceptable maximum therapeutic dosage regimens or  obtaining duplicative medication from one or more than one  practitioner practitioners.
    "Excessive transportation services" means obtaining  or rendering greater than necessary transportation services such that  unnecessary costs to the Virginia Medicaid Program may ensue from the  accumulation of services. 
    "FAMIS" means the Family Access to Medical  Insurance Security program as created by Title XXI of the Social Security Act. 
    "Fraud" means an intentional deception or  misrepresentation made by a person with the knowledge that the deception could  result in some unauthorized benefit to himself or some other person. It  includes any act that constitutes fraud under applicable federal or state laws.  
    "Health care" means any covered services service,  including equipment, or supplies, or transportation services,  provided by any individual person, organization, or entity that  participates in the Virginia Medical Assistance Program. 
    "Home and community-based services" means a  range of community services approved by the Centers for Medicare and Medicaid  Services (CMS) pursuant to § 1915(c) of the Social Security Act to be offered  to individuals as an alternative to institutionalization.
    "Hospice services" means services, pursuant to §  1905(o) of the Act, that are reasonable and necessary for the palliation or  management of a terminal illness if the terminal illness runs its normal  course.
    "Immunization" means the creation of immunity  against a particular disease using a vaccination.
    "Individual" means the recipient of  Medicaid-covered services that are provided under the authority of Titles XIX  and XXI of the Social Security Act. 
    "Java-Server Utilization Review System" or  "JSURS" means a computer subsystem of the Virginia Medicaid  Management Information System (VAMMIS) that collects claims data and computes  statistical profiles of individual and provider activity and compares such profiles  with the appropriate peer group.
    "Managed care organization" or "MCO"  means an entity that meets the participation and solvency criteria defined in  42 CFR Part 438 and has an executed agreement with the department to  provide services covered under (i) the Medallion II programs, pursuant to  12VAC30-120-360 et seq., or any successor programs and (ii) the FAMIS programs,  pursuant to 12VAC30-141, or any successor programs.
    "Medical emergency" means the sudden onset of a  medical condition manifesting itself by acute symptoms of sufficient severity,  including severe pain, that in the absence of immediate medical  attention could reasonably be expected to result in (i) placing the client's  individual's health in serious jeopardy, (ii) serious impairment of the  individual's bodily functions, or (iii) serious dysfunction of any the  individual's bodily organ or part organs or parts. 
    "Medical management of essential health care"  means a case management approach to health care in which the designated primary  physician has responsibility for assessing the needs of the patient and making  referrals to other physicians and clinics as needed. The designated pharmacy  has responsibility for monitoring the drug regimen of the patient. 
    "Medically necessary" means services that are  reasonable and necessary for the diagnosis or treatment of an illness,  condition, or injury, or to improve the function of a disability, consistent  with community standards of medical practice and in accordance with Medicaid or  FAMIS policies.
    "Noncompliance" means failing to follow Client  Medical Management Program policies and procedures, or a pattern of  utilization that is inconsistent with sound fiscal or medical practices.  Noncompliance includes, but is not limited to, failure to follow a recommended  treatment plan or drug regimen; failure to disclose to a provider any treatment  or services provided by another provider; or requests for medical  services or medications that are not medically necessary; or excessive use  of transportation services. 
    "Not medically necessary" means an item or  service that is not consistent with the diagnosis or treatment of the patient's  condition or an item or service that is duplicative, contraindicated, or  excessive. 
    "Pattern" means a combination of qualities,  acts, or tendencies that result in duplication or frequent occurrence. 
    "Practitioner" means a health care provider  licensed, registered, or otherwise permitted by law to distribute, dispense,  prescribe, and administer drugs or otherwise treat medical conditions. 
    "Primary care provider" or "PCP" means the  designated primary physician responsible for medical management of essential  health care for the restricted recipient a physician or nurse  practitioner practicing in accordance with state law who is responsible for  supervising, coordinating, and providing initial and primary medical care to  patients; for initiating written referrals for specialist care; and for  maintaining the continuity of patient care. 
    "Provider" means the individual, facility or  other entity registered, licensed, or certified, as appropriate, and enrolled  by DMAS to render services to Medicaid recipients eligible for services a  person, organization, or institution with a current, valid license or  certification, as applicable, and participation agreement with DMAS who or that  will (i) render service to Medicaid individuals who are eligible for covered  services, (ii) submit a claim or claims for the rendered services, and (iii)  accept as payment in full the amount paid by the Virginia Medicaid or FAMIS  program. 
    "Psychotropic drugs" means drugs that alter the  mental state activity, behavior, or perception. Such Examples  of such drugs include, but are not limited to, morphine,  barbiturates, hypnotics, antianxiety agents, antidepressants, and  antipsychotics. 
    "Recipient" means the individual who is  eligible, under Title XIX of the Social Security Act, to receive Medicaid  covered services. 
    "Recipient eligibility card" means the document  issued to each Medicaid enrollee; an individual document issued to each  Medicaid recipient listing the name and Medicaid number (either the  identification or billing number) of the eligible individual. This document may  be in the form of a plastic card magnetically encoded, allowing electronic  access to inquiries for eligibility status. 
    "Renal dialysis services" means services that  aid the process of diffusing blood across a semi-permeable membrane to remove  substances that a normal kidney would eliminate, including poisons, drugs,  urea, uric acid, and creatinine. Renal dialysis services help to restore  electrolytes and correct acid-base imbalances.
    "Restriction" "Restrict" or  "restriction" means an administrative action imposed on a  recipient an individual that limits access to specific types of  health care services through a designated primary provider or an administrative  action imposed on a provider to prohibit participation as a designated primary  provider, referral, or covering provider for restricted recipients individuals.  
    "Social Security Act" or "the Act"  means the Act statute, enacted by the 74th Congress on August 14,  1935, and as amended, that provides for the general welfare by  establishing a system of federal old age benefits, and by enabling the states  to make more adequate provisions for aged persons, blind persons, dependent and  crippled children who have disabilities, maternal and child welfare,  public health, and the administration of their unemployment compensation laws.
    "State Plan for Medical Assistance" or "the  Plan" means the document listing the covered groups, covered services  and their limitations, and provider reimbursement methodologies as provided for  under Title XIX of the Social Security Act comprehensive written  statement submitted by the department to the Centers for Medicare and Medicaid  Services (CMS) for approval describing the nature and scope of the Virginia  Medicaid program and giving assurance that it will be administered in  conformity with the requirements, standards, procedures, and conditions for  obtaining federal financial participation.
    "Surveillance and Utilization Review Subsystem  (SURS)" or "Automated Exception Analysis (AEA)" means a computer  subsystem of the Medicaid Management Information System (MMIS) that collects  claims data and computes statistical profiles of recipient and provider  activity and compares them with that of their particular peer group. 
    "Therapeutic class" means a group of drugs with  similar pharmacologic actions and uses. 
    "Under-use" or "under-utilization"  means an occurrence where there is evidence that an individual did not receive  a service or procedure whose benefits exceeded the risks.
    "Utilization control" means the control of covered  health care services to assure the use of cost efficient, medically necessary  or appropriate services. 
    12VAC30-130-810. Client Medical Management Program for recipients  individuals. 
    A. Purpose. The Client Medical Management Program for  individuals is a utilization control program designed to prevent abuse  and promote improved and cost efficient medical management of essential health  care designed to assist and educate Medicaid individuals in  appropriately using essential medical and pharmacy services. Individuals who  use these services excessively or inappropriately as determined by DMAS may be  assigned to a single primary care provider or pharmacy, or both. The CMM  Program for individuals also monitors individual compliance with program  guidelines. 
    B. Authority. 
    1. Federal The Act and federal regulations at 42  CFR 456.3 require the Medicaid agency to implement a statewide surveillance and  utilization control program and 42 CFR 455.1 through 455.16 require the  Medicaid agency to conduct investigations of abuse by recipients that  (i) safeguards against unnecessary or inappropriate use of Medicaid services  and against excess payments, (ii) assesses the quality of those services, (iii)  provides for the control of the utilization of all services provided under the  Plan, and (iv) provides for the control of the utilization of inpatient  services. 
    2. Federal regulations at 42 CFR 431.54(e) allow states to  restrict recipients individuals to designated providers when the recipients  individuals have utilized services at a frequency or an amount  that is not medically necessary in accordance with utilization guidelines  established by the state. 42 CFR 455.16(c)(4) provides for imposition of  sanctions for instances of abuse identified by the agency. 
    C. Identification of Client Medical Management participants  for inclusion in the CMM Program participants for individuals.  DMAS shall identify recipients individuals for review from  computerized reports such as but not limited to Recipient SURS or AEA individual  Java-Server Utilization Review System (JSURS), VAMMIS, Oracle or by written  referrals from agencies, health care professionals, or other individuals  persons. Certain individuals who are reviewed may not be restricted  when evidence indicates that the prescription or medical service utilization  patterns, or both, are for appropriate therapy. Only individuals who are  excluded, pursuant to 12VAC30-120-370 B , from receiving care from a managed  care organization shall be reviewed and evaluated for restriction under the CCM  Program for individuals.
    D. Recipient Individual evaluation for  restriction. 
    1. DMAS shall review recipients utilize data as  indicated in subsection C of this section to conduct a review of individuals  to determine if services are being utilized at a frequency or amount that  results in a level of utilization or a pattern of services which is not  medically necessary or which exceeds the thresholds are excessive  medical services or excessive medications, or both, as established in  these regulations by the department. Evaluation of utilization  patterns can include but is not limited to review by the department staff  of medical records or computerized reports, or both, generated by the  department reflecting claims submitted for physician visits, drugs/prescriptions  drugs or prescriptions, outpatient and emergency room visits, lab and  or diagnostic procedures, or both, and hospital admissions, and  referrals. 
    2. Restricted individuals shall have reasonable access to  all essential medical services. These restrictions shall not apply to hospital  emergency services. 
    2. 3. Abusive activities shall be investigated  and, if appropriate, the recipient individual shall be reviewed  for educational intervention or restriction, or both. Recipients  demonstrating questionable patterns of utilization or exceeding reasonable  levels of utilization shall be reviewed for restriction.
    a. If DMAS' review determines that an individual's data  indicates (i) inappropriate use of Medicaid services, (ii) questionable  patterns of utilization, or (iii) unreasonable levels of utilization,  the department shall initiate the individual's restriction to either a  physician or pharmacy, or both.
    b. Once an individual is restricted, the restriction period  shall last for 24 months from the enrollment date. During this restriction  period, the individual shall be required to use the services of the designated  physician or designated pharmacy, or both.
    c. The individual may visit physicians or specialists other  than those who are designated only by a written referral from the designated  PCP. 
    d. The individual may obtain prescriptions from pharmacies  other than the designated pharmacy only (i) in an emergency, (ii) when the  designated pharmacy is closed, (iii) when the designated pharmacy does not  stock the required medication, or (iv) when the designated pharmacy is not able  to obtain the required medication in a timely manner. 
    E. Determination of restriction. DMAS may restrict an  individual if any of the following activities or patterns or levels of  utilization are identified. These activities, patterns, or levels of  utilization include, for example:
    3. DMAS may restrict recipients if any of the following  activities or patterns or levels of utilization are identified. These  activities or patterns or levels of utilization include but shall not be  limited to: 
    a. Exceeding 200% of the maximum therapeutic dosage of the  same drug or multiple drugs in the same therapeutic class for a period  exceeding four weeks. 
    b. 1. Two occurrences of having prescriptions  for the same drugs filled two or more times on the same or the subsequent day. 
    c. 2. Utilizing services from three or more  prescribers and three or more dispensing pharmacies in a three-month period. 
    d. 3. Receiving more than 24 prescriptions in a  three-month period. 
    e. 4. Receiving more than 12 psychotropic  prescriptions or more than 12 analgesic prescriptions or more than 12 prescriptions  for controlled drugs with potential for abuse in a three-month period. 
    f. 5. Exceeding the maximum therapeutic dosage  of the same drug or multiple drugs in the same therapeutic class, which have  been prescribed by two or more practitioners, for a period exceeding four  weeks. In addition, such drugs must be prescribed by two or more  practitioners. 
    g. 6. Receiving two or more drugs, duplicative  in nature or potentially addictive (even within acceptable therapeutic levels),  dispensed by more than one pharmacy or prescribed by more than one practitioner  for a period exceeding four weeks.
    7. Receiving narcotic prescriptions from two or more  prescribers without supporting diagnoses indicative of use. 
    h. 8. Utilizing three or more different  physicians of the same type or specialty in a three-month period for treatment  of the same or similar condition or conditions. 
    i. 9. Two or more occurrences of seeing two or  more physicians of the same type or specialty on the same or subsequent day for  the same or similar diagnosis. 
    j. 10. Duplicative, excessive, or  contraindicated utilization of medications, medical supplies, or appliances  dispensed by or prescribed by more than one provider for the time period  specified by DMAS. 
    k. Duplicative, excessive, or contraindicated utilization  of medical visits, procedures, or diagnostic tests from more than one provider  for the time period specified by DMAS. 
    l. 11. Use of emergency hospital services for  three or more emergency room visits for nonemergency care during a three-month  period. 
    m. 12. One or more providers recommends recommend  restriction for medical management because the recipient has demonstrated  inappropriate utilization practices. 
    n. 13. A pattern of noncompliance which that  is inconsistent with sound fiscal or medical practices. Noncompliance is  For example, noncompliance may be characterized by, but not limited  to: 
    (1) a. Failure to disclose to a provider any  treatment or services provided by another provider; 
    (2) b. Failure to follow a drug regimen or other  recommended treatment; 
    (3) c. Requests for medical services or  medications which that are not medically necessary; 
    (4) Excessive use of transportation services; or 
    (5) Use of transportation services with no corresponding  medical services. 
    d. Use of hospital emergency services via self-referral for  nonacute episodes of care or solely for nonacute management of the medical  condition; or
    e. Under-use or under-utilization of medically necessary  services that results in higher costs for the management of the medical  condition. 
    o. One or more 14. Any documented occurrences of  use of the eligibility card to obtain drugs under false pretenses, which  includes, but is not limited to the purchase or attempt to purchase drugs via a  forged or altered prescription. 
    p. One or more 15. Any documented occurrences of  card-sharing. 
    q. One or more 16. Any documented occurrences of  alteration of the recipient eligibility card.
    17. One or more documented occurrences of paying cash for  controlled substances, analgesic drugs, or psychotropic drugs in addition to  the use of the eligibility card to obtain similar or duplicative controlled  substances. 
    E. Recipient F. Individual restriction  procedures. 
    1. DMAS shall advise affected recipients individuals  by written notice of the proposed restriction under the Client Medical  Management CMM Program for individuals. Written notice shall  include an explanation of restriction procedures and the recipient's individual's  right to appeal the proposed action.
    2. The recipient individual shall have the  opportunity to select a designated providers physician or  pharmacy, or both. If a recipient an individual fails to  respond by the date specified in the restriction notice, DMAS shall select a  designated providers physician or pharmacy, or both. 
    3. DMAS shall not implement restriction if a valid appeal,  consistent with 12VAC30-110-210, is noted. (See subsection K of this section.)  
    4. DMAS shall restrict recipients individuals to  their designated providers physician or pharmacy, or both, for 36  24 months. 
    F. G. Designated providers. 
    1. A designated primary physician or pharmacy, or  both, must be a physician who provider that is enrolled as  an individual practitioner in Virginia Medicaid and who  that is unrestricted by DMAS. Providers who are restricted pursuant  to 12VAC30-130-820 D and E shall not serve as designated providers for  restricted individuals and shall not serve as referral or covering providers  for restricted individuals.
    2. A designated pharmacy provider must be a pharmacy that  is enrolled as a community pharmacy and that is unrestricted by DMAS. Physicians  or pharmacy providers, or both, who are under the CMM Program for providers  shall not serve as designated providers, shall not provide services through  referral, and shall not serve as covering providers for restricted individuals.
    3. A designated transportation provider must be enrolled as  a taxi, registered driver, or wheelchair van and be unrestricted by DMAS.  Recipients shall be assigned to the type of provider who meets the appropriate  level of transportation that is medically necessary. 
    4. Providers restricted through the Client Medical  Management Program may not serve as designated providers, may not provide  services through referral, and may not serve as covering providers for  restricted recipients. 
    5. 3. Physicians with practices limited to the  delivery of emergency room services may not serve as designated primary  providers. 
    6. Restricted recipients shall have reasonable access to  all essential medical services. These restrictions shall not apply to emergency  services. 
    7. 4. Other provider types physicians  or pharmacies, or both, may be established as designated providers as  needed but only with the approval of DMAS. 
    G. H. Provider reimbursement.
    1. DMAS shall reimburse for covered outpatient medical,  or pharmaceutical services, or both, and physician services for  restricted individuals only when they are provided by the designated  providers, or by physicians seen on a written referral from the designated  PCP, or in a medical emergency consistent with the methodologies established  for such services in the State Plan for Medical Assistance. Prescriptions  may be filled by a nondesignated pharmacy only in emergency situations when the  designated pharmacy is closed, or when the designated pharmacy does not stock,  or is unable to obtain the drug in a timely manner. 
    2. DMAS shall require a written referral, in accordance  with published procedures, from the designated PCP for payment of  covered outpatient services by nondesignated practitioners unless there is a  medical emergency requiring immediate hospital treatment. Services  exempt from these written referral requirements include: 
    a. Family planning services; 
    b. Annual or routine vision examinations (under age 21)  for individuals under the age of 21 years; 
    c. Dental services (under age 21) for individuals  under the age of 21 years; 
    d. Emergency services; 
    e. EPSDT well-child exams/screenings (under age 21) for  individuals under the age of 21 years; 
    f. Immunizations (under age 21) for individuals  under the age of 21 years; 
    g. Home- and community-based care waiver  services such as private duty nursing or respite services; 
    h. Renal dialysis services; 
    i. Expanded prenatal services, including prenatal group  education, nutrition services, and homemaker services for pregnant women and  care coordination for high-risk pregnant women and infants up to age two years;  and 
    j. Hospice services. 
    3. When a transportation restriction is implemented, DMAS  shall reimburse for covered transportation services only when they are provided  by the designated transportation provider, or on referral from the designated  transportation provider, or in a medical emergency. 
    4. 3. Designated primary care providers (PCPs)  shall receive a monthly case management fee for each assigned recipient individual.  
    H. Client medical management identification material. DMAS  shall provide an individual recipient eligibility card listing the recipient's  designated primary care providers or a plastic card for each restricted  recipient. DMAS shall provide correspondence to the recipient listing the name,  address, and telephone number of each designated provider and the effective  date of restriction to each provider. 
    I. Changes in designated providers. 
    1. DMAS must give prior authorization approval  to all changes of designated providers. 
    2. The recipient individual or the designated  provider may initiate requests for change for the following reasons: 
    a. Relocation of the recipient individual or  provider. 
    b. Inability of the provider to meet the routine health or  pharmaceutical needs of the recipient individual. 
    c. Breakdown of the recipient/provider individual/provider  relationship. 
    3. If the designated provider initiates the request and the recipient  individual does not select a new provider physician or  pharmacy, or both, by established deadlines, DMAS shall select a provider,  subject to concurrence from the provider or providers. 
    4. If DMAS denies the recipient's individual's  request for a particular physician or pharmacy, or both, the recipient  individual shall be notified in writing and given the right to appeal  the decision. (See subsection K of this section.) 
    J. Review of recipient individual restriction  status. 
    1. During the restriction period, DMAS shall monitor the  recipient's an individual's utilization no less frequently than  every 12 months and follow up with the recipient individual to  promote appropriate utilization patterns. 
    2. DMAS shall also review a recipient's an  individual's utilization prior to the end of the restriction period to  determine restriction termination or continuation. (See subsection D of this  section.) 
    a. DMAS shall extend utilization control restrictions for 36  12 months if any one of the following conditions is identified: 
    (1) The recipient's individual's utilization  patterns include one or more conditions listed in subdivision D 3 subsection  E of this section. 
    (2) The recipient individual has not complied  with Client Medical Management Program procedures of the CMM Program  for individuals resulting in services or medications received from one  or more any nondesignated providers provider, as  demonstrated by his submitted claims, without a written referral or in the  absence of a medical emergency. 
    (3) The recipient individual has not complied  with Client Medical Management Program procedures of the CMM Program  for individuals as demonstrated by a pattern of documented attempts to  receive services or medications from one or more any  nondesignated providers without a written referral or pharmacy  (i) in the absence of a medical emergency, (ii) when the designated  pharmacy is closed, (iii) when the designated pharmacy does not stock the  required medication, or (iv) when the designated pharmacy is unable to obtain  the required medication in a timely manner. 
    (4) One or more of the designated providers recommends  continued restriction status because the recipient individual has  demonstrated noncompliant behavior which is being controlled by Client  Medical Management restrictions within the CMM Program restrictions  for individuals. 
    (5) Any changes of designated provider have been made due to  the breakdown of the recipient/provider individual/provider  relationship as a result of the recipient's individual's  noncompliance. 
    b. DMAS shall notify the recipient individual  and designated provider physician or pharmacy, or both, in  writing of the review decision. If restrictions are continued, written notice  shall include the recipient's individual's right to appeal the  proposed action. (See subsection K of this section.) 
    c. DMAS shall not implement the continued recipient individual  restriction if a valid appeal is noted pending the completion of the appeal  action. Should the outcome of the appeal action support implementation  of the restriction, the restriction shall be promptly implemented.
    K. Recipient Individual appeals. 
    1. Recipients Individuals shall have the right  to appeal any adverse action, as defined in 42 CFR 431.201, that is  taken by DMAS under these regulations this part. 
    2. Recipient Individual appeals shall be held  pursuant to the provisions of Part I (12VAC30-110-10 et seq.) of 12VAC30  Chapter 110 Client 12VAC30-110, Eligibility and Appeals. 
    12VAC30-130-820. Client Medical Management Program for  providers. 
    A. Purpose. The Client Medical Management CMM  Program for providers is a utilization control program designed to  promote improved and cost-efficient medical management of essential health  care. 
    B. Authority. 
    1. Federal regulations at 42 CFR 456.3 require the Medicaid  agency to implement a statewide surveillance and utilization control program  and at 42 CFR 455.1 through 455.16 require the Medicaid agency to  conduct investigations of abuse by providers. 
    2. Federal regulations at 42 CFR 431.54 (f) 431.54(f)  allow states to restrict providers' participation in the Medicaid program if  the agency finds that providers of items or services under the State Plan have  provided items or services at a frequency or amount not medically necessary in  accordance with utilization guidelines established by the state, or have  provided items or services of a quality that do not meet professionally  recognized standards of health care. 
    C. Identification of Client Medical Management participants  for inclusion in the CMM Program participants for providers.  DMAS shall identify providers for review through computerized reports such as  but not limited to Provider SURS or AEA JSURS, Oracle, VAMMIS, or  by written referrals from agencies, health care professionals, or other  individuals. 
    D. Provider evaluation for restriction. 
    1. DMAS shall review providers to determine if health care  services are being provided at a frequency or amount that is not medically  necessary or that are not of a quality to meet professionally recognized standards  of health care. Evaluation of utilization patterns can include but is not  limited to review by the department staff of medical records or  computerized reports generated by the department reflecting claims submitted  for physician visits, drugs/prescriptions drugs or prescriptions,  outpatient and emergency room visits, lab or diagnostic procedures, hospital  admissions, and referrals. 
    2. DMAS may restrict providers if any one or more of the  following conditions is identified in a significant number or proportion of  cases. These conditions include but shall not be limited to the following: 
    a. Visits billed at a frequency or level exceeding that which  is medically necessary; 
    b. Diagnostic tests billed in excess of what is medically  necessary; 
    c. Diagnostic tests billed which are unrelated to the  diagnosis; 
    d. Medications prescribed or prescriptions dispensed in excess  of recommended dosages; 
    e. Medications prescribed or prescriptions dispensed unrelated  to the diagnosis.; or 
    f. The provider's license to practice in any state has been  revoked or suspended. 
    g. Excessive transportation services rendered such that  unnecessary costs to the Virginia Medicaid Program ensue from the accumulation  of services. 
    E. Provider restriction procedures. 
    1. DMAS shall advise affected providers by written notice of  the proposed restriction under the Client Medical Management CMM  Program for providers. Written notice shall include an explanation of  the basis for the decision, request for additional documentation, if any, and  notification of the provider's right to appeal the proposed action. 
    2. DMAS shall restrict providers from being the designated  provider, a referral provider, or a covering provider for recipients individuals  in the Client Medical Management CMM Program for providers  for 24 months. 
    3. DMAS shall notify the Centers for Medicare and Medicaid  Services (CMS) and the general public of the restriction and its duration. 
    4. DMAS shall not implement provider restriction if a valid  appeal is noted. 
    F. Review of provider restriction status. 
    1. DMAS shall review a restricted provider's claims history  record prior to the end of the restriction period to determine restriction  termination or continuation (See subsection D of this section). DMAS shall  extend provider restriction for 24 months in one or more of the following  situations: 
    a. Where abuse by the provider is identified. 
    b. Where the practices which led to restriction continue. 
    2. In cases where the provider has submitted an insufficient  number of claims during the restriction period to enable DMAS to conduct a  claims history review, DMAS shall continue restriction until a reviewable  six-month claims history is available for evaluation. 
    3. If DMAS continues restriction following the review, the  provider shall be notified of the agency's proposed action, the basis for the  action, and appeal rights. (See subsection E of this section). 
    4. If the provider continues a pattern of inappropriate health  care services, DMAS may make a referral to the appropriate peer review group or  regulatory agency for recommendation and action as appropriate. 
    G. Provider appeals. 
    1. Providers shall have the right to appeal any adverse  action taken by the department under these regulations this part  pursuant to § 32.1-325.1 of the Code of Virginia. 
    2. Provider appeals shall be held pursuant to the provisions  of Article 3 (§ 2.2-4018 et seq.) of the Administrative Process Act. 
    VA.R. Doc. No. R14-2290; Filed September 18, 2015, 10:59 a.m. 
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Proposed Regulation
        REGISTRAR'S NOTICE: The  State Corporation Commission is claiming an exemption 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: 14VAC5-270. Rules Governing  Annual Financial Reporting (amending 14VAC5-270-40, 14VAC5-270-100,  14VAC5-270-110, 14VAC5-270-120, 14VAC5-270-144, 14VAC5-270-174; adding  14VAC5-270-145). 
    Statutory Authority: §§ 12.1-13 and 38.2-223 of the Code  of Virginia.
    Public Hearing Information: A public hearing will be held  upon request.
    Public Comment Deadline: November 18, 2015.
    Agency Contact: Raquel C. Pino, Principal Insurance  Analyst, Bureau of Insurance, State Corporation Commission, P.O. Box 1157,  Richmond, VA 23218, telephone (804) 371-9499, FAX (804) 371-9511, or email  raquel.pino@scc.virginia.gov.
    Summary:
    The proposed amendments address revisions made to the  National Association of Insurance Commissioners' Annual Financial Reporting  Model Regulation pertaining to the State Corporation Commission's authority to  require (i) all large insurers, that is those whose annual premiums exceed $500  million, and (ii) insurance groups, that is those whose annual premiums exceed  $1 billion, to maintain an internal audit function that provides independent,  objective, and reasonable assurance to the audit committee and insurer  management regarding the insurer's governance, risk management, and internal  controls. The audit function is required to be organizationally independent  from management and to report at least annually to the audit committee on the  results of internal audit activities. 
    AT RICHMOND,
    COMMONWEALTH OF VIRGINIA, ex rel. 
    STATE CORPORATION COMMISSION
    CASE NO. INS-2015-00141
    Ex Parte: In the matter of
  Amending the Rules Governing
  Annual Financial Reporting
    ORDER TO TAKE NOTICE
    Section 12.1-13 of the Code of Virginia ("Code")  provides that the State Corporation Commission ("Commission") shall  have the power to promulgate rules and regulations in the enforcement and  administration of all laws within its jurisdiction, and § 38.2-223 of the  Code provides that the Commission may issue any rules and regulations necessary  or appropriate for the administration and enforcement of Title 38.2 of the  Code. 
    The rules and regulations issued by the Commission pursuant to  § 38.2-223 of the Code are set forth in Title 14 of the Virginia  Administrative Code. A copy may also be found at the Commission's website:  http://www.scc.virginia.gov/boi/laws.aspx. 
    The Bureau of Insurance ("Bureau") has submitted to  the Commission proposed amendments to rules set forth in Chapter 270 of Title  14 of the Virginia Administrative Code, entitled, Rules Governing Annual  Financial Reporting ("Rules"), which amend the Rules at  14VAC5-270-40, 14VAC5-270-100, 14VAC5-270-110, 14VAC5-270-120, 14VAC5-270-144,  and 14VAC5-270-174, and adds a new Rule at 14VAC5-270-145.
    The amendments to the Rules are being proposed due to the  National Association of Insurance Commissioners' adoption of the revisions to  the Annual Financial Reporting Model Regulation. The proposed amendments  provide the Commission with the authority to require all insurers with annual  premiums exceeding $500 million and insurance groups with annual premiums  exceeding $1 billion to maintain an internal audit function that provides  independent, objective, and reasonable assurance to the audit committee and  management regarding the insurer's governance, risk management, and internal  controls. The internal audit function is required to be organizationally  independent from management and to report at least annually to the audit  committee on the results of internal audit activities.
    NOW THE COMMISSION is of the opinion that the proposed  amendments submitted by the Bureau to amend the Rules at 14VAC5-270-40,  14VAC5-270-100, 14VAC5-270-110, 14VAC5-270-120, 14VAC5-270-144, and  14VAC5-270-174, and add a new Rule at 14VAC5-270-145 should be considered for  adoption. 
    Accordingly, IT IS ORDERED THAT:
    (1) The proposed amendments to Rules Governing Annual  Financial Reporting, which amend the Rules at 14VAC5-270-40, 14VAC5-270-100,  14VAC5-270-110, 14VAC5-270-120, 14VAC5-270-144, and 14VAC5-270-174, and add a  new Rule at 14VAC5-270-145 are attached hereto and made a part hereof. 
    (2) All interested persons who desire to comment in  support or in opposition to, or request a hearing to oppose amending Chapter  270 of Title 14 of the Virginia Administrative Code, shall file such comments  or hearing request on or before, November 18, 2015, with Joel H. Peck, Clerk,  State Corporation Commission, c/o Document Control Center, P.O. Box 2118,  Richmond, Virginia 23218. Interested persons desiring to submit comments  electronically may do so by following the instructions at the Commission's  website: http://www.scc.virginia.gov/case/PublicComments.aspx. All comments  shall refer to Case No. INS-2015-00141. 
    (3) If no written request for a hearing on the proposal to  amend Chapter 270 of Title 14 of the Virginia Administrative Code is received  on or before, November 18, 2015, the Commission, upon consideration of any  comments submitted in support or in opposition to the proposal, may amend the  Rules. 
    (4) AN ATTESTED COPY hereof, together with a copy of the  proposal to amend 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 proposal to amend rules by mailing a copy of this  Order, together with the proposal, to all licensed insurers, burial societies,  fraternal benefit societies, health service plans, health maintenance organizations,  legal services plans, dental or optometric services plans, and dental plan  organizations authorized by the Commission pursuant to the provisions of Title  38.2 of the Code, as well as to all interested parties. 
    (6) The Commission's Division of Information Resources  forthwith shall cause a copy of this Order, together with the proposal to amend  rules, to be forwarded to the Virginia Registrar of Regulations for appropriate  publication in the Virginia Register of Regulations. 
    (7) The Commission's Division of Information Resources  shall make available this Order and the attached proposed amendments to the  rules on the Commission's website: http://www.scc.virginia.gov/case. 
    (8) The Bureau shall file with the Clerk of the Commission  an affidavit of compliance with the notice requirements of Ordering Paragraph  (4) above. 
    (9) This matter is continued.
    14VAC5-270-40. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise:
    "Accountant" or "independent certified public  accountant" means an independent certified public accountant or accounting  firm in good standing with the American Institute of Certified Public  Accountants ("AICPA") and in all states in which the accountant  or firm is licensed to practice; for Canadian and British companies, it means a  Canadian-chartered or British-chartered accountant.
    "Affiliate" of a specific person or a person  "affiliated" with a specific person means a person that directly or  indirectly through one or more intermediaries, controls, is controlled by,  or is under common control with the specific person.
    "Audit Committee" means a committee (or equivalent  body) established by the board of directors of an entity for the purpose of overseeing  the accounting and financial reporting processes of an insurer or group of  insurers, the internal audit function of an insurer or group of insurers (if  applicable), and external audits of financial statements of the  insurer or group of insurers. The Audit Committee of an entity that controls a  group of insurers may be deemed to be the Audit Committee for one or more of  these controlled insurers solely for the purposes of this chapter at the  election of the controlling person. If an Audit Committee is not designated by  the insurer, the insurer's entire board of directors shall constitute the Audit  Committee.
    "Audited Financial Report" means and includes those  items specified in 14VAC5-270-60.
    "Commission" means the State Corporation Commission  when acting pursuant to or in accordance with Title 38.2 of the Code of  Virginia.
    "Due date" means (i) June 1 for all domestic  insurers; (ii) June 30 for all foreign or alien companies domiciled or entered  through a state in which similar law, regulation, or administrative  practice provides for a June 30 filing date; and (iii) for all other insurers,  the earlier of June 30 or the date established by the insurer's state of  domicile or entry for filing similar audited financial reports.
    "Group of insurers" means those licensed insurers  included in the reporting requirements of Article 5 (§ 38.2-1322 et seq.)  of Chapter 13 of Title 38.2 of the Code of Virginia, or a set of insurers as  identified by an entity's management, for the purpose of assessing the  effectiveness of internal control over financial reporting.
    "Indemnification" means an agreement of indemnity  or a release from liability where the intent or effect is to shift or limit in  any manner the potential liability of the person or firm for failure to adhere  to applicable auditing or professional standards, whether or not resulting in  part from knowing or other misrepresentations made by the insurer or its  representatives. 
    "Internal audit function" means a person or  persons that provide independent, objective, and reasonable assurance designed  to add value and improve an organization's operations and accomplish its  objectives by bringing a systematic, disciplined approach to evaluate and  improve the effectiveness of risk management, control and governance processes.
    "Internal control over financial reporting" means a  process effected by an entity's board of directors, management, and  other personnel designed to provide reasonable assurance regarding the  reliability of the financial statements and includes those policies and  procedures that:
    1. Pertain to the maintenance of records that in reasonable  detail accurately and fairly reflect the transactions and dispositions of  assets;
    2. Provide reasonable assurance that transactions are recorded  as necessary to permit preparation of the financial statements and that  receipts and expenditures are being made only in accordance with authorizations  of management and directors; and
    3. Provide reasonable assurance regarding prevention or timely  detection of unauthorized acquisition, use, or disposition of assets  that could have a material effect on the financial statements.
    "NAIC" means the National Association of Insurance  Commissioners.
    "RBC" means risk-based capital.
    "RBC Level" means a licensee's Company Action Level  RBC, Regulatory Action Level RBC, Authorized Control Level RBC, or Mandatory  Control Level RBC where: 
    1. "Company Action Level RBC" means, with respect to  any licensee, the product of 2.0 and its Authorized Control Level RBC; 
    2. "Regulatory Action Level RBC" means the product  of 1.5 and its Authorized Control Level RBC; 
    3. "Authorized Control Level RBC" means the number  determined under the risk-based capital formula in accordance with the RBC  Instructions; and
    4. "Mandatory Control Level RBC" means the product  of 0.70 and the Authorized Control Level RBC.
    "SEC" means the United States U.S.  Securities and Exchange Commission.
    "Section 404" means Section 404 of the  Sarbanes-Oxley Act of 2002 (15 USC § 7201 et seq.) and the SEC's rules and  regulations promulgated thereunder.
    "Section 404 report" means management's report on  "internal control over financial reporting" as defined by the SEC and  the related attestation report of the independent certified public accountant.
    "SOX compliant entity" means an entity that either  is required to be compliant with, or voluntarily is compliant with, all of the  following provisions of the Sarbanes-Oxley Act of 2002 (15 USC § 7201 et seq.):  (i) the preapproval requirements of Section 201 (Section 10A(i) of the  Securities Exchange Act of 1934 (15 USC § 78a et seq.)); (ii) the Audit  Committee independence requirements of Section 301 (Section 10A(m)(3) of the  Securities Exchange Act of 1934 (15 USC § 78a et seq.)); and (iii) the internal  control over financial reporting requirements of Section 404 (Item 308 of SEC  Regulation S-K).
    "Workpapers" means the records kept by the  accountant of the procedures followed, the tests performed, the information  obtained, and the conclusions reached pertinent to the accountant's examination  of the financial statements of an insurer. Workpapers, accordingly, may include  work programs, analyses, memoranda, letters of confirmation and representation,  abstracts of company documents, and schedules or commentaries prepared or  obtained by the accountant in the course of the examination of the financial  statements of an insurer and which support the accountant's opinion thereof. 
    14VAC5-270-100. Scope of audit and report of independent  certified public accountant. 
    Financial statements furnished pursuant to 14VAC5-270-60  shall be examined by an accountant. The audit of the insurer's financial  statements shall be conducted in accordance with generally accepted auditing  standards. In accordance with U.S. Auditing (AU) Standards –  AICPA Clarified (AU-C) Section 319 315 of the AICPA  Professional Standards, Consideration of Internal Control in a Financial  Statement Audit Understanding the Entity and Its Environment and  Assessing the Risks of Material Misstatement, the accountant shall obtain  an understanding of internal control sufficient to plan the audit.  To the  extent required by AU AU-C Section 319 315, for  those insurers required to file a Management's Report of Internal Control over  Financial Reporting pursuant to 14VAC5-270-148, the accountant should consider  (as the term should consider is defined in Statements on Auditing Standards  (SAS) No. 102 AU-C Section 200 of the AICPA Professional Standards, Defining  Professional Requirements in Statements on Overall Objectives of the  Independent Auditor and the Conduct of an Audit in Accordance with Generally  Accepted Auditing Standards) the most recently available report in planning  and performing the audit of the statutory financial statements. Consideration  shall be given to the procedures illustrated in the Financial Condition  Examiners Handbook promulgated by the NAIC as the accountant deems necessary. 
    14VAC5-270-110. Notification of adverse financial condition. 
    A. The insurer required to furnish the annual Audited  Financial Report shall require the accountant to report in writing within five  business days to the board of directors or its Audit Committee any  determination by the accountant that the insurer has materially misstated its  financial condition as reported to the commission as of the balance sheet date  under examination or that the insurer does not meet its minimum statutory  capital and surplus requirements as of that date pursuant to Virginia law. An  insurer that has received a report pursuant to this subsection shall forward a  copy of the report to the commission within five business days of receipt of  the report and shall provide the accountant making the report with evidence of  the report being furnished to the commission. If the accountant fails to  receive the evidence within the required five-business-day period, the  accountant shall furnish to the commission a copy of its report within the next  five business days. 
    B. No accountant shall be liable in any manner to any person  for any statement made in connection with subsection A of this section if the  statement is made in good faith in compliance with subsection A of this  section. 
    C. If the accountant, subsequent to the date of the Audited  Financial Report filed pursuant to this chapter, becomes aware of facts which  might have affected the report, the commission notes the obligation of the  accountant to take action as prescribed in AU AU-C Section 561  560 of the AICPA Professional Standards, Subsequent Discovery of Events  and Subsequently Discovered Facts Existing at the Date of the Auditor's  Report. 
    14VAC5-270-120. Communicating internal control related matters  identified in an audit.
    A. In addition to the annual Audited Financial Report, each  insurer shall furnish the commission with a written communication as to any  unremediated material weaknesses in its internal controls over financial  reporting identified during the audit. The communication shall be prepared by  the accountant within 60 days after the filing of the annual Audited Financial  Report, and shall contain a description of any unremediated material weakness  (as the term material weakness is defined in SAS No. 112 AU-C Section  265 of the AICPA Professional Standards, Communicating Internal Control  Related Matters Identified in an Audit) as of the immediately preceding  December 31 (so as to coincide with the Audited Financial Report discussed in  14VAC5-270-50 A) in the insurer's internal control over financial reporting  identified by the accountant during the course of the audit of the financial  statements. If no unremediated material weaknesses were identified, the  communication should so state.
    B. The insurer is required to provide a description of  remedial actions taken or proposed to correct unremediated material weaknesses,  if the actions are not described in the accountant's communication.
    C. The insurer is expected to maintain information about  significant deficiencies communicated by the independent certified public  accountant. The information should be made available to the examiner conducting  a financial condition examination for review and kept in a manner as to remain  confidential.
    14VAC5-270-144. Requirements for Audit Committees.
    A. This section shall not apply to foreign or alien insurers  licensed in Virginia or an insurer that is a SOX compliant entity or a direct  or indirect wholly-owned subsidiary of a SOX compliant entity.
    B. The Audit Committee shall be directly responsible for the  appointment, compensation and oversight of the work of any accountant  (including resolution of disagreements between management and the accountant  regarding financial reporting) for the purpose of preparing or issuing the  Audited Financial Report or related work pursuant to this chapter. Each  accountant shall report directly to the Audit Committee.
    C. The Audit Committee of an insurer or group of insurers  shall be responsible for overseeing the insurer's internal audit function and  granting the person or persons performing the function suitable authority and  resources to fulfill their responsibilities if required by 14VAC5-270-145.
    D. Each member of the Audit Committee shall be a  member of the board of directors of the insurer or a member of the board of  directors of an entity elected pursuant to subsection F G of this  section.
    D. E. In order to be considered independent for  purposes of this section, a member of the Audit Committee may not, other than  in the capacity as a member of the Audit Committee, the board of directors, or  any other board committee, accept any consulting, advisory, or other  compensatory fee from the entity or be an affiliated person of the entity or  subsidiary thereof. However, if Virginia law requires board participation by  otherwise nonindependent members, that law shall prevail and such members may  participate in the Audit Committee and be designated as independent for Audit  Committee purposes, unless they are an officer or employee of the insurer or  one of its affiliates.
    E. F. If a member of the Audit Committee ceases  to be independent for reasons outside the member's reasonable control, that  member, with notice by the responsible entity to the commission, may remain an  Audit Committee member of the responsible entity until the earlier of the next  annual meeting of the responsible entity or one year from the occurrence of the  event that caused the member to be no longer independent.
    F. G. To exercise the election of the  controlling person to designate the Audit Committee for purposes of this  chapter, the ultimate controlling person shall provide written notice to the  commission of the affected insurers. Notification shall be made timely prior to  the issuance of the statutory audit report and include a description of the basis  for the election. The election can be changed through notice to the commission  by the insurer, which shall include a description of the basis for the change.  The election shall remain in effect for perpetuity, unless rescinded.
    G. H. The Audit Committee shall require the  accountant that conducts for an insurer any audit required by this chapter to  timely report to the Audit Committee in accordance with the requirements of SAS  No. 114 AU-C Section 260 of the AICPA Professional Standards, The  Auditor's Communication with those Charged with Governance, including:
    1. All significant accounting policies and material permitted  practices;
    2. All material alternative treatments of financial  information within statutory accounting principles that have been discussed  with management officials of the insurer, ramifications of the use of the  alternative disclosures and treatments, and the treatment preferred by the  accountant; and
    3. Other material written communications between the  accountant and the management of the insurer, such as any management letter or  schedule of unadjusted differences.
    If an insurer is a member of an insurance holding company  system, the reports required by this subsection may be provided to the Audit  Committee on an aggregate basis for insurers in the holding company system,  provided that any substantial differences among insurers in the system are  identified to the Audit Committee.
     
     
     
     
    H. I. The proportion of independent Audit  Committee members shall meet or exceed the following criteria:
           | Prior Calendar Year Direct Written and Assumed Premiums | 
       | $0 - $300 million | Over $300 million - $500 million | Over $500 million | 
       | No minimum requirements.  See Notes A and B. | Majority (50% or more) of members shall be independent.  See Notes A and B. | Supermajority of members (75% or more) shall be independent. See Note A. | 
  
    Note A: The commission has authority afforded by state law to  require the entity's board to enact improvements to the independence of the  Audit Committee membership if the insurer is in a RBC level event, meets one or  more of the standards of an insurer deemed to be in hazardous financial  condition, or otherwise exhibits qualities of a troubled insurer.
    Note B: All insurers with less than $500 million in prior year  direct written and assumed premiums are encouraged to structure their Audit  Committees with at least a supermajority of independent Audit Committee  members.
    Note C: Prior calendar year direct written and assumed premiums  shall be the combined total of direct premiums and assumed premiums from  nonaffiliates for the reporting entities.
    I. J. An insurer with direct written and  assumed premiums, excluding premiums reinsured with the Federal Crop Insurance  Corporation and Federal Flood Program, less than $500 million may make  application to the commission for a waiver from the requirements of this section  based upon hardship. The insurer shall file, with its annual statement filing,  the commission's letter granting relief from this section with the states in  which it is licensed or doing business and the NAIC. If the nondomestic state  accepts electronic filing with the NAIC, the insurer shall file the letter  granting relief in an electronic format acceptable to the NAIC.
    14VAC5-270-145. Internal audit function requirements.
    A. An insurer is exempt from the requirements of this  section if: 
    1. The insurer has annual direct written and unaffiliated  assumed premium, including international direct and assumed premium but  excluding premiums reinsured with the Federal Crop Insurance Corporation and  Federal Flood Program, less than $500 million; and
    2. If the insurer is a member of a group of insurers, the  group has annual direct written and unaffiliated assumed premium including  international direct and assumed premium, but excluding premiums reinsured with  the Federal Crop Insurance Corporation and Federal Flood Program, less than $1  billion.
    B. The insurer or group of insurers shall establish an  internal audit function providing independent, objective, and reasonable  assurance to the Audit Committee and insurer management regarding the insurer's  governance, risk management, and internal controls. This assurance shall be  provided by performing general and specific audits, reviews, and tests and by  employing other techniques deemed necessary to protect assets, evaluate control  effectiveness and efficiency, and evaluate compliance with policies and  regulations.
    C. In order to ensure that internal auditors remain  objective, the internal audit function must be organizationally independent.  Specifically, the internal audit function will not defer ultimate judgment on  audit matters to others and shall appoint an individual to head the internal  audit function who will have direct and unrestricted access to the board of  directors. Organizational independence does not preclude dual-reporting  relationships.
    D. The head of the internal audit function shall report to  the Audit Committee regularly, but no less often than annually, on the periodic  audit plan, factors that may adversely impact the internal audit function's  independence or effectiveness, material findings from completed audits, and the  appropriateness of corrective actions implemented by management as a result of  audit findings.
    E. If an insurer is a member of an insurance holding  company system or included in a group of insurers, the insurer may satisfy the  internal audit function requirements set forth in this section at the ultimate  controlling parent level, an intermediate holding company level, or the  individual legal entity level.
    14VAC5-270-174. Retention of independent certified public  accountant on or after January 1, 2010, and other effective dates.
    A. Unless otherwise noted, the requirements of this chapter  shall become effective for the reporting period ending December 31, 2010, and  each year thereafter. An insurer or group of insurers not required to file a  report because its total written premium is below the threshold that  subsequently becomes subject to the reporting requirements shall have two years  following the year the threshold is exceeded (but not earlier than December 31,  2010) to file a report. Likewise, an insurer acquired in a business combination  shall have two calendar years following the date of acquisition or combination  to comply with the reporting requirements.
    B. The requirements of 14VAC5-270-80 D shall become effective  for audits of the year beginning January 1, 2010, and thereafter.
    C. The requirements of 14VAC5-270-144 shall become effective  on January 1, 2010. An insurer or group of insurers that is not required to  have independent Audit Committee members or only a majority of independent  Audit Committee members (as opposed to a supermajority) because the total  direct written and assumed premium is below the threshold and subsequently  becomes subject to one of the independence requirements due to changes in  premium shall have one year following the year the threshold is exceeded (but  not earlier than January 1, 2010) to comply with the independence  requirements.  Likewise, an insurer that becomes subject to one of the  independence requirements as a result of a business combination shall have one  calendar year following the date of acquisition or combination to comply with  the independence requirements.
    D. The requirements of 14VAC5-270-145 are to become  effective January 1, 2016. If an insurer or group of insurers that is exempt  from the 14VAC5-270-145 requirements no longer qualifies for that exemption, it  shall have one year after the year the threshold is exceeded to comply with the  requirements of this chapter.
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be viewed  at the Office of the Registrar of Regulations, General Assembly Building, 2nd  Floor, Richmond, Virginia 23219.
         FORMS (14VAC5-270) 
    Affidavit for Exemption From Filing Audited Financial  Reports, SCCBOI-16. 
    Audited  Financial Statements Exemption Affidavit Year Ended December 31, 2014, R03  (eff. 10/2014)
    DOCUMENTS INCORPORATED BY REFERENCE (14VAC5-270) 
    AICPA Professional Standards, Volume 1, June 1, 2007,  American Institute of Certified Public Accountants.
    AICPA Professional Standards, Volume 2, June 1, 2007,  American Institute of Certified Public Accountants.
    AICPA Professional Standards, Volume 1, as of June 1,  2015, American Institute of Certified Public Accountants, New York, New York  10036-8775, http://www.aicpa.org
    AICPA Professional Standards, Volume 2, as of June 1,  2015, American Institute of Certified Public Accountants, New York, New York  10036-8775, http://www.aicpa.org
    VA.R. Doc. No. R16-4479; Filed September 22, 2015, 10:00 a.m. 
TITLE 16. LABOR AND EMPLOYMENT
SAFETY AND HEALTH CODES BOARD
Final Regulation
    Title of Regulation: 16VAC25-35. Regulation  Concerning Certified Lead Contractors Notification, Lead Project Permits and  Permit Fees (amending 16VAC25-35-30). 
    Statutory Authority: § 40.1-22 of the Code of Virginia.
    Effective Date: November 19, 2015. 
    Agency Contact: John J. Crisanti, Planning and  Evaluation Manager, Department of Labor and Industry, Main Street Centre, 600  East Main Street, Richmond, VA 23219, telephone (804) 786-4300, FAX (804)  786-8418, TTY (804) 786-2376, or email crisanti.john@dol.gov.
    Summary:
    The amendment requires a lead contractor to file a written  lead project notification with the Department of Labor and Industry for all  lead projects, rather than only projects where the contract price is $2,000 or  more.
    Summary of Public Comments and Agency's Response: No  public comments were received by the promulgating agency. 
    16VAC25-35-30. Notification and permit fee. 
    A. Written notification of any lead project, the contract  price of which is $2,000 or more, shall be made to the department on a  department form. Such notification shall be sent by facsimile transmission as  set out in subsection J of this section, by certified mail, or hand-delivered  to the department. Notification shall be postmarked or made at least 20 days  before the beginning of any lead project. 
    B. The department form shall include the following  information: 
    1. Name, address, telephone number, and the certification  number of each person intending to engage in a lead project. 
    2. Name, address, and telephone number of the owner or  operator of the facility in which the lead project is to take place. 
    3. Type of notification: amended, emergency, renovation or  demolition. 
    4. Description of facility in which the lead project is to  take place, including address, size, and number of floors. 
    5. Estimate of amount of lead and method of estimation. 
    6. Amount of the lead project fee submitted. 
    7. Scheduled setup date, removal date or dates, and completion  date and times during which lead-related activity will take place. 
    8. Name and license number of the supervisor on site. 
    9. Name, address, telephone number, contact person, and  landfill permit number of the waste disposal site or sites where the  lead-containing material will be disposed. 
    10. Detailed description of the methods to be used in  performing the lead project. 
    11. Procedures and equipment used to control the emission of  lead-contaminated dust, to contain or encapsulate lead-based paint, and to  replace lead-painted surfaces or fixtures in order to protect public health  during performance of the lead project. 
    12. If a facsimile transmission is to be made pursuant to  subsection J of this section, the credit card number, expiration date, and  signature of cardholder. 
    13. Any other information requested on the department form. 
    C. A lead project permit fee shall be submitted with the  completed project notification form. The fee shall be in accordance with the  following schedule: 
    1. The greater of $100 or 1.0% of the contract price, with a  maximum of $500. 
    2. If, at any time, the Commissioner of Labor and Industry  determines that projected revenues from lead project permit fees may exceed  projected administrative expenses related to the lead program by at least 10%,  the commissioner may reduce the minimum and maximum fees and contract price  percentage set forth in subdivision 1 of this subsection. 
    D. A blanket notification, valid for a period of one year,  may be granted to a contractor who enters into a contract for a lead project on  a specific site which is expected to last for one year or longer. 
    1. The contractor shall submit the notification required in  subsection A of this section to the department at least 20 days prior to the  start of the requested blanket notification period. The notification submitted  shall contain the following additional information: 
    a. The dates of work required by subdivision B 7 of this  section shall be every work day during the blanket notification period,  excluding weekends and state holidays. 
    b. The estimate of lead to be removed required under  subdivision B 5 of this section shall be signed by the owner and the owner's  signature authenticated by a notary. 
    c. A copy of the contract shall be submitted with the  notification. 
    2. The lead project permit fee for blanket notifications shall  be as set forth in subsection C of this section. 
    3. The contractor shall submit an amended notification at  least one day prior to each time the contractor will not be present at the  site. The fee for each amended notification will be $15. 
    4. Cancellation of a blanket notification may be made at any  time by submitting a notarized notice of cancellation signed by the owner. The  notice of cancellation must include the actual amount of lead removed and the  actual amount of payments made under the contract. The refund shall be the  difference between the original lead permit fee paid and 1.0% of the actual  amount of payments made under the contract. 
    E. Notification of fewer than 20 days may be allowed in case  of an emergency involving protection of life, health or property. In such  cases, notification and the lead permit fee shall be submitted within five  working days after the start of the emergency lead project. A description of  the emergency situation shall be included when filing an emergency  notification. 
    F. A notification shall not be effective unless a complete  form is submitted and the proper permit fee is enclosed with the completed  form. A notification made by facsimile transmission pursuant to subsection J of  this section shall not be effective if the accompanying credit card payment is  not approved. 
    G. On the basis of the information submitted in the lead  notification, the department shall issue a permit to the contractor within  seven working days of the receipt of a completed notification form and permit  fee. 
    1. The permit shall be effective for the dates entered on the  notification. 
    2. The permit or a copy of the permit shall be kept on site  during work on the project. 
    H. Amended notifications may be submitted for modifications  of subdivisions B 3 through B 11 of this section. No amendments to subdivision  B 1 or B 2 of this section shall be allowed. A copy of the original  notification form with the amended items circled and the permit number entered  shall be submitted at any time prior to the removal date on the original  notification. 
    1. No amended notification shall be effective if an incomplete  form is submitted or if the proper permit amendment fee is not enclosed with  the completed notification. 
    2. A permit amendment fee shall be submitted with the amended  notification form. The fee shall be in accordance with the following schedule: 
    a. For modifications to subdivisions B 3, B 4, and B 6 through  B 10 of this section, $15. 
    b. For modifications to subdivision B 5 of this section, the  difference between the permit fee in subsection C of this section for the  amended amount of lead and the original permit fee submitted, plus $15. 
    3. Modifications to the completion date may be made at any  time up to the completion date on the original notification. 
    4. If the amended notification is complete and the required  fee is included, the department will issue an amended permit if necessary. 
    I. The department must be notified prior to any cancellation.  A copy of the original notification form marked "canceled" must be  received no later than the scheduled removal date. Cancellation of a project  may also be done by facsimile transmission. Refunds of the lead project permit  fee will be made for timely cancellations when a notarized notice of  cancellation signed by the owner is submitted. 
    The following amounts will be deducted from the refund  payment: $15 for processing of the original notification, $15 for each  amendment filed, and $15 for processing the refund payment. 
    J. Notification for any lead project, emergency notification,  or amendment to notification may be done by facsimile transmission if the  required fees are paid by credit card. 
        NOTICE: The following  form used in administering the regulation was filed by the agency. The form is  not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of the form, which has a  hyperlink, to access it. The form is also available from the agency contact or  may be viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (16VAC25-35) 
    Lead Permit Application and Notification for  Demolition/Renovation 
    Permit  Application and Notification for Lead Abatement and Renovation (undated; filed  10/2015)
    VA.R. Doc. No. R12-3269; Filed September 21, 2015, 3:41 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
AUCTIONEERS BOARD
Forms
        REGISTRAR'S NOTICE:  Forms used in administering the following regulation have been filed by the  Auctioneers Board. The forms are not being published; however, online users of  this issue of the Virginia Register of Regulations may click on the name of a  form to access it. The forms are also available from the agency contact or may  be viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         Title of Regulation: 18VAC25-21. Regulations of the  Virginia Auctioneers Board.
    Agency Contact: Marian H. Brooks, Regulatory Board  Administrator, Auctioneers Board, 9960 Mayland Drive, Suite 400, Richmond, VA  23233, telephone (804) 367-8514, FAX (866) 465-6206, or email  auctioneers@dpor.virginia.gov.
    FORMS (18VAC25-21)
    Auctioneer  License By Examination Application, 2907EXLIC (rev. 11/08).
    Auctioneer  Surety Bond Form, 2905_07BOND (rev. 11/08).
    Auctioneer  License by Examination Application, A429-2907EXLIC-v4 (rev. 6/2015)
    Auctioneer  Surety Bond Form, 2905_07BOND (rev. 4/2010)
    Auctioneer Firm License Application, 2908LIC (rev. 11/08)
    Auction Firm Surety Bond Form, 2906_08BOND (rev. 11/08)
    States  with Approved Reciprocal Agreements, 29RECLST (rev. 11/08).
    Virginia  Approved Auctioneering Schools, 29SCHLST (rev. 11/08).
    States  with Approved Reciprocal Agreements, 29RECST (rev. 2/2012)
    Virginia  Approved Auctioneering Schools, 29SCHLST (rev. 9/2013)
    Auctioneering School Application for Course Approval, 29CRS (rev. 11/08)
    Auctioneer License By Reciprocity Application, 2907RECLIC (rev. 11/08)
    Auctioneer License Reinstatement Application, 2905_07REI (rev. 11/08)
    Application for Continuing Education Course Approval, 29CECRS (rev.  11/08)
    Auctioneer Firm License Renewal Form, 2906_08REN (eff. 11/08)
    Individual Auctioneer License Renewal Form, 2905_07REN (eff. 11/08)
    Continuing Education Medical Exemption Request, 2905_07CEXMP (eff. 11/08)
    Criminal  Conviction Reporting Form, A406-01CCR-v2 (rev. 9/2015)
    Disciplinary  Action Reporting Form, A406-01DAR-v1 (5/2015)
    VA.R. Doc. No. R16-4490; Filed September 30, 2015, 11:12 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR BARBERS AND COSMETOLOGY
Proposed Regulation
    Titles of Regulations: 18VAC41-20. Barbering and  Cosmetology Regulations (amending 18VAC41-20-10, 18VAC41-20-20,  18VAC41-20-30, 18VAC41-20-50, 18VAC41-20-60, 18VAC41-20-80, 18VAC41-20-90  through 18VAC41-20-140, 18VAC41-20-160, 18VAC41-20-180, 18VAC41-20-200,  18VAC41-20-210, 18VAC41-20-220, 18VAC41-20-240 through 18VAC41-20-280;  repealing 18VAC41-20-190, 18VAC41-20-230).
    18VAC41-40. Wax Technician Regulations (repealing 18VAC41-40-10 through 18VAC41-40-260). 
    Statutory Authority: § 54.1-201 of the Code of Virginia.
    Public Hearing Information:
    December 16, 2015 - 1 p.m. - Department of Professional and  Occupational Regulation, 9960 Mayland Drive, Suite 200, Board Room 1, Richmond,  Virginia 23233.
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Demetrios J. Melis, Executive Director,  Board for Barbers and Cosmetology, Department of Professional and Occupational  Regulation, 9960 Mayland Drive, Suite 400, Richmond, VA 23233, telephone (804)  367-8590, FAX (804) 527-4295, or email barbercosmo@dpor.virginia.gov.
    Basis: Section 54.1-201 of the Code of Virginia gives  authority to the board to promulgate regulations. It states, in part, that the  board has the power and duty "To promulgate regulations in accordance with  the Administrative Process Act (§ 2.2-4000 et seq.) necessary to assure  continued competency, to prevent deceptive or misleading practices by practitioners  and to effectively administer the regulatory system administered by the  regulatory board."
    Purpose: The board seeks to amend its current  regulations to ensure they are as least intrusive and burdensome as possible,  in order to assist in providing an environment without unnecessary regulatory  obstacles while still protecting the health, safety, and welfare of the public.  Additionally, the board seeks to ensure regulations are clearly written and  easily understandable and are representative of the current advancements and  standards of the industries. Furthermore, the board seeks to strengthen some of  its reporting requirements and prohibited acts to address areas of  vulnerabilities for the perpetration of fraud by applicants and regulants.
    Substance: Throughout the regulations, all pertinent  sections have been updated to incorporate the board's Wax Technician  Regulations, 18VAC41-40, into the board's regulations. As such, 18VAC41-40 is  being repealed.
    Following are the proposed amendments:
    18VAC41-20-10. Add new definitions of "business  entity," "firm," "responsible management," "sole  proprietor," and "post-secondary education level" to clarify  terms used in the regulation. 
    18VAC41-20-20. Require applicants to disclose all felony  convictions during their lifetime and certain misdemeanors within the last  three years and add that the board may deny licensure to any applicant having  prior disciplinary violations for which the board deems the applicant unfit to  engage in the profession.
    18VAC41-20-60. Add requirements that if an applicant does not  apply for licensure within five years of passing both exams, he must reapply,  and that the board will only retain examination records for nonapplicants for a  maximum of five years.
    18VAC41-20-90. Add that the board may deny licensure to any  applicant having prior disciplinary violations for which the board deems the  applicant unfit to engage in the profession. 
    18VAC41-20-100. Require applicants to (i) hold a current  license in the field in which they wish to become an instructor and (ii)  disclose all felony convictions during their lifetime, certain misdemeanors  within the last three years, and any prior discipline by a licensing entity and  allow for application denial where the board deems the applicant unfit or unsuited  to engage in the profession.
    18VAC41-20-110. Provide that student instructor temporary  permits shall only be issued once and shall not be issued where grounds may  exist to deny a permit due to prior criminal convictions or disciplinary  action.
    18VAC41-20-120. (i) Add the requirement that a shop or salon  applicant's license be in good standing and require applicants and all members  of responsible management to disclose all felony convictions during their  lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity; (ii) add that the board may deny licensure to  any applicant having prior disciplinary violations for which the board deems  the applicant unfit to engage in the profession; (iii) require disclosure of  the applicant's physical address, the firm's responsible management, and  certification that the applicant has read applicable laws and regulations; (iv)  add the requirement that voided licenses be returned to the board within 30  days and set forth what events void a license; (v) require any change in  responsible management be reported to the board within 30 days of the change;  and (v) allow the board to inspect a shop or salon during reasonable hours and  define reasonable hours.
    18VAC41-20-130. (i) Add the requirement that the school  applicant's license be in good standing and require applicants and all members  of responsible management to disclose all felony convictions during their  lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity; (ii) add that the board may deny licensure to  any applicant having prior disciplinary violations for which the board deems  the applicant unfit to engage in the profession; (iii) require disclosure of  the applicant's physical address, the firm's responsible management, and  certification that the applicant has read applicable laws and regulations; (iv)  add the requirement that voided licenses be returned to the board within 30  days and set forth what events void a license; (v) require any change in  responsible management be reported to the board within 30 days of the change;  (vi) exempt schools under the Virginia Department of Education; and (vii) allow  the board to inspect a school during reasonable hours and define reasonable  hours.
    18VAC41-20-160. Clarify and simplify the requirement that all  licenses shall expire two years from the last day of the month in which issued.
    18VAC41-20-180. Add salons and shops to reinstatement  requirements.
    18VAC41-20-190. Move the requirements of 18VAC41-20-190 to  18VAC41-20-130.
    18VAC41-20-200. Add the requirement that schools either own or  possess the necessary equipment and implements to teach the respective  curriculum and require proof of access to equipment when the schools do not own  the equipment. 
    18VAC41-20-210. Add curriculum requirements for nail schools  and waxing schools. 
    18VAC41-20-230. Repeal this section, which is already contained  within 18VAC41-20-130. 
    18VAC41-20-240. Require schools provide certain documentation  to the board within specified time periods.
    18VAC41-20-250. Require that schools provide student rosters to  the board twice a year at specified intervals. 
    18VAC41-20-270. (i) Clarify the disinfection process and add  that scissors must be disinfected between clients; (ii) add language about  disinfecting tubs and bowls used for nail care, upkeep of the immediate area  around wax pots, and requiring client bathrooms; (iii) add regulations  regarding sanitary storage of soiled and clean linens, sanitary containers, labeling,  and disinfectant for nail care; and (iv) specify what should be included in the  blood spill cleanup kit.
    18VAC41-20-280. (i) Provide grounds for discipline for failing  to teach the approved curriculum, committing bribery, failing to respond or  providing false or misleading information to the board or its agents, and  refusing to allow inspection of any shop, salon, or school; (ii) clarify and  refine grounds for discipline for certain criminal convictions and failing to  report convictions within a certain time period; (iii) provide grounds for  discipline for allowing unlicensed activity, failing to take sufficient  measures to prevent transmission of communicable disease, and failing to comply  with all procedures with regard to conduct at the examination.
    Issues: The primary advantage of the proposed amendments  to the public is the board will continue to approve applicants and license  professionals for which it has safeguards to ensure proper competency and  standards of conduct. The addition of prohibited acts will reduce fraud and  better ensure the regulant population is minimally competent. The clarification  of requirements regarding sanitation and health safety will ensure that the  health, safety, and welfare of the public are better served. Further, regulants  and applicants within these professions will be able to read board requirements  with greater clarity and understanding. The added clarity of the language in  the proposed regulations will facilitate a quicker and more efficient process  for applicants and regulants by enhancing their understanding of their  individual requirements. Further, consumers in the public, as well as  regulators from related agencies, will have a better understanding of board  requirements, which will also allow them to conduct their business with greater  efficiency. 
    The primary advantage to the Commonwealth will be the continued  successful regulation of barbers, cosmetologists, nail technicians, and wax  technicians who meet the minimum entry standards. The proposed amendments strengthen  the department's ability to investigate and discipline regulants who disregard  the health, safety, and welfare of the public. No disadvantage has been  identified.
    The incorporation of the previously adopted wax technician  regulations will further simplify and enhance the regulated community's efforts  to locate pertinent regulations. The clarification of the proposed language  will facilitate greater understanding of board requirements for all involved.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. As a result  of a periodic review, the Board for Barbers and Cosmetology (Board) proposes to  make many substantive and clarifying changes to its regulations. Specifically,  the Board proposes to:
    1) Add a definition for responsible management and specify that  responsible management must be in good standing if already licensed in Virginia  or any other political jurisdiction and must provide a physical address (rather  than a post office box) to the Board,
    2) Change criminal background reporting requirements,
    3) Require that individuals apply for licensure within five  years of taking their licensure exam,
    4) Allow the Board to decline to issue licenses, temporary  permits and temporary instructor permits if grounds exist that would allow the  Board to deny licensure (criminal activity, disciplinary action from this Board  or any other, etc.),
    5) Require that voided licenses be returned to the Board within  30 days of them being voided,
    6) Require schools that are licensed by the Board have copies  of any agreements that allow them to use necessary equipment that is owned by  another entity,
    7) Require schools licensed by the Board to periodically  provide student rosters,
    8) Require a 2x2 headshot of students attending any school  licensed by the Board be attached to their student record files, and
    9) Require all shops, salons and schools licensed by the Board  to have a bathroom with hot and cold running water in their facility.
    Result of Analysis. Benefits likely exceed costs for some  proposed regulatory changes; for some changes, there is insufficient  information to ascertain whether benefits will outweigh costs. One proposed  change as written is far more expensive than it need be. Costs likely outweigh  benefits for at least one proposed change.
    Estimated Economic Impact. Current regulations are not written  so that the Board receives information about criminal convictions or past Board  disciplinary actions for individuals whose businesses are licensed as limited  liability corporations (LLCs). This means that owners of a licensed business  that is disciplined and loses its license can incorporate a new business and  apply for a license and the Board would not know about past disciplinary  actions against, essentially, the same entity. Because of situations such as  this, the Board now proposes to add a definition for responsible management to  include owners and officers of LLCs and also proposes to require that such  entities be in good standing with this Board as well as any others where they  might be licensed. This action will allow the Board to track owners of licensed  businesses and deny licensure to businesses that have been disciplined and have  lost their licenses in the past. This change is likely to benefit the public as  it will keep businesses that have been disciplined in the past from opening up  under a new name but likely with the same unsafe or unethical practices that  lost them their license in the first place. 
    Current regulations require that applicants for licensure  disclose, and provide corroborating paperwork, to the Board for all misdemeanor  and felony convictions. Board staff reports, however, that most misdemeanor  convictions would normally not be considered grounds for denial of licensure. This  means that currently applicants for licensure are spending time and money to  gather paperwork from whatever jurisdictions they need to, including  jurisdictions very far away from Virginia, and that the Board is spending time  unnecessarily looking at paperwork for legal infractions that have no bearing  on whether the applicant is likely to provide safe and ethical services to  their clients. To address these issues, the Board now proposes to limit the  scope of convictions that applicants must report to misdemeanors involving  moral turpitude that occur within three years of application for licensure and  all felony convictions regardless of when they occurred. Affected applicants  for licensure will benefit from this as they will not have to incur expenses for  gathering paperwork associated with older misdemeanors or misdemeanors that do  not involve moral turpitude, which may only be available if they physically go  to the courthouses where convictions occurred. The Board will also benefit from  not being inundated with paperwork that is unlikely to affect the licensing  decisions they make.
    Currently, individuals may apply for licensure any time after  they complete training requirements and pass the licensure exam without time  limits. The Board feels that practical methodology in fields licensed by the  Board change enough over time that individuals who passed their licensure exam  a long time before they actually apply for licensure may no longer be competent  to practice. As a consequence, the Board proposes to specify that individuals  must apply for licensure no longer than five years after they take the  licensure exam. Any individuals applying for licensure past that timeframe will  have to pay to take the licensure exam again (currently this costs $155). The  benefits of this change will only outweigh the costs if changes within fields  licensed by the Board are significant enough to render individuals incompetent  to practice without refreshing their knowledge and retaking the exam. There is  insufficient information to ascertain whether this would be the case.
    Board staff reports that currently the Board requires  applicants for licensure to disclose past crimes and disciplinary actions but  that current regulations do not allow the Board to deny licensure because of the  information disclosed. The Board now proposes to add language to these  regulations that will allow the Board to deny the issuance of licenses,  temporary permits and temporary instructor permits if they believe that any  information disclosed to the Board would deem the applicant unfit or unsuited  to practice in fields that are licensed by the Board. This change will likely  benefit the public as it will allow the Board to decline to license individuals  that have, for instance, a past history of injury to clients in other  jurisdictions.
    Current regulations require that the Board be notified within  30 days if a Board issued business license is voided for any reason (the  business has been sold, responsible management has changed, etc.) and also  require that the voided license be returned to the Board but does not specify  when. Because the Board is concerned that holders of these licenses will pass  them to other entities that might fraudulently set up shop with them, the Board  now proposes to require that voided licenses be returned to the Board within 30  days of the change that voided them. To the extent that it is complied with,  this change will greatly benefit the public as it will stop the offering of  services that would be performed fraudulently under a license that does not  belong to the individual(s) offering those services. 
    The Board proposes several other regulatory changes to prevent  possible fraudulent activity at licensed schools. Specifically the Board  proposes to require schools that do not own equipment necessary for teaching to  have copies of agreements that allow them to access equipment owned by other  entities for their students to use; schools will also be required to  periodically provide the Board with student rosters. These changes will allow Board  staff to verify that students will have access to the equipment needed to learn  Board required skills and that schools are not making up student files only  when they are inspected by the Board. Board staff reports that these changes  will likely cost less than $25 per year in compliance costs. These costs are  likely outweighed by the benefits that will likely accrue to students who will  be more likely to be guaranteed to have access to equipment necessary for their  education.
    The Board also proposes to require that student files include a  2x2 head and shoulder photo of the student. Board staff reports that this will  be required to combat rampant testing fraud and will allow the identity of  students taking licensure exams to be verified. While this change is likely to  benefit the public, because fewer individuals would presumably be licensed  without actually passing the licensure exam, the cost of compliance for this  requirement as written will likely be far higher than it needs to be. 2x2  (passport size) photos cost between $8 and $121  whereas larger, more conventionally sized photos, are far cheaper. A 4x6 photo  print, for instance, can be printed for as little as $0.09 at Walmart.  Compliance costs for this requirement could be very easily significantly reduced  if the Board changed the proposed language to require a photo that was at least  2x2 rather than exactly 2x2. 
    Finally, current regulations require that licensed shops,  salons and schools have a fully functional bathroom in the same building with a  working toilet and sink. Some enforcement agents have allowed salons in malls  to count the mall bathrooms as meeting this requirement and some enforcement  agents have said that mall bathrooms do not meet this requirement. Board staff  reports that the Board is concerned that allowing mall bathrooms to meet  regulatory requirements will have a client wandering far afield of licensed  facilities possibly in the middle of chemical hair treatments of various kinds.  Board staff reports that the Board feels it would be safer for clients if  salons are required to have bathrooms within their shops. The Board now  proposes to add language to these regulations that requires licensed facilities  have bathrooms that are maintained exclusively for client use. Board staff estimates  that there are approximately 15 to 30 licensed shops that are located in malls  and do not have bathroom facilities within the confines of their shops that  would have to either move or build a bathroom in order to comply with this  proposed regulatory change. Board staff further estimates that building a  bathroom in shops that do not have them can cost between $2,000 and $10,000.  Given the high cost of requiring shops to meet a stricter standard than is  sometimes allowed now, costs for this proposed change likely outweigh the  benefits of increased convenience for clients and possibly avoiding chemical  burns if clients go to use the mall bathroom and stay away longer than they  should or longer than is advised.
    Businesses and Entities Affected. The Department of  Professional and Occupational Regulation (DPOR) reports that the Board  currently licenses 58,421 individuals and 7,349 shops and schools in the  Commonwealth. All of these entities, as well as future licensees, will be  affected by these proposed changes. Most, if not all, shops and schools would  likely qualify as small businesses. 
    Localities Particularly Affected. No locality will be  particularly affected by this proposed regulatory action. 
    Projected Impact on Employment. A new proposed requirement that  individuals apply for licensure within five years of taking their licensure  exam may increase costs for these individuals (as they would have to study for  and retake their exam) and may slightly decrease the probability of them  becoming licensed and working in fields licensed by the Board. Board staff  believes from anecdotal evidence that such a situation would be extremely rare.
    Effects on the Use and Value of Private Property. Proposed  changes such as requiring in-shop client bathrooms where shops currently are  allowed to be in regulatory compliance by being in a large facility (such as a  mall) that has bathroom accommodations are likely to greatly increase costs,  and lower profits, for affected shops
    Small Businesses: Costs and Other Effects. Proposed  requirements that impact bathroom facilities will likely increase costs for  affected small businesses. Several proposed requirements, such as having to  periodically provide student rosters and have 2x2 headshots attached to student  files, are likely to increase costs either for schools or for both schools and  their students. 
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The Board would likely be able to decrease costs for regulated entities  by allowing photos that were larger than 2x2 for student files. The Board also  may wish to revisit proposed bathroom requirements. 
    Real Estate Development Costs. Proposed changes such as  requiring in-shop client bathrooms where shops currently are allowed to be in  regulatory compliance by being in a larger facility (such as a mall) that has  bathroom accommodations are likely to increase the cost of building new malls  that will have barber shops or salons as tenants.
    Legal Mandate. 
    General: 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 Code of Virginia and Executive Order Number 14 (2010).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such economic  impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for publication.  This analysis shall represent DPB's best estimate for the purposes of public  review and comment on the proposed regulation. 
    _________________________________________________
    1 An internet search revealed prices for passport photos  ranging from $7.99 at Walmart to $11.99 at CVS. 
    Agency's Response to Economic Impact Analysis: The board  concurs with the analysis for #1, 2, and 4 through 7 in the Summary of Proposed  Amendments to Regulations. The board respectfully disagrees with #3, 8, and 9.
    Summary of Proposed Amendments to Regulations
    1. Summary Item #3: The proposed regulations would require that  an applicant who does not apply for licensure within five years of passing the  exam must retake the exam to be eligible for licensure. 
    Economic Impact Analysis (EIA) position: "The benefits of  this change will only outweigh the costs if changes within fields licensed by  the Board are significant enough to render individuals incompetent to practice  without refreshing their knowledge and retaking the exam."
    Agency Response: There are several fundamental reasons for  implementing this change in the regulations, not just the single issue raised  by the EIA. For someone who applies for their license more than five years  after taking the exam, the full scope of problems includes:
    • The board cannot know whether they still possess the  knowledge or skill to competently practice,
    • The board does not have access to testing records older than  five years to confirm the applicant truly passed the exam, and
    • Changes in the industry may have made the applicant's  knowledge obsolete.
    The EIA fails to take into consideration the broader range of  issues in its analysis. Without adding this requirement, the board will face  the dilemma of having to license individuals who may not be minimally  competent, as well as experience increased costs for maintaining exam records  in perpetuity.
    Explanation: The board is statutorily required to establish the  qualifications of applicants for licensure. The board utilizes written and  practical examinations to establish that applicants possess the competence to  engage in the profession.
    There are several issues that affect competence when an  applicant has not been engaged with the profession for many years. The EIA  correctly identifies that changes in the industry may render an applicant's  knowledge obsolete. However, the EIA fails to account for the other, more  significant reason, which is that individuals who have not been engaged in the  profession for five years are likely to have forgotten much of the knowledge  and skill for engaging in the practice. The board has no way of knowing whether  an individual who has not been engaged in the practice for six, 10, or 20 years  still has the practical skill or information base to practice safely. Since the  board regulates professions which cut, use chemicals, and work closely on  peoples bodies, it is particularly important that the board meet its statutory  obligation to ensure it licenses minimally competent individuals. The board  believes that it cannot accurately assess if an individual possesses the skill  and knowledge qualifications for licensure if those skills and knowledge have  not been measured in the previous five years.
    Further, the EIA does not identify that the proposed  regulations add the requirement that records of examinations only be kept for  five years. Currently, while the regulations allow an applicant to apply any  time after they have taken the exam, the board's examination vendor only  maintains exam records for five years. This discrepancy means that the board  has no way to verify that an applicant claiming to have passed the exam more  than five years ago has truly done so. To resolve this conflict without  changing the regulation, the board will have to either require the exam vendor  to maintain records in perpetuity or start maintaining these records itself.  Either of these options will increase costs to the board, which in turn, will  impact licensing fees. As such, the board believes that the five-year  recordkeeping will result in maintaining a lower cost for licensure.
    2. Summary Item #8: The proposed regulations would require a 2x2  head and shoulder picture of the students attending any school licensed by the  board be attached to their student record files. 
    EIA Position: "[T]he cost of compliance for this  requirement as written will likely be far higher than it needs to be. 2x2  (passport size) photos cost between $8 and $12, whereas larger, conventionally  sized photos, are far cheaper."
    Agency Response: The proposed regulation does not specify  passport photos, and can be met by any type of photo, as long as the head and  shoulder portion are 2x2. The EIA assumes that the cost of this requirement  will be the cost of acquiring passport photos. However, the EIA's assumptions  fail to take into account that:
    • This requirement is for the schools, not the students, 
    • The regulation does not require passport photos, and
    • Students are already required to provide this 2x2 photo  during the application process. 
    The EIA's incorrect assumption that only a passport photo would  meet this requirement leads to a fundamental flaw in its analysis. Compliance  costs would only be in the $8 to $12 range if the school did not provide this  service and if the student chose to utilize passport photos in addition to the  photos already required during the application process. Further, the proposed  regulation would provide the board with an important tool to combat rampant  fraud in the prelicensure process.
    Explanation: The board is authorized to establish the qualifications  of licensure and to promulgate regulations necessary to effectively administer  the regulatory system. The authority currently in 18VAC41-20-20 of the board's  regulations already requires that in order to be eligible to sit for  examination, a student must have completed a board-approved training program.
    The language contained in proposed 18VAC41-20-240 A, requiring  schools maintain a 2x2 color head and shoulder photo, is a necessary piece of  fraud detection for the board to corroborate that the individual sitting for  the exam is, in fact, the student who completed the training program. This  regulation is being proposed, along with several other recordkeeping measures,  to address rampant fraud in the pre-licensure process. 
    The EIA does not take into account that the requirement is for  the schools. The school would bear the requirement of maintaining the photo,  and may utilize its own photograph equipment to comply with the regulation. It  is likely that there will be variation in the market, with some schools  generating the photo in-house, and others asking the students to provide the  photo. As such, the cost of the regulation may be as little as the cost for the  school in ink and printer paper.
    The EIA incorrectly assumes that this requirement is met only  with a passport photo. While a school may utilize a passport photo, the  regulation does not specify or require a passport photo. Schools may utilize  whatever sized photo they wish, as long as the head and shoulder portion is  2x2. The EIAs recommendation of using a $0.09 4x6 photo is already acceptable  under the proposed regulation, as long as the head and shoulder portion meets  the 2x2 criteria. In fact, as will be explained below, the board currently  accepts and utilizes these types of photos for the other 2x2 photo  requirements. It is worth noting that even the U.S. Department of State does  not require individuals to purchase passport photos and has a tool to allow  passport applicants to take their own photo.
    The EIA incorrectly assumes that this requirement will create a  new financial burden. As noted above, applicants already are required to  provide a 2x2 head and shoulder color photograph when they apply for licensure.  This photo must be submitted along with their application. The examination  vendor utilizes this photo to ensure that the individual taking the exam is the  same individual who applied for licensure. These photograph requirements have  been essential to the board's ability to stop testing fraud. Contrary to the  EIA's assumption that there will be a new requirement for the student to  produce a 2x2 photo, applicants are already obtaining these photographs. The  board frequently sees 4x6 photos, whole or cut down to 2x2. The board also  accepts 2x2 photographs that have been printed on home printers if they meet  the standard. This recordkeeping requirement for the schools, if the school  defrays the cost to the student, only means the student would have to produce  an additional copy of the 2x2. So even if a student chose to utilize the higher  cost passport photo, since passport photos come in sets, ranging from two to 10  photos, there would likely be no additional cost for students utilizing  passport photos.
    3. Summary Item #9: The proposed regulations would add to the  existing requirement that shops, salons, schools, and facilities maintain  working toilet and sink, an additional requirement that the bathroom be  exclusively for client use and have hot and cold running water. 
    EIA Position: "The EIA argues that, [g]iven the high cost  of requiring shops to meet a stricter standard than is sometimes allowed now,  costs for this proposed change likely outweigh the benefits"
    Agency Response: The proposed regulations address a very rare  situation in which a salon or shop does not have an exclusive client bathroom  with hot and cold water, usually because they are situated in a mall. Salons  and shops are already required to utilize hot water for cleaning and  sterilizing the facility and equipment. The board has encountered and foresees  certain health and safety risks associated with not having this requirement,  such as:
    • Loss of oversight of chemical treatments while clients have  left the salon or shop, and
    • Unsanitary bathroom conditions that the salon or shop has no  authority to address.
    Additionally, this requirement would add a level of  convenience, as patrons would not have to travel across the mall to use the  bathroom. The board believes these are substantial issues for the salons and  shops that are affected. The EIA fails to adequately account for the health and  safety risk this regulation is meant to address and fails to mention that the  board may consider grandfathering existing businesses that would be  noncompliant when this regulation takes effect.
    Explanation: As the EIA explains, this regulation partially  stems out of a concern regarding salons and shops in malls. The board has  expressed concern that if salons have to send their customers from one end of  the mall to the other to use the bathroom, the salon is putting that client at  risk. Salons and shops use chemicals (such as hair dyes, bleaches, etc.) which  have the potential to cause injury to clients if not used correctly, or left on  the client for too long. When a client under the treatment of these chemicals  leaves the salon, the salon no longer has oversight of that client. The salon  cannot properly supervise the treatment or ensure that the chemicals are  removed timely when the consumer is off site and subject to whatever delays  they may encounter while at a shopping mall. This situation is a clear and  foreseeable risk to the public which the board seeks to address. 
    Further, the requirement that the bathroom be for client use  only addresses a re-occurring problem of shared bathrooms. The board has encountered  during inspections the situations of salons sharing bathrooms with other  businesses, where the salon did not have control over the sanitation of the  bathroom. This left the board in the dilemma of having to cite a business for  unsanitary conditions it had no control over, or not citing a business that  puts its clients in unsanitary conditions.
    The board is aware that there could be significant costs  associated with renovating a facility to come into compliance with this  proposed regulation. There are currently regulations in place that require  salons and shops to sanitize using hot water. Salons and shops that cannot meet  the new standard are likely unable to meet the current standard either, and  thus are not properly sanitizing their implements. The requirement for hot and  cold water is not necessarily adding a new requirement, but rather clarifying  the need for hot water. Despite this, the board will consider implementing a  grandfather clause for facilities that this regulation may adversely affect due  to what could be very large costs to comply. It is estimated that there are  very few salons or shops that would be adversely affected by this regulation.  Even with a grandfather provision, the board believes that applying the  proposed regulation to new shops and salons going forward will ensure a more  sanitary and safer experience as the industry moves toward this standard. 
    Summary:
    The proposed amendments are the result of a periodic  review; repeal 18VAC41-40, Wax Technician Regulations, and incorporate wax  technician regulations into 18VAC41-20; and include clarifying changes to text  to ensure consistency with other board regulations and state and federal laws  and compliance with current industry standards. The proposed amendments (i) add  new definitions; (ii) require disclosure of felonies, certain misdemeanors, and  disciplinary actions; (iii) require individuals to apply for licensure within  five years of taking the exam; (iv) allow the board to decline to issue  licenses, temporary permits, and temporary instructor permits if grounds exist  that would allow the board to deny licensure; (v) require voided licenses to be  returned to the board within 30 days of the license being voided and clarify  what circumstances may lead to voiding a license; (vi) allow for board  inspection of shops, salons, and schools during reasonable hours; (vii) require  schools to provide specific information to the board and within required time  periods; (viii) provide grounds for discipline for several prohibited actions;  and (ix) update sanitation requirements, including a requirement that  businesses provide a bathroom with hot and cold running water for clients. 
    Part I 
  General 
    18VAC41-20-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise.  All terms defined in Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code  of Virginia are incorporated in this chapter. 
    "Business entity" means a sole proprietorship,  partnership, corporation, limited liability company, limited liability  partnership, or any other form of organization permitted by law. 
    "Direct supervision" means that a Virginia licensed  barber, cosmetologist, or nail technician, or wax technician  shall be present in the barbershop, cosmetology salon, or nail technician  salon, or waxing salon at all times when services are being performed by  a temporary permit holder or registered apprentice. 
    "Endorsement" means a method of obtaining a license  by a person who is currently licensed in another state. 
    "Firm" means any business entity recognized  under the laws of the Commonwealth of Virginia.
    "Licensee" means any person, partnership,  association, limited liability company, or corporation sole  proprietorship, partnership, corporation, limited liability company, limited  liability partnership, or any other form of organization permitted by law  holding a license issued by the Board for Barbers and Cosmetology, as defined  in § 54.1-700 of the Code of Virginia. 
    "Post-secondary educational level" means an  accredited college or university that is approved or accredited by the  Commission on Colleges or by an accrediting agency that is recognized by the  U.S. Secretary of Education. 
    "Reciprocity" means a conditional agreement between  two or more states that will recognize one another's regulations and laws for  equal privileges for mutual benefit. 
    "Reinstatement" means having a license or  certificate restored to effectiveness after the expiration date has passed. 
    "Renewal" means continuing the effectiveness of a  license or certificate for another period of time. 
    "Responsible management" means the following  individuals:
    1. The sole proprietor of a sole proprietorship;
    2. The partners of a general partnership;
    3. The managing partners of a limited partnership;
    4. The officers of a corporation;
    5. The managers of a limited liability company;
    6. The officers or directors of an association or both; and
    7. Individuals in other business entities recognized under  the laws of the Commonwealth as having a fiduciary responsibility to the firm.
    "Sole proprietor" means any individual, not a  corporation, 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. 
    "Virginia state institution" for the purposes of  these regulations means any institution approved by the Virginia Department of  Education or the Virginia Department of Corrections. 
    Part II 
  Entry 
    18VAC41-20-20. General requirements for a barber,  cosmetologist, or nail technician, or wax technician license. 
    A. In order to receive a license as a barber,  cosmetologist, or nail technician, an applicant must Any individual  wishing to engage in barbering, cosmetology, nail care, or waxing shall obtain  a license in compliance with § 54.1-703 of the Code of Virginia and shall  meet the following qualifications: 
    1. The applicant shall be in good standing as a licensed barber,  cosmetologist, or nail technician, or wax technician in every  jurisdiction Virginia and all other jurisdictions where licensed.  The applicant shall disclose to the board at the time of application for  licensure, any disciplinary action taken in another jurisdiction Virginia  and all other jurisdictions in connection with the applicant's practice as  a barber, cosmetologist, or nail technician, or wax technician. This  includes but is not limited to monetary penalties, fines, suspensions,  revocations, surrender of a license in connection with a disciplinary action,  or voluntary termination of a license. The applicant shall disclose to the  board at the time of application for licensure whether if he has  been previously licensed in Virginia as a barber, cosmetologist, or nail  technician, or wax technician. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein the  board deems the applicant is unfit or unsuited to engage in barbering,  cosmetology, nail care, or waxing. The board will decide each case by taking  into account the totality of the circumstances. Any plea of nolo contendere or  comparable plea shall be considered a disciplinary action for the purposes of  this section. The applicant shall provide a certified copy of a final order,  decree, or case decision by a court, regulatory agency, or board with the  lawful authority to issue such order, decree, or case decision, and such copy  shall be admissible as prima facie evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A post  office box is not acceptable. 
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia barber  and cosmetology license laws and the regulations of the board this  chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia, the  each applicant shall not have been convicted in any jurisdiction of a  misdemeanor or felony which directly relates to the profession of barbering,  cosmetology, or nail care. The board shall have the authority to determine,  based upon all the information available, including the applicant's record of  prior convictions, if the applicant is unfit or unsuited to engage in the  profession of barbering, cosmetology, or nail care. The board will decide each  case by taking into account the totality of the circumstances. Any plea of nolo  contendere shall be considered a conviction for the purposes of this section.  The applicant shall provide a certified copy of a final order, decree or case  decision by a court or regulatory agency with the lawful authority to issue  such order, decree or case decision, and such copy shall be admissible as prima  facie evidence of such conviction. This record shall be forwarded by the  applicant to the board within 10 days after all appeal rights have expired disclose  the following information regarding criminal convictions in Virginia and all  other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime.  
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall provide evidence satisfactory to the  board that the applicant has passed the board approved board-approved  examination, administered either by the board or by independent examiners. 
    B. Eligibility to sit for board-approved examination. 
    1. Training in the Commonwealth of Virginia. Any person  completing an approved barber, cosmetology, or nail technician, or  wax technician training program in a Virginia licensed barber, cosmetology,  or nail technician, or wax technician school, respectively, or a  Virginia public school's barber, cosmetology, or nail technician, or  wax technician program approved by the State Virginia  Department of Education shall be eligible for examination. 
    2. Training outside of the Commonwealth of Virginia, but  within the United States and its territories. 
    a. Any person completing a barber or cosmetology training  program that is substantially equivalent to the Virginia program but is outside  of the Commonwealth of Virginia must submit to the board documentation of the  successful completion of 1,500 hours of training to be eligible for  examination. If less than 1,500 hours of barber or cosmetology training was  completed, an applicant must submit a certificate, diploma, or other  documentation acceptable to the board verifying the completion of a  substantially equivalent barber or cosmetology course and documentation of six  months of barber or cosmetology work experience in order to be eligible for  examination. 
    b. Any person completing a nail technician training program  that is substantially equivalent to the Virginia program but is outside of the  Commonwealth of Virginia must submit to the board documentation of the  successful completion of 150 hours of training to be eligible for examination.  If less than 150 hours of nail technician training was completed, an applicant  must submit a certificate, diploma, or other documentation acceptable to  the board verifying the completion of a substantially equivalent nail technician  course and documentation of six months of nail technician work experience in  order to be eligible for the nail technician examination. 
    c. Any person completing a wax technician training program  that is substantially equivalent to the Virginia program but is outside of the  Commonwealth of Virginia must submit to the board documentation of the  successful completion of 115 hours of training to be eligible for examination.  If less than 115 hours of wax technician training was completed, an applicant  must submit a certificate, diploma, or other documentation acceptable to the  board verifying the completion of a substantially equivalent wax technician  course and documentation of six months of wax technician work experience in  order to be eligible for the wax technician examination. 
    18VAC41-20-30. License by endorsement. 
    Upon proper application to the board, any person currently  licensed to practice as a barber, cosmetologist, or nail technician,  or wax technician who is a barber, cosmetology or, nail  technician, or wax technician instructor, or who is a licensed  instructor in the respective profession in any other state or jurisdiction  of the United States and who has completed both a training program and a  written and practical examination that is substantially equivalent to that  required by these regulations this chapter, may be issued a  barber, cosmetology, or nail technician, or wax technician  license or a barber, cosmetology or, nail technician, or wax  technician instructor certificate, respectively, without an examination.  The applicant must also meet the requirements set forth in 18VAC41-20-20. 
    18VAC41-20-50. Exceptions to training requirements. 
    A. Virginia licensed cosmetologists with a minimum of two  years of work experience shall be eligible for the barber examination;  likewise, a Virginia licensed barber with a minimum of two years of work  experience shall be eligible for the cosmetology examination. 
    B. Virginia licensed barbers with less than two years of work  experience and Virginia barber students enrolling in a Virginia cosmetology  training school shall be given educational credit for the training received for  the performances completed at a barber school; likewise, licensed Virginia  cosmetologists with less than two years of work experience and Virginia  cosmetology students enrolling in a Virginia barber training school shall be  given educational credit for the training received for the performances  completed at a cosmetology school. 
    C. Any barber, cosmetologist, or nail technician,  or wax technician applicant having been trained as a barber, cosmetologist,  or nail technician, or wax technician in any Virginia state  institution shall be eligible for the respective examination. 
    D. Any barber, or cosmetologist, nail  technician, or wax technician applicant having a minimum of two years  experience in barbering, or cosmetology, nail care, or waxing  in the United States armed forces and having provided documentation  satisfactory to the board of that experience shall be eligible for the respective  examination. 
    18VAC41-20-60. Examination requirements and fees. 
    A. Applicants for initial licensure shall pass both a  practical examination and a written examination approved by the  board. The examinations may be administered by the board or by a designated  testing service. 
    B. Any applicant who passes one part of the examination shall  not be required to take that part again provided both parts are passed within  one year of the initial examination date. 
    C. Any candidate failing to appear as scheduled for  examination shall forfeit the examination fee. 
    D. The fee for examination or reexamination is subject to  contracted charges to the board by an outside vendor. These contracts are  competitively negotiated and bargained for in compliance with the Virginia  Public Procurement Act (§ 2.2-4300 et seq. of the Code of Virginia). Fees may  be adjusted and charged to the candidate in accordance with these contracts.  The fee shall not exceed $225 per candidate. 
    E. Any candidate failing to apply for initial licensure  within five years of passing both a practical examination and a written  examination shall be required to retake both portions. Records of examinations  shall be maintained for a maximum of five years. 
    18VAC41-20-80. Examination administration. 
    A. The examinations shall be administered by the board or the  designated testing service. The practical examination shall be supervised by a  chief examiner. 
    B. Every barber, cosmetology, or nail technician,  or wax technician examiner shall hold a current Virginia license in their  respective professions, have three or more years of active experience as a  licensed professional, and be currently practicing in that profession.  Examiners shall attend training workshops sponsored by the board or by a  testing service acting on behalf of the board. 
    C. No certified barber, cosmetology, or nail  technician, or wax technician instructor who is currently teaching,  or is a school owner, or is an apprentice sponsor shall be an examiner. 
    D. Each barber, cosmetology, and nail technician,  and wax technician chief examiner shall hold a current Virginia license in  his respective profession, have five or more years of active experience in that  profession, have three years of active experience as an examiner, and be  currently practicing in his respective profession. Chief examiners shall attend  training workshops sponsored by the board or by a testing service acting on  behalf of the board. 
    E. The applicant shall follow all procedures established by  the board with regard to conduct at the examination. Such procedures shall  include any written instructions communicated prior to the examination  date and any instructions communicated at the site, either written or  oral, on the date of the examination. Failure to comply with all procedures  established by the board and the testing service with regard to conduct at the  examination may be grounds for denial of application. 
    18VAC41-20-90. Barber, cosmetology, and nail technician,  and wax technician temporary permits. 
    A. A temporary permit to work under the supervision of a  currently licensed barber, cosmetologist or, nail technician,  or wax technician may be issued only to applicants for initial licensure that  who the board finds eligible for examination. There shall be no fee for  a temporary permit. 
    B. The temporary permit shall remain in force for 45 days  following the examination date. The examination date shall be the first test  date after the applicant has successfully submitted an application to the board  that an examination is offered to the applicant by the board. 
    C. Any person continuing to practice barbering, cosmetology, or  nail care services, or waxing services after a temporary permit  has expired may be prosecuted and fined by the Commonwealth under §§ 54.1-111  A 1 and 54.1-202 of the Code of Virginia. 
    D. No applicant for examination shall be issued more than one  temporary permit. 
    E. Temporary permits shall not be issued where grounds may  exist to deny a license pursuant to § 54.1-204 of the Code of Virginia or  18VAC41-20-20. 
    18VAC41-20-100. General requirements for a barber instructor  certificate, cosmetology instructor certificate, or nail  technician instructor certificate, or wax technician instructor certificate.  
    A. Upon filing an application with the Board for Barbers  and Cosmetology, any person meeting the qualifications set forth in this  section shall be eligible for a barber, cosmetology, or nail technician  instructor certificate, if the person: Any individual wishing to engage  in barbering instruction, cosmetology instruction, nail care instruction, or  waxing instruction shall meet the following qualifications:
    1. Holds a current Virginia barber, cosmetology, or nail  technician license, respectively; and The applicant shall be in good  standing as a licensed barber, cosmetologist, nail technician, or wax  technician, and instructor, respectively, in Virginia and all other  jurisdictions where licensed. The applicant shall disclose to the board at the  time of application for licensure any disciplinary action taken in Virginia and  all other jurisdictions in connection with the applicant's practice as a  barber, cosmetologist, nail technician, or wax technician, or in the practice  of teaching any of those professions. This includes but is not limited to monetary  penalties, fines, suspensions, revocations, surrender of a license in  connection with a disciplinary action, or voluntary termination of a license.  The applicant shall disclose to the board at the time of application for  licensure if the applicant has been previously licensed in Virginia as a barber  instructor, cosmetology instructor, nail technician instructor, or wax  technician instructor. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein the  board deems the applicant is unfit or unsuited to engage in the instruction of  barbering, cosmetology, nail care, or waxing. The board will decide each case  by taking into account the totality of the circumstances. Any plea of nolo  contendere or comparable plea shall be considered a disciplinary action for the  purposes of this section. The applicant shall provide a certified copy of a  final order, decree, or case decision by a court, regulatory agency, or board  with the lawful authority to issue such order, decree, or case decision, and  such copy shall be admissible as prima facie evidence of such disciplinary  action;
    2. The applicant shall hold a current Virginia barber,  cosmetology, nail technician, or wax technician license, respectively;
    Passes 3. The applicant shall:
    a. Pass a course in teaching techniques at the  post-secondary educational level; or 
    3. Completes b. Complete an instructor training  course approved by the Virginia Board for Barbers and Cosmetology under the  supervision of a certified barber, cosmetologist, or nail technician,  or wax technician instructor in a barber, cosmetology, or nail  technician, or wax technician school, respectively; or 
    4. Passes c. Pass an examination in barber,  cosmetology or, nail technician, or wax technician  instruction respectively, administered by the board or by a testing service  acting on behalf of the board.; and
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information regarding criminal  convictions in Virginia and all other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime. 
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    B. Applicants passing the examination for a barber,  cosmetology or nail technician instructor certificate Instructors  shall be required to maintain a barber, cosmetology, or nail technician,  or wax technician license, respectively.
    18VAC41-20-110. Student instructor temporary permit. 
    A. A licensed barber, cosmetologist, or nail  technician, or wax technician may be granted a student instructor  temporary permit to function under the direct supervision of a barber  instructor, cosmetology instructor, or nail technician instructor, or  wax technician instructor respectively. A licensed nail technician or  wax technician may also be granted a student instructor permit to function  under the direct supervision of a cosmetology instructor. 
    B. The student instructor temporary permit shall  remain in force for not more than 12 months after the date of issuance and  shall be nontransferable and nonrenewable.
    C. No applicant for examination shall be issued more than  one student instructor temporary permit. 
    D. Failure to maintain a barber, cosmetology, or  nail technician, or wax technician license shall disqualify an  individual from holding a student instructor temporary permit. 
    E. Temporary permits shall not be issued where grounds may  exist to deny a license pursuant to § 54.1-204 of the Code of Virginia or  18VAC41-20-100. 
    18VAC41-20-120. Shop General requirements for a shop  or salon license. 
    A. Any individual firm wishing to operate a  barbershop, cosmetology or salon, nail salon, or waxing salon  shall obtain a shop or salon license in compliance with § 54.1-704.1 of the  Code of Virginia. and shall meet the following qualifications in  order to receive a license: 
    1. The applicant and all members of the responsible  management shall be in good standing as a licensed shop or salon in Virginia  and all other jurisdictions where licensed. The applicant shall disclose to the  board at the time of application for licensure any disciplinary action taken in  Virginia and all other jurisdictions in connection with the applicant's  operation of any barbershop, cosmetology salon, nail salon, or waxing salon or  practice of the profession. This includes but is not limited to monetary  penalties, fines, suspensions, revocations, surrender of a license in  connection with a disciplinary action, or voluntary termination of a license.  The applicant shall disclose to the board at the time of application for  licensure if the applicant has been previously licensed in Virginia as a  barbershop, cosmetology salon, nail salon, or waxing salon. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in the operation of a  barbershop, cosmetology salon, nail salon, or waxing salon. The board will  decide each case by taking into account the totality of the circumstances. Any  plea of nolo contendere or comparable plea shall be considered a disciplinary  action for the purposes of this section. The applicant shall provide a  certified copy of a final order, decree, or case decision by a court,  regulatory agency, or board with the lawful authority to issue such order,  decree, or case decision, and such copy shall be admissible as prima facie  evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A  post office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  barber and cosmetology license laws and this chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information about the firm and all  members of the responsible management regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall disclose the firm's responsible  management. 
    B. A barbershop, cosmetology, or nail salon license Shop  or salon licenses are issued to firms as defined in this chapter and shall  not be transferable and shall bear the same name and address of the business.  Any changes in the name, or address, or ownership of the  shop or salon shall be reported to the board in writing within 30 days of such  changes. New owners shall be responsible for reporting such changes in  writing to the board within 30 days of the changes. The board shall not  be responsible for the licensee's, certificate holder's, or permit holder's  failure to receive notices, communications, and correspondence caused by the  licensee's, certificate holder's, or permit holder's failure to promptly notify  the board in writing of any change of name or address or for any other reason  beyond the control of the board.
    C. In the event of a closing of a barbershop or  cosmetology or nail salon, the board must be notified by the owners in writing  within 30 days of the closing, and the license must be returned by the owners  to the board. Whenever the legal business entity holding the license is dissolved  or altered to form a new business entity, the original license becomes void and  shall be returned to the board within 30 days of the change. Additionally, the  firm shall apply for a new license, within 30 days of the change in the  business entity. Such changes include but are not limited to: 
    1. Death of a sole proprietor;
    2. Death or withdrawal of a general partner in a general  partnership or the managing partner in a limited partnership; and
    3. Conversion, formation, or dissolution of a corporation,  a limited liability company, an association, or any other business entity  recognized under the laws of the Commonwealth of Virginia.
    D. Any change in the officers of a corporation, managers  of a limited liability company, or officers or directors of an association  shall be reported to the board in writing within 30 days of the change.
    E. The board or any of its agents shall be allowed to  inspect during reasonable hours any licensed shop or salon for compliance with  provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia or this chapter. For purposes of a board inspection, "reasonable  hours" means the hours between 9 a.m. and 5 p.m.; however, if the licensee  generally is not open to the public substantially during the same hours,  "reasonable hours" shall mean the business hours when the licensee is  open to the public.
    18VAC41-20-130. School General requirements for a  school license. 
    A. Any individual firm wishing to operate a  barber, cosmetology, or nail technician, or wax technician school  shall submit an application to the board at least 60 days prior to the date  for which approval is sought, obtain a school license in compliance with § 54.1-704.2 of the Code of Virginia. All instruction and training of barbers,  cosmetologists, or nail technicians shall be conducted under the direct  supervision of a licensed barber, cosmetologist, or nail technician,  respectively., and meet the following qualifications in order to receive  a license: 
    1. The applicant and all members of the responsible  management shall be in good standing as a licensed school in Virginia and all  other jurisdiction where licensed. The applicant shall disclose to the board at  the time of application for licensure any disciplinary action taken in Virginia  and all other jurisdictions in connection with the applicant's operation of any  barbering, cosmetology, nail, or waxing school or practice of the profession.  This includes but is not limited to monetary penalties, fines, suspensions,  revocations, surrender of a license in connection with a disciplinary action,  or voluntary termination of a license. The applicant shall disclose to the  board at the time of application for licensure if the applicant has been  previously licensed in Virginia as a barbering, cosmetology, nail, or waxing  school.
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein the  board deems the applicant is unfit or unsuited to engage in the operation of a  barbering, cosmetology, nail, or waxing school. The board will decide each case  by taking into account the totality of the circumstances. Any plea of nolo  contendere or comparable plea shall be considered a disciplinary action for the  purposes of this section. The applicant shall provide a certified copy of a  final order, decree, or case decision by a court, regulatory agency, or board  with the lawful authority to issue such order, decree, or case decision, and  such copy shall be admissible as prima facie evidence of such disciplinary  action. 
    2. The applicant shall disclose the applicant's physical  address. A post office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  barber and cosmetology license laws and this chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information about the firm and all  members of the responsible management regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions. 
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall disclose the firm's responsible  management. 
    B. A barber Barber, cosmetology, or nail  technician, and wax technician school license licenses are  issued to firms as defined in this chapter, shall not be transferable,  and shall bear the same name and address as the school. Any changes in the name  or the address of record or principal place of business of the  school shall be reported to the board in writing within 30 days of such change.  The board shall not be responsible for the licensee's, certificate holder's,  or permit holder's failure to receive notices, communications, and  correspondence caused by the licensee's, certificate holder's, or permit  holder's failure to promptly notify the board in writing of any change of name  or address or for any other reason beyond the control of the board. The  name of the school must indicate that it is an educational institution. All  signs, or other advertisements, must reflect the name as indicated on the  license issued by the board and contain language indicating it is an  educational institution. 
    C. In the event of a change of ownership of a school, the  new owners shall be responsible for reporting such changes in writing to the  board within 30 days of the changes. 
    D. In the event of a school closing, the board must be  notified by the owners in writing within 30 days of the closing, and the  license must be returned. 
    C. Whenever the legal business entity holding the license  is dissolved or altered to form a new business entity, the original license  becomes void and shall be returned to the board within 30 days of the change.  Additionally, the firm shall apply for a new license within 30 days of the  change in business entity. Such changes include but are not limited to: 
    1. Death of a sole proprietor;
    2. Death or withdrawal of a general partner in a general  partnership or the managing partner in a limited partnership; and
    3. Conversion, formation, or dissolution of a corporation,  a limited liability company, an association, or any other business entity  recognized under the laws of the Commonwealth of Virginia.
    D. Any change in the officers of a corporation, managers  of a limited liability company, or officers or directors of an association  shall be reported to the board in writing within 30 days of the change.
    E. Barber schools, cosmetology schools, nail schools, or  waxing schools under the Virginia Department of Education shall be exempted  from licensure requirements. 
    F. The board or any of its agents shall be allowed to  inspect during reasonable hours any licensed school for compliance with  provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia or this chapter. For purposes of a board inspection, "reasonable  hours" means the hours between 9 a.m. and 5 p.m.; however, if the licensee  generally is not open to the public substantially during the same hours,  "reasonable hours" shall mean the business hours when the licensee is  open to the public.
    Part III 
  Fees 
    18VAC41-20-140. Fees. 
    The following fees apply: 
           | FEE TYPE | AMOUNT DUE | WHEN DUE | 
       | Individuals: | 
       | Application | $105 | With application | 
       | License by Endorsement | $105 | With application | 
       | Renewal: | 
       | Barber | $105 | With renewal card prior to expiration date | 
       | Cosmetologist | $105 | With renewal card prior to expiration date | 
       | Nail technicianTechnician | $105 | With renewal card prior to expiration date | 
       | Wax Technician | $105 | With renewal card prior to expiration date | 
       | Reinstatement | $210* *includes $105 renewal fee and $105 reinstatement fee | With reinstatement application | 
       | Instructors: | 
       | Application | $125 | With application | 
       | License by Endorsement | $125 | With application | 
       | Renewal | $150 | With renewal card prior to expiration date | 
       | Reinstatement | $300* *includes $150 renewal fee and $150 reinstatement fee | With reinstatement application | 
       | Facilities: | 
       | Application | $190 | With application | 
       | Renewal | $190 | With renewal card prior to expiration date | 
       | Reinstatement | $380* *includes $190 renewal fee and $190 reinstatement fee | With reinstatement application | 
       | Schools: | 
       | Application | $220 | With application | 
       | Add Program | $100 | With application | 
       | Renewal | $220 | With renewal card prior to expiration date | 
       | Reinstatement | $440* *includes $220 renewal fee and $220 reinstatement fee | With reinstatement application | 
  
    Part IV 
  Renewal/Reinstatement 
    18VAC41-20-160. License renewal required. 
    A. All barber licenses, cosmetology licenses, nail  technician licenses, barbershop licenses, cosmetology salon licenses, and nail  technician salon licenses A license or certificate issued under this  chapter shall expire two years from the last day of the month in which they  were it was issued. 
    B. All barber instructor certificates, cosmetology  instructor certificates, and nail technician instructor certificates shall  expire on the same date as the certificate holder's license expiration date. 
    C. All school licenses shall expire on December 31 of each  even-numbered year. 
    18VAC41-20-180. Failure to renew. 
    A. When a licensed or certified individual or business  entity fails to renew its license or certificate within 30 days following its  expiration date, the licensee or certificate holder shall apply for  reinstatement of the license or certificate by submitting to the Department of  Professional and Occupational Regulation a reinstatement application and  renewal fee and reinstatement fee. 
    B. When a barber, cosmetologist, or nail technician licensed  or certified individual or business entity fails to renew his its  license within two years following the expiration date, reinstatement is no  longer possible. To resume practice, the former licensee or certificate  holder shall apply for licensure or certification as a new applicant,  and shall meet all current application requirements, shall pass the  board's current examination and shall receive a new license. Individuals  applying for licensure under this section shall be eligible to apply for a  temporary permit from the board under 18VAC41-20-90 entry requirements  for each respective license or certificate. 
    C. When a barber instructor, cosmetology instructor, or  nail technician instructor fails to renew his certificate within two years  following the expiration date, reinstatement is no longer possible. To resume  practice, the former certificate holder shall apply as a new applicant, meet  all current application requirements, and receive a new license or temporary  permit from the board. Upon receiving the new license, the individual may apply  for a new instructor's certificate. 
    D. C. The application for reinstatement for a  school shall provide (i) the reasons for failing to renew prior to the  expiration date, and (ii) a notarized statement that all students  currently enrolled or seeking to enroll at the school have been notified in  writing that the school's license has expired. All of these materials shall be  called the application package. Reinstatement will be considered by the board  if the school consents to and satisfactorily passes an inspection of the school  and if the school's records are maintained in accordance with 18VAC41-20-240  and 18VAC41-20-250 and 18VAC41-20-260 by the Department of  Professional and Occupational Regulation. Pursuant to 18VAC41-20-190 18VAC41-20-130,  upon receipt of the reinstatement fee, application package, and inspection  results, the board may reinstate the school's license or require  requalification or both. If the reinstatement application package and  reinstatement fee are not received by the board within six months following the  expiration date of the school's license, the board will notify the testing  service that prospective graduates of the unlicensed school are not acceptable  candidates for the examination. Such notification will be sent to the school  and must be displayed in a conspicuous manner by the school in an area that is  accessible to the public. No student shall be disqualified from taking the  examination because the school was not licensed for a portion of the time the  student attended if the school license is reinstated by the board. 
    E. D. The date a renewal fee is received by the  Department of Professional and Occupational Regulation, or its agent, will be  used to determine whether a penalty fee or the requirement for reinstatement of  a license or certificate is applicable. 
    F. E. When a license or certificate is  reinstated, the licensee or certificate holder shall be assigned an expiration  date two years from the date of the last day of the month of reinstatement except  for school licenses that shall expire on December 31 of each even-numbered year.  
    G. F. A licensee or certificate holder who  that reinstates his its license or certificate shall be  regarded as having been continuously licensed or certified without  interruption. Therefore, a licensee or certificate holder shall be subject to  the authority of the board for activities performed prior to reinstatement. 
    H. G. A licensee or certificate holder who  that fails to reinstate his its license or certificate  shall be regarded as unlicensed or uncertified from the expiration date of the  license or certificate forward. Nothing in these regulations this  chapter shall divest the board of its authority to discipline a licensee or  certificate holder for a violation of the law or regulations during the period  of time for which the individual was licensed or certified. 
    Part V 
  Barber and, Cosmetology, Nail, and Waxing Schools 
    18VAC41-20-190. Applicants for state approval. (Repealed.)
    A. Any person, firm, or corporation desiring to operate a  barber, cosmetology, or nail school shall submit an application to the board at  least 60 days prior to the date for which approval is sought. 
    B. Barber schools, nail schools, or cosmetology schools  under the Virginia Department of Education shall be exempted from licensure  requirements. 
    18VAC41-20-200. General requirements. 
    A barber, cosmetology, or nail, or waxing  school shall: 
    1. Hold a school license for each and every location. 
    2. Hold a salon license if the school receives compensation  for services provided in its clinic. 
    3. Employ a staff of licensed and certified barber,  cosmetology, or nail technician, or wax technician instructors. 
    4. Develop individuals for entry level competency in  barbering, cosmetology, or nail care, or waxing. 
    5. Submit its curricula for board approval. 
    a. Barber curricula shall be based on a minimum of 1,500 clock  hours and shall include performances in accordance with 18VAC41-20-220. 
    b. Cosmetology curricula shall be based on a minimum of 1,500  clock hours and shall include performances in accordance with 18VAC41-20-220. 
    c. Nail technician curricula shall be based on a minimum of  150 clock hours and shall include performances in accordance with  18VAC41-20-220. 
    d. Wax technician curricula shall be based on a minimum of  115 clock hours and shall include performances in accordance with  18VAC41-20-220.
    6. Inform the public that all services are performed by  students if the school receives compensation for services provided in its  clinic by posting a notice in the reception area of the shop or salon in plain  view of the public. 
    7. Classroom Conduct classroom instruction must  be conducted in an area separate from the clinic area where practical  instruction is conducted and services are provided. 
    8. Possess the necessary equipment and implements to teach  the respective curriculum. If any such equipment or implement is not owned by  the school, then a copy of all agreements associated with the use of such  property by the school the shall be provided to the board. 
    18VAC41-20-210. Curriculum requirements. 
    A. Each barber school shall submit with its application a  curriculum including, but not limited to, a course syllabus, a detailed course  content outline, a sample of five lesson plans, a sample of evaluation methods  to be used, and a breakdown of hours and performances for all courses to be  taught that will lead to licensure. The outline for barbering shall include,  but not be limited to, the following: 
    1. School policies; 
    2. State law, regulations, and professional ethics; 
    3. Business and shop management; 
    4. Client consultation; 
    5. Personal hygiene; 
    6. Cutting the hair with a razor, clippers, and shears;  
    7. Tapering the hair; 
    8. Thinning the hair; 
    9. Shampooing the hair; 
    10. Styling the hair with a hand hair dryer; 
    11. Thermal waving; 
    12. Permanent waving with chemicals; 
    13. Shaving; 
    14. Trimming a moustache or beard; 
    15. Applying hair color; 
    16. Lightening or toning the hair; 
    17. Analyzing skin or scalp conditions; 
    18. Giving scalp treatments; 
    19. Giving basic facial massage or treatment; 
    20. Sanitizing and maintaining implements and equipment; and 
    21. Honing and stropping a razor. 
    B. Each cosmetology school shall submit with its application  a curriculum including, but not limited to, a course syllabus, a detailed  course content outline, a sample of five lesson plans, a sample of evaluation  methods to be used, and a breakdown of hours and performances for all courses  to be taught that will lead to licensure. The outline for cosmetology shall  include, but not be limited to, the following: 
    1. Orientation: 
    a. School policies; 
    b. State law, regulations, and professional ethics; 
    c. Personal hygiene; and 
    d. Bacteriology, sterilization, and sanitation. 
    2. Manicuring and pedicuring: 
    a. Anatomy and physiology; 
    b. Diseases and disorders; 
    c. Procedures to include both natural and artificial  application; and 
    d. Sterilization. 
    3. Shampooing and rinsing: 
    a. Fundamentals; 
    b. Safety rules; 
    c. Procedures; and 
    d. Chemistry, anatomy, and physiology. 
    4. Scalp treatments: 
    a. Analysis; 
    b. Disorders and diseases; 
    c. Manipulations; and 
    d. Treatments. 
    5. Hair styling: 
    a. Anatomy and facial shapes; 
    b. Finger waving, molding, and pin curling; 
    c. Roller curling, combing, and brushing; and 
    d. Heat curling, waving, braiding and pressing. 
    6. Hair cutting: 
    a. Anatomy and physiology; 
    b. Fundamentals, materials, and equipment; 
    c. Procedures; and 
    d. Safety practices. 
    7. Permanent waving-chemical relaxing: 
    a. Analysis; 
    b. Supplies and equipment; 
    c. Procedures and practical application; 
    d. Chemistry; 
    e. Recordkeeping; and 
    f. Safety. 
    8. Hair coloring and bleaching: 
    a. Analysis and basic color theory; 
    b. Supplies and equipment; 
    c. Procedures and practical application; 
    d. Chemistry and classifications; 
    e. Recordkeeping; and 
    f. Safety. 
    9. Skin care and make-up: 
    a. Analysis; 
    b. Anatomy; 
    c. Health, safety, and sanitary rules; 
    d. Procedures; 
    e. Chemistry and light therapy; 
    f. Temporary removal of hair; and 
    g. Lash and brow tinting. 
    10. Wigs, hair pieces, and related theory: 
    a. Sanitation and sterilization; 
    b. Types; and 
    c. Procedures. 
    11. Salon management: 
    a. Business ethics; and 
    b. Care of equipment. 
    C. Each nail school shall submit with its application a  curriculum including, but not limited to, a course syllabus, a detailed course  content outline, a sample of five lesson plans, a sample of evaluation methods  to be used, and a breakdown of hours and performances for all courses to be  taught that will lead to licensure. The outline for nail care shall include,  but not be limited to, the following: 
    1. Orientation: 
    a. School policies; 
    b. State law, regulations, and professional ethics; 
    2. Sterilization, sanitation, bacteriology, and safety; 
    3. Anatomy and physiology; 
    4. Diseases and disorders of the nail; 
    5. Nail procedures (i.e., manicuring, pedicuring, and nail  extensions); and
    6. Nail theory and nail structure and composition. 
    D. Each waxing school shall submit with its application a  curriculum including, but not limited to, a course syllabus, a detailed course  content outline, a sample of five lesson plans, a sample of evaluation methods  to be used, and a breakdown of hours and performances for all courses to be  taught that will lead to licensure. The outline for waxing shall include, but  not be limited to, the following: 
    1. Orientation: 
    a. School policies; 
    b. State law, regulations, and professional ethics; and
    c. Personal hygiene.
    2. Skin care and treatment: 
    a. Analysis; 
    b. Anatomy and physiology; 
    c. Diseases and disorders of the skin; 
    d. Health sterilization, sanitation, bacteriology, and  safety including infectious disease control measures; and
    e. Temporary removal of hair. 
    3. Skin theory, skin structure, and composition. 
    4. Client consultation: 
    a. Health conditions; 
    b. Skin analysis; 
    c. Treatments; 
    d. Client expectations; and
    d. Health forms and questionnaires. 
    5. Waxing procedures for brow, lip, facial, legs, arms,  underarm, chest, back, and bikini areas: 
    a. Fundamentals; 
    b. Safety rules; and 
    c. Procedures.
    6. Wax treatments: 
    a. Analysis; 
    b. Disorders and diseases; 
    c. Manipulations; and 
    d. Treatments. 
    7. Salon management: 
    a. Business ethics; and 
    b. Care of equipment.
    18VAC41-20-220. Hours of instruction and performances. 
    A. Curriculum and performance requirements shall be offered  over a minimum of 1,500 clock hours for barbering and cosmetology, and  150 clock hours for nail care, and 115 clock hours for waxing. 
    B. The curriculum requirements for barbering must include the  following minimum performances: 
           |   | Hair and scalp treatments | 10 | 
       |   | Hair styling | 320 | 
       |   | Tinting | 15 | 
       |   | Bleaching and frosting | 10 | 
       |   | Temporary rinses | 10 | 
       |   | Semi-permanent color | 10 | 
       |   | Cold permanent waving or chemical relaxing | 25 | 
       |   | Hair shaping | 50 | 
       |   | Wig care, styling, placing on model | 5 | 
       |   | Finger waving and thermal waving | 30 | 
       |   | FacialsBasic facials and waxings
 | 5 | 
       |   | TOTAL | 490 | 
  
    C. The curriculum requirements for cosmetology must include  the following minimum performances: 
           |   | Hair and scalp treatments | 10 | 
       |   | Hair styling | 320 | 
       |   | Tinting | 15 | 
       |   | Bleaching and frosting | 10 | 
       |   | Temporary rinses | 10 | 
       |   | Semi-permanent color | 10 | 
       |   | Cold permanent waving or chemical relaxing | 25 | 
       |   | Hair shaping | 50 | 
       |   | Wig care, styling, placing on model | 5 | 
       |   | Finger waving and thermal waving | 30 | 
       |   | Manicures/and pedicures | 15 | 
       |   | FacialsBasic facials and waxings
 | 5 | 
       |   | Sculptured nails/, nail tips/, and    wraps | 20 | 
       |   | TOTAL | 525 | 
  
    D. The curriculum requirements for nail care must include the  following minimum performances: 
           |   | Manicures | 30 | 
       |   | Pedicures | 15 | 
       |   | Individual sculptured nails/and nail tips | 200 | 
       |   | Individual removals | 10 | 
       |   | Individual nail wraps | 20 | 
       |   | TOTAL | 275 | 
  
    E. The curriculum requirements for waxing must include the  following minimum performances: 
           |  | Arms | 4 | 
       |  | Back | 2 | 
       |  | Bikini area | 6 | 
       |  | Brows | 12 | 
       |  | Chest | 1 | 
       |  | Facial (i.e., face, chin, and cheek and lip) | 6 | 
       |  | Leg | 3 | 
       |  | Underarm | 2 | 
       |  | TOTAL | 36 | 
  
    18VAC41-20-230. School identification. (Repealed.)
    Each barber, cosmetology, or nail care school approved by  the board shall identify itself to the public as a teaching institution. 
    18VAC41-20-240. Records. 
    A. Schools are required to keep upon  graduation shall maintain on the premises of each school and available  for inspection by the board or any of its agents the following records for the  period of a student's enrollment through five years after the student's  completion of the curriculum, termination, or withdrawal, written  records of hours and performances showing what instruction a student has  received for a period of five years after the student terminates or completes  the curriculum of the school. These records shall be available for inspection  by the department. All records must be kept on the premises of each  school.: 
    1. Enrollment application containing student's signature  and a 2x2 color head and shoulders photograph;
    2. Daily record of attendance containing student's  signature;
    3. Student clock hours containing student's signature and  method of calculation;
    4. Practical performance completion sheets containing  student's signature;
    5. Final transcript; and
    6. All other relevant documents that account for a  student's accrued clock hours and practical applications.
    B. Schools shall produce to the board or any of its agents  within 10 days of the request any document, book, or record concerning any  student, or for which the licensee is required to maintain records, for  inspection and copying by the board or its agents. The board may extend such  time frame upon a showing of extenuating circumstances prohibiting delivery  within such 10-day period.
    C. Schools shall, within 21 days upon receipt of a written  request from a student, provide documentation of hours and performances  completed by the student as required to be maintained by subsection A of this  section.
    D. Prior to a school changing ownership or a school  closing, the school is required to provide to current students documentation of  hours and performances completed.
    E. For a period of one year after a school changes  ownership, the school shall provide, within 21 days upon receipt of a written  request from a student, documentation of hours and performances completed by a  current student.
    18VAC41-20-250. Hours reported Reporting. 
    A. Schools shall provide, in a manner, format, and  frequency prescribed by the board, a roster of all current students and a  roster of students who attended in the preceding six months prior to the  reporting deadline.
    B. Within 30 days of the closing of a licensed  barber school, cosmetology school, or nail care school, for any reason, ceasing  to operate, whether through dissolution or alteration of the business entity,  the school shall provide a written report to the board on performances and  hours of each of its students who have not completed the program. 
    Part VI 
  Standards of Practice 
    18VAC41-20-260. Display of license. 
    A. Each shop owner, salon owner or school owner shall ensure  that all current licenses, certificates or permits issued by the board shall be  displayed in plain view of the public either in the reception area or  at individual work stations of the shop, salon, or school in  plain view of the public. Duplicate licenses, certificates, or  permits shall be posted in a like manner in every shop, salon, or school  location where the regulant provides services. 
    B. Each shop owner, salon owner, or school owner shall  ensure that no employee, licensee, student, or apprentice performs any  service beyond the scope of practice for the applicable license. 
    C. All licensees, certificate holders, and permit  holders shall operate under the name in which the license, certificate, or  permit is issued. 
    D. Unless also licensed as a cosmetologist, a barber is  required to hold a separate nail technician or wax technician license if  he will be performing nail care or waxing manicures or  pedicures or applying artificial nails. 
    E. All apprenticeship cards issued by the Department of Labor  and Industry (DOLI) shall be displayed in plain view of the public either  in the reception area or at individual work stations of the shop or  salon. The apprentice sponsor shall require each apprentice to wear a badge  clearly indicating their status as a DOLI registered apprentice. 
    18VAC41-20-270. Sanitation and safety standards for shops,  salons, and schools. 
    A. Sanitation and safety standards. Any shop, salon, school,  or facility where barber, cosmetology, or nail services or waxing  services are delivered to the public must be clean and sanitary at all  times. Compliance with these rules does not confer compliance with other  requirements set forth by federal, state, and local laws, codes,  ordinances, and regulations as they apply to business operation, physical  construction and maintenance, safety, and public health. Licensees shall take  sufficient measures to prevent the transmission of communicable and infectious  diseases and comply with the sanitation standards identified in this section  and shall insure that all employees likewise comply. 
    B. Disinfection and storage of implements. 
    1. A wet disinfection unit is a container large enough to hold  a disinfectant solution in which the objects to be disinfected are completely  immersed. A wet disinfection unit must have a cover to prevent contamination of  the solution. The solution must be a hospital (grade) and  tuberculocidal disinfectant solution registered with the Environmental  Protection Agency (EPA). Disinfectant solutions shall be used according to  manufacturer's directions. Disinfection is to be carried out in the  following manner: 
    2. Disinfection of multiuse items constructed of hard,  nonporous materials such as metal, glass, or plastic that the manufacturer  designed for use on more than one client, including but not limited to  clippers, scissors, combs, and nippers is to be carried out in the following  manner prior to servicing a client:
    a. Remove hair and all foreign matter from the object,  utilizing a brush if needed. Drill bits are to be soaked in acetone and  scrubbed with a wire brush to remove all foreign matter. 
    b. Wash thoroughly with hot water and soap. 
    c. Rinse thoroughly with clean water and dry thoroughly with a  clean paper towel. 
    d. Fully immerse instruments implements into  solution for a minimum of 10 minutes, and 
    e. After immersion, rinse articles, thoroughly dry with a  clean paper towel, and store in a clean predisinfected and dry cabinet,  drawer, or nonairtight covered container, or leave instruments in an  EPA-registered disinfection/storage solution used according to manufacturer's  directions. 
    3. Single-use items designed by the manufacturer for use on  no more than one client should be discarded immediately after use on each  individual client, including but not limited to powder puffs, lip color, cheek  color, sponges, styptic pencils, or nail care implements. The disinfection and  reuse of these items is not permitted and the use of single-use items on more  than one client is prohibited.
    2. 4. For the purpose of recharging,  rechargeable clippers may be stored in an area other than in a closed cabinet  or container. This area shall be clean and the cutting edges of any clippers  are to be disinfected. 
    3. 5. Electrical clipper blades shall be  disinfected before and after each use. Disinfection is to be carried out in  the following manner: 
    a. Remove all hair and foreign matter; 
    b. Remove blade and all hair and foreign matter under  blade; and 
    c. Completely immerse clipper blade into an EPA-registered  hospital (grade) and tuberculocidal disinfectant solution for not less than 10  minutes. Wipe the entire handle down with the solution. 
    d. If the clipper blade cannot be removed, the use of a  spray or foam used according to the manufacturer's instructions will be  acceptable provided that the disinfectant is an EPA-registered hospital (grade)  and tuberculocidal disinfectant solution, and that the entire handle is also  disinfected by wiping with the disinfectant solution. 
    4. All materials including cosmetic and nail brushes,  sponges, chamois, spatulas and galvanic electrodes must be cleaned with warm  water and soap or detergent to remove all foreign matter. Implements should  then be rinsed, thoroughly dried with a clean paper towel, and completely  immersed in an EPA-registered hospital (grade) and tuberculocidal disinfectant  solution. Such implements shall be soaked for 10 minutes or more, removed,  rinsed, dried thoroughly and stored in a predisinfected and dry drawer, cabinet  or nonairtight covered container, or left in an EPA-registered  disinfection/storage solution used according to manufacturer's directions. 
    5. 6. All wax pots will shall be  cleaned and disinfected with an EPA-registered hospital (grade)  and tuberculocidal disinfectant solution with no sticks left standing in the  wax at any time. The area immediately surrounding the wax pot shall be clean  and free of clutter, waste materials, spills, and any other items which may  pose a hazard.
    6. 7. Each barber, cosmetologist, and  nail technician, and wax technician must have a wet disinfection unit at  his station. 
    7. Nail brushes, nippers, finger bowls, disinfectable or  washable files and buffers and other instruments must be washed in soap and  water (files are to be scrubbed with a brush to remove all foreign matter),  rinsed, thoroughly dried with a clean paper towel, and then completely immersed  in an EPA-registered hospital (grade) and tuberculocidal disinfectant solution  for 10 minutes after each use. After disinfection they must be rinsed, dried  thoroughly with a clean paper towel, and placed in a dry, predisinfected,  nonairtight covered receptacle, cabinet or drawer, or left in an EPA-registered  disinfectant/storage system used according to manufacturer's directions. 
    8. Drill bits are to be soaked in acetone and scrubbed with  a wire brush to remove all foreign matter. All foreign matter must be removed.  The drill bits must then be cleaned with warm water and soap or detergent and  rinsed, dried thoroughly with a clean paper towel, and completely immersed in  an EPA-registered hospital (grade) and tuberculocidal disinfectant solution.  Such implements shall be soaked for 10 minutes or more, removed, rinsed, dried  thoroughly, and stored in a pre-disinfected and dry drawer, cabinet or  nonairtight covered container, or left in an EPA-registered  disinfection/storage solution used according to manufacturer's directions. 
    8. Sinks, bowls, tubs, whirlpool units, air-jetted basins,  pipe-less units, and non-whirlpool basins used in the performance of nail care  shall be maintained in accordance with manufacturer's recommendations. They  shall be cleaned and disinfected immediately after each client in the following  manner:
    a. Drain all water and remove all debris; 
    b. Clean the surfaces and walls with soap or detergent to  remove all visible debris, oils, and product residue and then rinse with water;  
    c. Disinfect by spraying or wiping the surface with an  appropriate disinfectant; and
    d. Wipe dry with a clean towel. 
    C. General sanitation and safety requirements. 
    1. All furniture, walls, floors, and windows shall be clean  and in good repair. Wash basins and shampoo sinks shall be clean Service  chairs, wash basins, shampoo sinks, workstations and workstands, and back bars  shall be clean.
    2. The floor surface in the immediate all work area  areas must be of a washable surface other than carpet. The floor must be  kept clean, and free of hair, nail clippings, dropped  articles, spills and, clutter, trash, electrical cords, other  waste materials, and any other items which may pose a hazard; 
    3. Walls All furniture, fixtures, walls, floors,  windows, and ceilings in the immediate work area must be shall be  clean and in good repair, and free of water seepage and dirt.  Any mats shall be secured or shall lay flat; 
    4. A fully functional bathroom in the same building with a  working toilet and sink must be available for clients shall be  maintained exclusively for client use. There must be hot and cold  running water. Fixtures must be in good condition. The bathroom must be  lighted and sufficiently ventilated. If there is a window, it must have a  screen. There must be antibacterial soap and clean individual single-use  towels or hand air-drying device for the client's use. Laundering of  towels is allowed, space permitting. The bathroom must not be used as a work  area or for the open storage of chemicals; 
    5. General areas for client use must be neat and clean with a  waste receptacle for common trash; 
    6. Electrical cords shall be placed to prevent entanglement by  the client or licensee; and 7. Electrical electrical  outlets shall be covered by plates; 
    7. All sharp tools, implements, and heat-producing  appliances shall be in safe working order at all times, safely stored, and  placed so as to prevent any accidental injury to the client or licensee; 
    8. The salon area shall be sufficiently ventilated to exhaust  hazardous or objectionable airborne chemicals, and to allow the free flow of  air; and
    9. Adequate lighting shall be provided. 
    D. Equipment sanitation. 
    1. Service chairs, wash basins, shampoo sinks and  workstations shall be clean. Floors shall be kept free of hair, nail product,  and other waste materials. Combs, brushes, towels, razors, clippers, scissors,  nippers, and other instruments shall be cleaned and sanitized after every use  and stored free from contamination. 
    2. The top of workstands or back bars shall be kept clean; 
    3. The work area shall be free of clutter, trash, and any  other items that may cause a hazard; 
    4. Heat-producing appliances and equipment shall be placed  so as to prevent any accidental injury to the client or licensee; and 
    5. Electrical appliances and equipment shall be in safe  working order at all times. 
    E. D. Articles, tools, and products. 
    1. Clean towels and, robes, or other linens  shall be used for each patron. Clean towels, robes, or other linens shall be  stored in a clean predisinfected and dry cabinet, drawer, or nonairtight  covered container. Soiled towels and, robes, or smocks  other linens shall be stored in an enclosed a container enclosed  on all sides including the top, except if the towels are stored  in a separate laundry rooms. room;
    2. Whenever a haircloth is used, a clean towel or neck strip  shall be placed around the neck of the patron to prevent the haircloth from  touching the skin.;
    3. Scissors, razors, clippers, nippers, and all sharp-edged  cutting instruments shall be sanitized after each use with a disinfectant in  accordance with the manufacturer's instructions. 
    4. Hair brushes and combs shall be washed in soap and hot  water and sanitized after each use. Cleaned instruments, such as combs, hair  brushes, shears, towels, etc., shall be kept free from contamination. 
    5. No alum or other astringent shall be used in stick form.  Liquid or powder astringent must be used. 
    6. Permanent wave rods shall be rinsed after each use. End  papers shall not be reused and shall be destroyed after each use. 
    7. 3. Soiled implements must be removed from the  tops of work stations immediately after use; 
    8. Clean spatulas, other clean tools, or clean disposable  gloves shall be used to remove bulk substances from containers; 
    9. Powder puffs, lip color, cheek color, sponges, or  styptic pencils that cannot be sanitized or sterilized are prohibited from  being used on more than one client; 
    10. 4. Lotions, ointments, creams, and powders  shall be kept in closed containers. A clean spatula, other clean tools, or  clean disposable gloves shall be used to remove bulk substances such as  creams or ointments from jars. Sterile cotton or sponges shall be used  to apply creams, lotions, and powders. Cosmetic containers shall be recovered  covered after each use; 
    11. 5. For nail care, if a sanitary  container shall be is provided to each for a client.  Emery boards shall be discarded after use on each individual client, the  sanitary container shall be labeled and implements shall be used solely for  that specific client. Disinfection shall be carried out in accordance with  subdivisions B 1 and B 2 of this section;
    12. All sharp tools, implements, and heat-producing  appliances shall be safely stored; 
    13. Pre-sanitized tools and implements, linens and  equipment shall be stored for use in a sanitary enclosed cabinet or covered  receptacle; 
    14. Soiled towels, linens and implements shall be deposited  in a container made of cleanable materials and separate from those that are  clean or pre-sanitized; 
    15. 6. No substance other than a sterile styptic  powder or sterile liquid astringent approved for homeostasis and applied with a  sterile single-use applicator shall be used to check bleeding; and 
    16. 7. Any disposable material making contact  with blood or other body fluid shall be disposed of in a sealed plastic bag and  removed from the shop, salon, school, or facility in accordance with the  guidelines of the Department of Health. 
    F. E. Chemical storage and emergency  information. 
    1. Shops, salons, schools, and facilities shall have in  the immediate working area a binder with all Material Safety Data Sheets (MSDS)  provided by manufacturers for any chemical products used; 
    2. Shop, salons, schools, and facilities shall have a  blood spill clean-up kit in the work area that contains at minimum latex  gloves, two 12x12 towels, one disposable trash bag, bleach, one empty spray  bottle, and one mask with face shield or any Occupational Safety and Health  Administration (OSHA) approved blood spill clean-up kit; 
    3. Flammable chemicals shall be stored in a nonflammable  storage cabinet or a properly ventilated room; and 
    4. Chemicals that could interact in a hazardous manner  (oxidizers, catalysts and solvents) shall be separated in storage. 
    G. F. Client  health guidelines. 
    1. All employees providing client services shall cleanse their  hands with an antibacterial product prior to providing services to each client.  Licensees shall require that clients for nail care services shall cleanse their  hands immediately prior to the requested nail care service; 
    2. An artificial nail shall only be applied to a healthy  natural nail; 
    3. A nail drill or motorized instrument shall be used only on  the free edge of the nail; 
    4. No shop, salon, school, or facility providing  cosmetology or nail care services shall have on the premises cosmetic products  containing hazardous substances that have been banned by the U.S. Food and Drug  Administration (FDA) for use in cosmetic products. 
    5. No product shall be used in a manner that is disapproved by  the FDA; and 
    6. All regulated services must be performed in a facility that  is in compliance with current local building and zoning codes. 
    H. G. In addition to any requirements set forth  in this section, all licensees and temporary permit holders shall adhere to  regulations and guidelines established by the Virginia Department of Health and  the Occupational Safety and Health Compliance Division of the Virginia  Department of Labor and Industry. 
    I. H. All shops, salons, schools, and  facilities shall immediately report the results of any inspection of the shop,  salon, or school by the Virginia Department of Health as required by § 54.1-705  of the Code of Virginia. 
    J. I. All shops, salons, schools, and  facilities shall maintain a self-inspection form on file to be updated on an  annual basis, and kept for five years, so that it may be requested and reviewed  by the board at its discretion. 
    18VAC41-20-280. Grounds for license revocation or suspension;  denial of application, renewal or reinstatement; or imposition of a monetary  penalty. 
    A. The board may, in considering the totality of the  circumstances, fine any licensee, certificate holder, or permit holder; suspend  or revoke or refuse to renew or reinstate any license, certificate, or permit;  or deny any application issued under the provisions of Chapter 7 (§ 54.1-700 et  seq.) of Title 54.1 of the Code of Virginia and the regulations of the board  this chapter if the board it finds that the licensee,  certificate holder, permit holder, or applicant: 
    1. The licensee, certificate holder, permit holder or  applicant is Is incompetent, or negligent in practice, or incapable  mentally or physically, as those terms are generally understood in the  profession, to practice as a barber, cosmetologist, or nail technician,  or wax technician, or to operate a barbershop, cosmetology salon, nail salon,  or waxing salon; 
    2. The licensee, certificate holder, permit holder or  applicant is Is convicted of fraud or deceit in the practice or  teaching of barbering, cosmetology, or nail care, or waxing or fails  to teach the curriculum as provided for in this chapter; 
    3. The licensee, certificate holder, permit holder or  applicant attempted Attempts to obtain, obtained, renewed or  reinstated a license, certificate, or permit temporary license by  false or fraudulent representation; 
    4. The licensee, certificate holder, permit holder or  applicant violates Violates or induces others to violate, or  cooperates with others in violating, any of the provisions of these  regulations this chapter or Chapter 7 (§ 54.1-700 et seq.) of Title  54.1 of the Code of Virginia or any local ordinance or regulation governing  standards of health and sanitation of the establishment in which any barber,  cosmetologist, or nail technician, or wax technician may practice  or offer to practice;
    5. Offers, gives, or promises anything of value or benefit  to any federal, state, or local employee for the purpose of influencing that  employee to circumvent, in the performance of his duties, any federal, state,  or local law, regulation, or ordinance governing barbering, cosmetology, nail  care, or waxing as defined in § 54.1-700 of the Code of Virginia;
    6. Fails to respond to the board or any of its agents or  provides false, misleading, or incomplete information to an inquiry by the  board or any of its agents;
    7. Fails or refuses to allow the board or any of its agents  to inspect during reasonable hours any licensed shop, salon, or school for  compliance with provisions of Chapter 7 (§ 54.1-700 et seq.) or this chapter;
    5. The licensee, certificate holder, permit holder or  applicant fails 8. Fails to produce, upon request or demand of the  board or any of its agents, any document, book, record, or copy thereof in a  licensee's or owner's possession or maintained in accordance with these  regulations; 
    6. A licensee, certificate holder, or permit holder fails  9. Fails to notify the board of a change of name or address in writing  within 30 days of the change for each and every license, certificate, or permit.  The board shall not be responsible for the licensee's, certificate holder's, or  permit holder's failure to receive notices, communications and correspondence  caused by the licensee's, certificate holder's, or permit holder's failure to  promptly notify the board in writing of any change of name or address or for  any other reason beyond the control of the board; 
    7. The licensee, certificate holder, permit holder or  applicant publishes  10. Makes any misrepresentation or publishes  or causes to be published any advertisement that is false, deceptive, or  misleading; 
    8. The licensee, certificate holder, permit holder or  applicant fails 11. Fails to notify the board in writing within 30  days of the suspension, revocation, or surrender of a license, certificate, or  permit in connection with a disciplinary action in any other jurisdiction or of  any license, certificate, or permit that has been the subject of disciplinary  action in any other jurisdiction; or 
    9. In accordance with § 54.1-204 of the Code of Virginia,  the licensee, certificate holder, permit holder or applicant has been convicted  in any jurisdiction of a misdemeanor or felony that directly relates to the  profession of barbering, cosmetology, or nail care. The board shall have the  authority to determine, based upon all the information available, including the  applicant's record of prior convictions, if the applicant is unfit or unsuited  to engage in the profession of barbering, cosmetology, or nail care. The board  will decide each case by taking into account the totality of the circumstances.  Any plea of nolo contendere shall be considered a conviction for the purposes  of this section. The applicant shall provide a certified copy of a final order,  decree or case decision by a court or regulatory agency with the lawful  authority to issue such order, decree or case decision, and such copy shall be  admissible as prima facie evidence of such conviction. This record shall be  forwarded by the applicant to the board within 10 days after all appeal rights  have expired. 
    12. Has been convicted or found guilty, regardless of the  manner of adjudication in Virginia or any other jurisdiction of the United  States, of a misdemeanor involving moral turpitude, sexual offense, drug  distribution, or physical injury or any felony, there being no appeal pending  therefrom or the time for appeal having elapsed. Review of convictions shall be  subject to the requirements of § 54.1-204 of the Code of Virginia. Any  plea of nolo contendere shall be considered a conviction for purposes of this  subdivision. The record of a conviction certified or authenticated in such form  as to be admissible in evidence under the laws of the jurisdiction where  convicted shall be admissible as prima facie evidence of such conviction or  guilt;
    13. Fails to inform the board in writing within 30 days of  pleading guilty or nolo contendere or being convicted or found guilty  regardless of adjudication of any convictions as stated in subdivision 12 of  this section;
    14. Allows, as an owner or operator of a shop, salon, or  school, a person who has not obtained a license or a temporary permit to  practice as a barber, cosmetologist, nail technician, or wax technician unless  the person is duly enrolled as a registered apprentice;
    15. Allows, as an owner or operator of a school, a person  who has not obtained an instructor certificate or a temporary permit to  practice as a barber, cosmetologist, nail technician, or wax technician  instructor;
    16. Fails to take sufficient measures to prevent  transmission of communicable or infectious diseases or fails to comply with  sanitary requirements provided for in this chapter or any local, state, or  federal law or regulation governing the standards of health and sanitation for  the practices of barbering, cosmetology, nail care, or waxing, or the operation  of barbershops, cosmetology salons, nail salons, or waxing salons; or
    17. Fails to comply with all procedures established by the  board and the testing service with regard to conduct at the examination.
    B. The board may, in considering the totality of the  circumstances, revoke, suspend or refuse to renew or reinstate the license of  any school or impose a fine as permitted by law, or both, if the board finds  that: 
    1. An instructor of the approved school fails to teach the  curriculum as provided for in these regulations; 
    2. The owner or director of the approved school permits or  allows a person to teach in the school without a current instructor  certificate; or 
    3. The instructor, owner or director is guilty of fraud or  deceit in the teaching of barbering, cosmetology or nail care. 
    C. The board may, in considering the totality of the  circumstances, revoke, suspend or refuse to renew or reinstate the license of  any barbershop, cosmetology or nail salon or impose a fine as permitted by law,  or both, if the board finds that:
    1. The owner or operator of the shop or salon fails to  comply with the sanitary requirements of barbershops or cosmetology or nail  salons provided for in these regulations or in any local ordinances; or 
    2. The owner or operator allows a person who has not  obtained a license or a temporary permit to practice as a barber,  cosmetologist, or nail technician unless the person is duly enrolled as a  registered apprentice. 
    D. The board may, in considering the totality of the  circumstances, revoke, suspend or refuse to renew or reinstate the license of  any licensee or impose a fine as permitted by law, or both, if the board finds  that the licensee fails to take sufficient measures to prevent transmission of  communicable or infectious diseases or fails to comply with any local, state or  federal law or regulation governing the standards of health and sanitation for  the practices of barbering, cosmetology, or nail care. 
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS  (18VAC41-20) 
    Barber  – Barber Instructor Examination & Instructor Application, A425-1301_02EXLIC  (eff. 9/11)
    Cosmetology  – Cosmetology Instructor Examination & License Application,  A425-1201_04EXLIC (eff. 9/11)
    Nail  Technician – Nail Technician Instructor Examination & License Application,  A425-1206_07EXLIC (eff. 9/11)
    Temporary  Permit Application, A425-1213TP (eff. 9/11)
    License  by Endorsement Application, A425-1213END (rev. 2/14)
    Barber - Barber  Instructor Examination & License Application, A450-1301_02EXLIC-v12 (rev.  7/2016)
    Cosmetology -  Cosmetology Instructor Examination & License Application,  A450-1201_04EXLIC-v15 (rev. 7/2016)
    Nail Technician  - Nail Technician Instructor Examination & License Application,  A450-1206_07EXLIC-v13 (rev. 7/2016)
    Wax Technician -  Wax Technician Instructor Examination & License Application, A450-1214_15EXLIC-v12  (rev. 7/2016)
    Temporary Permit  Application, A450-1213TEMP-v2 (rev. 7/2016)
    License by  Endorsement Application, A450-1213END-v8 (rev. 7/2016)
    Training & Experience Verification Form, A425-1213TREXP (eff. 9/11)
    Reinstatement  Application, A425-1213REI (rev. 2/14)
    Salon,  Shop, Spa & Parlor License Application A425-1213BUS (rev. 2/14)
    Individuals -  Reinstatement Application, A450-1213REI-v8 (rev. 7/2016)
    Salon, Shop, Spa  & Parlor License/Reinstatement Application A450-1213BUS-v8 (rev. 7/2016)
    Salon, Shop & Spa Self Inspection Form, A425-1213_SSS_INSP (eff.  9/11)
    Instructor  Certification Application, A425-1213INST (rev. 2/14)
    School  License Application, A425-1213SCH (rev. 2/14)
    Instructor  Certification Application, A450-1213INST-v7 (rev. 7/2016)
    Student  Instructor - Temporary Permit Application A450-1213ST_TEMP-v2 (rev. 7/2016)
    School License  Application, A450-1213SCHL-v8 (rev. 7/2016)
    School Self Inspection Form, A425-1213SCH_INSP (eff. 9/11)
    Licensure Fee Notice, A425-1213FEE (rev. 2/14)
    Change of  Responsible Management Application, A450-1213CRM-v1 (rev. 7/2016)
    VA.R. Doc. No. R12-3107; Filed September 25, 2015, 9:23 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR BARBERS AND COSMETOLOGY
Proposed Regulation
    Titles of Regulations: 18VAC41-20. Barbering and  Cosmetology Regulations (amending 18VAC41-20-10, 18VAC41-20-20,  18VAC41-20-30, 18VAC41-20-50, 18VAC41-20-60, 18VAC41-20-80, 18VAC41-20-90  through 18VAC41-20-140, 18VAC41-20-160, 18VAC41-20-180, 18VAC41-20-200,  18VAC41-20-210, 18VAC41-20-220, 18VAC41-20-240 through 18VAC41-20-280;  repealing 18VAC41-20-190, 18VAC41-20-230).
    18VAC41-40. Wax Technician Regulations (repealing 18VAC41-40-10 through 18VAC41-40-260). 
    Statutory Authority: § 54.1-201 of the Code of Virginia.
    Public Hearing Information:
    December 16, 2015 - 1 p.m. - Department of Professional and  Occupational Regulation, 9960 Mayland Drive, Suite 200, Board Room 1, Richmond,  Virginia 23233.
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Demetrios J. Melis, Executive Director,  Board for Barbers and Cosmetology, Department of Professional and Occupational  Regulation, 9960 Mayland Drive, Suite 400, Richmond, VA 23233, telephone (804)  367-8590, FAX (804) 527-4295, or email barbercosmo@dpor.virginia.gov.
    Basis: Section 54.1-201 of the Code of Virginia gives  authority to the board to promulgate regulations. It states, in part, that the  board has the power and duty "To promulgate regulations in accordance with  the Administrative Process Act (§ 2.2-4000 et seq.) necessary to assure  continued competency, to prevent deceptive or misleading practices by practitioners  and to effectively administer the regulatory system administered by the  regulatory board."
    Purpose: The board seeks to amend its current  regulations to ensure they are as least intrusive and burdensome as possible,  in order to assist in providing an environment without unnecessary regulatory  obstacles while still protecting the health, safety, and welfare of the public.  Additionally, the board seeks to ensure regulations are clearly written and  easily understandable and are representative of the current advancements and  standards of the industries. Furthermore, the board seeks to strengthen some of  its reporting requirements and prohibited acts to address areas of  vulnerabilities for the perpetration of fraud by applicants and regulants.
    Substance: Throughout the regulations, all pertinent  sections have been updated to incorporate the board's Wax Technician  Regulations, 18VAC41-40, into the board's regulations. As such, 18VAC41-40 is  being repealed.
    Following are the proposed amendments:
    18VAC41-20-10. Add new definitions of "business  entity," "firm," "responsible management," "sole  proprietor," and "post-secondary education level" to clarify  terms used in the regulation. 
    18VAC41-20-20. Require applicants to disclose all felony  convictions during their lifetime and certain misdemeanors within the last  three years and add that the board may deny licensure to any applicant having  prior disciplinary violations for which the board deems the applicant unfit to  engage in the profession.
    18VAC41-20-60. Add requirements that if an applicant does not  apply for licensure within five years of passing both exams, he must reapply,  and that the board will only retain examination records for nonapplicants for a  maximum of five years.
    18VAC41-20-90. Add that the board may deny licensure to any  applicant having prior disciplinary violations for which the board deems the  applicant unfit to engage in the profession. 
    18VAC41-20-100. Require applicants to (i) hold a current  license in the field in which they wish to become an instructor and (ii)  disclose all felony convictions during their lifetime, certain misdemeanors  within the last three years, and any prior discipline by a licensing entity and  allow for application denial where the board deems the applicant unfit or unsuited  to engage in the profession.
    18VAC41-20-110. Provide that student instructor temporary  permits shall only be issued once and shall not be issued where grounds may  exist to deny a permit due to prior criminal convictions or disciplinary  action.
    18VAC41-20-120. (i) Add the requirement that a shop or salon  applicant's license be in good standing and require applicants and all members  of responsible management to disclose all felony convictions during their  lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity; (ii) add that the board may deny licensure to  any applicant having prior disciplinary violations for which the board deems  the applicant unfit to engage in the profession; (iii) require disclosure of  the applicant's physical address, the firm's responsible management, and  certification that the applicant has read applicable laws and regulations; (iv)  add the requirement that voided licenses be returned to the board within 30  days and set forth what events void a license; (v) require any change in  responsible management be reported to the board within 30 days of the change;  and (v) allow the board to inspect a shop or salon during reasonable hours and  define reasonable hours.
    18VAC41-20-130. (i) Add the requirement that the school  applicant's license be in good standing and require applicants and all members  of responsible management to disclose all felony convictions during their  lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity; (ii) add that the board may deny licensure to  any applicant having prior disciplinary violations for which the board deems  the applicant unfit to engage in the profession; (iii) require disclosure of  the applicant's physical address, the firm's responsible management, and  certification that the applicant has read applicable laws and regulations; (iv)  add the requirement that voided licenses be returned to the board within 30  days and set forth what events void a license; (v) require any change in  responsible management be reported to the board within 30 days of the change;  (vi) exempt schools under the Virginia Department of Education; and (vii) allow  the board to inspect a school during reasonable hours and define reasonable  hours.
    18VAC41-20-160. Clarify and simplify the requirement that all  licenses shall expire two years from the last day of the month in which issued.
    18VAC41-20-180. Add salons and shops to reinstatement  requirements.
    18VAC41-20-190. Move the requirements of 18VAC41-20-190 to  18VAC41-20-130.
    18VAC41-20-200. Add the requirement that schools either own or  possess the necessary equipment and implements to teach the respective  curriculum and require proof of access to equipment when the schools do not own  the equipment. 
    18VAC41-20-210. Add curriculum requirements for nail schools  and waxing schools. 
    18VAC41-20-230. Repeal this section, which is already contained  within 18VAC41-20-130. 
    18VAC41-20-240. Require schools provide certain documentation  to the board within specified time periods.
    18VAC41-20-250. Require that schools provide student rosters to  the board twice a year at specified intervals. 
    18VAC41-20-270. (i) Clarify the disinfection process and add  that scissors must be disinfected between clients; (ii) add language about  disinfecting tubs and bowls used for nail care, upkeep of the immediate area  around wax pots, and requiring client bathrooms; (iii) add regulations  regarding sanitary storage of soiled and clean linens, sanitary containers, labeling,  and disinfectant for nail care; and (iv) specify what should be included in the  blood spill cleanup kit.
    18VAC41-20-280. (i) Provide grounds for discipline for failing  to teach the approved curriculum, committing bribery, failing to respond or  providing false or misleading information to the board or its agents, and  refusing to allow inspection of any shop, salon, or school; (ii) clarify and  refine grounds for discipline for certain criminal convictions and failing to  report convictions within a certain time period; (iii) provide grounds for  discipline for allowing unlicensed activity, failing to take sufficient  measures to prevent transmission of communicable disease, and failing to comply  with all procedures with regard to conduct at the examination.
    Issues: The primary advantage of the proposed amendments  to the public is the board will continue to approve applicants and license  professionals for which it has safeguards to ensure proper competency and  standards of conduct. The addition of prohibited acts will reduce fraud and  better ensure the regulant population is minimally competent. The clarification  of requirements regarding sanitation and health safety will ensure that the  health, safety, and welfare of the public are better served. Further, regulants  and applicants within these professions will be able to read board requirements  with greater clarity and understanding. The added clarity of the language in  the proposed regulations will facilitate a quicker and more efficient process  for applicants and regulants by enhancing their understanding of their  individual requirements. Further, consumers in the public, as well as  regulators from related agencies, will have a better understanding of board  requirements, which will also allow them to conduct their business with greater  efficiency. 
    The primary advantage to the Commonwealth will be the continued  successful regulation of barbers, cosmetologists, nail technicians, and wax  technicians who meet the minimum entry standards. The proposed amendments strengthen  the department's ability to investigate and discipline regulants who disregard  the health, safety, and welfare of the public. No disadvantage has been  identified.
    The incorporation of the previously adopted wax technician  regulations will further simplify and enhance the regulated community's efforts  to locate pertinent regulations. The clarification of the proposed language  will facilitate greater understanding of board requirements for all involved.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. As a result  of a periodic review, the Board for Barbers and Cosmetology (Board) proposes to  make many substantive and clarifying changes to its regulations. Specifically,  the Board proposes to:
    1) Add a definition for responsible management and specify that  responsible management must be in good standing if already licensed in Virginia  or any other political jurisdiction and must provide a physical address (rather  than a post office box) to the Board,
    2) Change criminal background reporting requirements,
    3) Require that individuals apply for licensure within five  years of taking their licensure exam,
    4) Allow the Board to decline to issue licenses, temporary  permits and temporary instructor permits if grounds exist that would allow the  Board to deny licensure (criminal activity, disciplinary action from this Board  or any other, etc.),
    5) Require that voided licenses be returned to the Board within  30 days of them being voided,
    6) Require schools that are licensed by the Board have copies  of any agreements that allow them to use necessary equipment that is owned by  another entity,
    7) Require schools licensed by the Board to periodically  provide student rosters,
    8) Require a 2x2 headshot of students attending any school  licensed by the Board be attached to their student record files, and
    9) Require all shops, salons and schools licensed by the Board  to have a bathroom with hot and cold running water in their facility.
    Result of Analysis. Benefits likely exceed costs for some  proposed regulatory changes; for some changes, there is insufficient  information to ascertain whether benefits will outweigh costs. One proposed  change as written is far more expensive than it need be. Costs likely outweigh  benefits for at least one proposed change.
    Estimated Economic Impact. Current regulations are not written  so that the Board receives information about criminal convictions or past Board  disciplinary actions for individuals whose businesses are licensed as limited  liability corporations (LLCs). This means that owners of a licensed business  that is disciplined and loses its license can incorporate a new business and  apply for a license and the Board would not know about past disciplinary  actions against, essentially, the same entity. Because of situations such as  this, the Board now proposes to add a definition for responsible management to  include owners and officers of LLCs and also proposes to require that such  entities be in good standing with this Board as well as any others where they  might be licensed. This action will allow the Board to track owners of licensed  businesses and deny licensure to businesses that have been disciplined and have  lost their licenses in the past. This change is likely to benefit the public as  it will keep businesses that have been disciplined in the past from opening up  under a new name but likely with the same unsafe or unethical practices that  lost them their license in the first place. 
    Current regulations require that applicants for licensure  disclose, and provide corroborating paperwork, to the Board for all misdemeanor  and felony convictions. Board staff reports, however, that most misdemeanor  convictions would normally not be considered grounds for denial of licensure. This  means that currently applicants for licensure are spending time and money to  gather paperwork from whatever jurisdictions they need to, including  jurisdictions very far away from Virginia, and that the Board is spending time  unnecessarily looking at paperwork for legal infractions that have no bearing  on whether the applicant is likely to provide safe and ethical services to  their clients. To address these issues, the Board now proposes to limit the  scope of convictions that applicants must report to misdemeanors involving  moral turpitude that occur within three years of application for licensure and  all felony convictions regardless of when they occurred. Affected applicants  for licensure will benefit from this as they will not have to incur expenses for  gathering paperwork associated with older misdemeanors or misdemeanors that do  not involve moral turpitude, which may only be available if they physically go  to the courthouses where convictions occurred. The Board will also benefit from  not being inundated with paperwork that is unlikely to affect the licensing  decisions they make.
    Currently, individuals may apply for licensure any time after  they complete training requirements and pass the licensure exam without time  limits. The Board feels that practical methodology in fields licensed by the  Board change enough over time that individuals who passed their licensure exam  a long time before they actually apply for licensure may no longer be competent  to practice. As a consequence, the Board proposes to specify that individuals  must apply for licensure no longer than five years after they take the  licensure exam. Any individuals applying for licensure past that timeframe will  have to pay to take the licensure exam again (currently this costs $155). The  benefits of this change will only outweigh the costs if changes within fields  licensed by the Board are significant enough to render individuals incompetent  to practice without refreshing their knowledge and retaking the exam. There is  insufficient information to ascertain whether this would be the case.
    Board staff reports that currently the Board requires  applicants for licensure to disclose past crimes and disciplinary actions but  that current regulations do not allow the Board to deny licensure because of the  information disclosed. The Board now proposes to add language to these  regulations that will allow the Board to deny the issuance of licenses,  temporary permits and temporary instructor permits if they believe that any  information disclosed to the Board would deem the applicant unfit or unsuited  to practice in fields that are licensed by the Board. This change will likely  benefit the public as it will allow the Board to decline to license individuals  that have, for instance, a past history of injury to clients in other  jurisdictions.
    Current regulations require that the Board be notified within  30 days if a Board issued business license is voided for any reason (the  business has been sold, responsible management has changed, etc.) and also  require that the voided license be returned to the Board but does not specify  when. Because the Board is concerned that holders of these licenses will pass  them to other entities that might fraudulently set up shop with them, the Board  now proposes to require that voided licenses be returned to the Board within 30  days of the change that voided them. To the extent that it is complied with,  this change will greatly benefit the public as it will stop the offering of  services that would be performed fraudulently under a license that does not  belong to the individual(s) offering those services. 
    The Board proposes several other regulatory changes to prevent  possible fraudulent activity at licensed schools. Specifically the Board  proposes to require schools that do not own equipment necessary for teaching to  have copies of agreements that allow them to access equipment owned by other  entities for their students to use; schools will also be required to  periodically provide the Board with student rosters. These changes will allow Board  staff to verify that students will have access to the equipment needed to learn  Board required skills and that schools are not making up student files only  when they are inspected by the Board. Board staff reports that these changes  will likely cost less than $25 per year in compliance costs. These costs are  likely outweighed by the benefits that will likely accrue to students who will  be more likely to be guaranteed to have access to equipment necessary for their  education.
    The Board also proposes to require that student files include a  2x2 head and shoulder photo of the student. Board staff reports that this will  be required to combat rampant testing fraud and will allow the identity of  students taking licensure exams to be verified. While this change is likely to  benefit the public, because fewer individuals would presumably be licensed  without actually passing the licensure exam, the cost of compliance for this  requirement as written will likely be far higher than it needs to be. 2x2  (passport size) photos cost between $8 and $121  whereas larger, more conventionally sized photos, are far cheaper. A 4x6 photo  print, for instance, can be printed for as little as $0.09 at Walmart.  Compliance costs for this requirement could be very easily significantly reduced  if the Board changed the proposed language to require a photo that was at least  2x2 rather than exactly 2x2. 
    Finally, current regulations require that licensed shops,  salons and schools have a fully functional bathroom in the same building with a  working toilet and sink. Some enforcement agents have allowed salons in malls  to count the mall bathrooms as meeting this requirement and some enforcement  agents have said that mall bathrooms do not meet this requirement. Board staff  reports that the Board is concerned that allowing mall bathrooms to meet  regulatory requirements will have a client wandering far afield of licensed  facilities possibly in the middle of chemical hair treatments of various kinds.  Board staff reports that the Board feels it would be safer for clients if  salons are required to have bathrooms within their shops. The Board now  proposes to add language to these regulations that requires licensed facilities  have bathrooms that are maintained exclusively for client use. Board staff estimates  that there are approximately 15 to 30 licensed shops that are located in malls  and do not have bathroom facilities within the confines of their shops that  would have to either move or build a bathroom in order to comply with this  proposed regulatory change. Board staff further estimates that building a  bathroom in shops that do not have them can cost between $2,000 and $10,000.  Given the high cost of requiring shops to meet a stricter standard than is  sometimes allowed now, costs for this proposed change likely outweigh the  benefits of increased convenience for clients and possibly avoiding chemical  burns if clients go to use the mall bathroom and stay away longer than they  should or longer than is advised.
    Businesses and Entities Affected. The Department of  Professional and Occupational Regulation (DPOR) reports that the Board  currently licenses 58,421 individuals and 7,349 shops and schools in the  Commonwealth. All of these entities, as well as future licensees, will be  affected by these proposed changes. Most, if not all, shops and schools would  likely qualify as small businesses. 
    Localities Particularly Affected. No locality will be  particularly affected by this proposed regulatory action. 
    Projected Impact on Employment. A new proposed requirement that  individuals apply for licensure within five years of taking their licensure  exam may increase costs for these individuals (as they would have to study for  and retake their exam) and may slightly decrease the probability of them  becoming licensed and working in fields licensed by the Board. Board staff  believes from anecdotal evidence that such a situation would be extremely rare.
    Effects on the Use and Value of Private Property. Proposed  changes such as requiring in-shop client bathrooms where shops currently are  allowed to be in regulatory compliance by being in a large facility (such as a  mall) that has bathroom accommodations are likely to greatly increase costs,  and lower profits, for affected shops
    Small Businesses: Costs and Other Effects. Proposed  requirements that impact bathroom facilities will likely increase costs for  affected small businesses. Several proposed requirements, such as having to  periodically provide student rosters and have 2x2 headshots attached to student  files, are likely to increase costs either for schools or for both schools and  their students. 
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The Board would likely be able to decrease costs for regulated entities  by allowing photos that were larger than 2x2 for student files. The Board also  may wish to revisit proposed bathroom requirements. 
    Real Estate Development Costs. Proposed changes such as  requiring in-shop client bathrooms where shops currently are allowed to be in  regulatory compliance by being in a larger facility (such as a mall) that has  bathroom accommodations are likely to increase the cost of building new malls  that will have barber shops or salons as tenants.
    Legal Mandate. 
    General: 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 Code of Virginia and Executive Order Number 14 (2010).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such economic  impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for publication.  This analysis shall represent DPB's best estimate for the purposes of public  review and comment on the proposed regulation. 
    _________________________________________________
    1 An internet search revealed prices for passport photos  ranging from $7.99 at Walmart to $11.99 at CVS. 
    Agency's Response to Economic Impact Analysis: The board  concurs with the analysis for #1, 2, and 4 through 7 in the Summary of Proposed  Amendments to Regulations. The board respectfully disagrees with #3, 8, and 9.
    Summary of Proposed Amendments to Regulations
    1. Summary Item #3: The proposed regulations would require that  an applicant who does not apply for licensure within five years of passing the  exam must retake the exam to be eligible for licensure. 
    Economic Impact Analysis (EIA) position: "The benefits of  this change will only outweigh the costs if changes within fields licensed by  the Board are significant enough to render individuals incompetent to practice  without refreshing their knowledge and retaking the exam."
    Agency Response: There are several fundamental reasons for  implementing this change in the regulations, not just the single issue raised  by the EIA. For someone who applies for their license more than five years  after taking the exam, the full scope of problems includes:
    • The board cannot know whether they still possess the  knowledge or skill to competently practice,
    • The board does not have access to testing records older than  five years to confirm the applicant truly passed the exam, and
    • Changes in the industry may have made the applicant's  knowledge obsolete.
    The EIA fails to take into consideration the broader range of  issues in its analysis. Without adding this requirement, the board will face  the dilemma of having to license individuals who may not be minimally  competent, as well as experience increased costs for maintaining exam records  in perpetuity.
    Explanation: The board is statutorily required to establish the  qualifications of applicants for licensure. The board utilizes written and  practical examinations to establish that applicants possess the competence to  engage in the profession.
    There are several issues that affect competence when an  applicant has not been engaged with the profession for many years. The EIA  correctly identifies that changes in the industry may render an applicant's  knowledge obsolete. However, the EIA fails to account for the other, more  significant reason, which is that individuals who have not been engaged in the  profession for five years are likely to have forgotten much of the knowledge  and skill for engaging in the practice. The board has no way of knowing whether  an individual who has not been engaged in the practice for six, 10, or 20 years  still has the practical skill or information base to practice safely. Since the  board regulates professions which cut, use chemicals, and work closely on  peoples bodies, it is particularly important that the board meet its statutory  obligation to ensure it licenses minimally competent individuals. The board  believes that it cannot accurately assess if an individual possesses the skill  and knowledge qualifications for licensure if those skills and knowledge have  not been measured in the previous five years.
    Further, the EIA does not identify that the proposed  regulations add the requirement that records of examinations only be kept for  five years. Currently, while the regulations allow an applicant to apply any  time after they have taken the exam, the board's examination vendor only  maintains exam records for five years. This discrepancy means that the board  has no way to verify that an applicant claiming to have passed the exam more  than five years ago has truly done so. To resolve this conflict without  changing the regulation, the board will have to either require the exam vendor  to maintain records in perpetuity or start maintaining these records itself.  Either of these options will increase costs to the board, which in turn, will  impact licensing fees. As such, the board believes that the five-year  recordkeeping will result in maintaining a lower cost for licensure.
    2. Summary Item #8: The proposed regulations would require a 2x2  head and shoulder picture of the students attending any school licensed by the  board be attached to their student record files. 
    EIA Position: "[T]he cost of compliance for this  requirement as written will likely be far higher than it needs to be. 2x2  (passport size) photos cost between $8 and $12, whereas larger, conventionally  sized photos, are far cheaper."
    Agency Response: The proposed regulation does not specify  passport photos, and can be met by any type of photo, as long as the head and  shoulder portion are 2x2. The EIA assumes that the cost of this requirement  will be the cost of acquiring passport photos. However, the EIA's assumptions  fail to take into account that:
    • This requirement is for the schools, not the students, 
    • The regulation does not require passport photos, and
    • Students are already required to provide this 2x2 photo  during the application process. 
    The EIA's incorrect assumption that only a passport photo would  meet this requirement leads to a fundamental flaw in its analysis. Compliance  costs would only be in the $8 to $12 range if the school did not provide this  service and if the student chose to utilize passport photos in addition to the  photos already required during the application process. Further, the proposed  regulation would provide the board with an important tool to combat rampant  fraud in the prelicensure process.
    Explanation: The board is authorized to establish the qualifications  of licensure and to promulgate regulations necessary to effectively administer  the regulatory system. The authority currently in 18VAC41-20-20 of the board's  regulations already requires that in order to be eligible to sit for  examination, a student must have completed a board-approved training program.
    The language contained in proposed 18VAC41-20-240 A, requiring  schools maintain a 2x2 color head and shoulder photo, is a necessary piece of  fraud detection for the board to corroborate that the individual sitting for  the exam is, in fact, the student who completed the training program. This  regulation is being proposed, along with several other recordkeeping measures,  to address rampant fraud in the pre-licensure process. 
    The EIA does not take into account that the requirement is for  the schools. The school would bear the requirement of maintaining the photo,  and may utilize its own photograph equipment to comply with the regulation. It  is likely that there will be variation in the market, with some schools  generating the photo in-house, and others asking the students to provide the  photo. As such, the cost of the regulation may be as little as the cost for the  school in ink and printer paper.
    The EIA incorrectly assumes that this requirement is met only  with a passport photo. While a school may utilize a passport photo, the  regulation does not specify or require a passport photo. Schools may utilize  whatever sized photo they wish, as long as the head and shoulder portion is  2x2. The EIAs recommendation of using a $0.09 4x6 photo is already acceptable  under the proposed regulation, as long as the head and shoulder portion meets  the 2x2 criteria. In fact, as will be explained below, the board currently  accepts and utilizes these types of photos for the other 2x2 photo  requirements. It is worth noting that even the U.S. Department of State does  not require individuals to purchase passport photos and has a tool to allow  passport applicants to take their own photo.
    The EIA incorrectly assumes that this requirement will create a  new financial burden. As noted above, applicants already are required to  provide a 2x2 head and shoulder color photograph when they apply for licensure.  This photo must be submitted along with their application. The examination  vendor utilizes this photo to ensure that the individual taking the exam is the  same individual who applied for licensure. These photograph requirements have  been essential to the board's ability to stop testing fraud. Contrary to the  EIA's assumption that there will be a new requirement for the student to  produce a 2x2 photo, applicants are already obtaining these photographs. The  board frequently sees 4x6 photos, whole or cut down to 2x2. The board also  accepts 2x2 photographs that have been printed on home printers if they meet  the standard. This recordkeeping requirement for the schools, if the school  defrays the cost to the student, only means the student would have to produce  an additional copy of the 2x2. So even if a student chose to utilize the higher  cost passport photo, since passport photos come in sets, ranging from two to 10  photos, there would likely be no additional cost for students utilizing  passport photos.
    3. Summary Item #9: The proposed regulations would add to the  existing requirement that shops, salons, schools, and facilities maintain  working toilet and sink, an additional requirement that the bathroom be  exclusively for client use and have hot and cold running water. 
    EIA Position: "The EIA argues that, [g]iven the high cost  of requiring shops to meet a stricter standard than is sometimes allowed now,  costs for this proposed change likely outweigh the benefits"
    Agency Response: The proposed regulations address a very rare  situation in which a salon or shop does not have an exclusive client bathroom  with hot and cold water, usually because they are situated in a mall. Salons  and shops are already required to utilize hot water for cleaning and  sterilizing the facility and equipment. The board has encountered and foresees  certain health and safety risks associated with not having this requirement,  such as:
    • Loss of oversight of chemical treatments while clients have  left the salon or shop, and
    • Unsanitary bathroom conditions that the salon or shop has no  authority to address.
    Additionally, this requirement would add a level of  convenience, as patrons would not have to travel across the mall to use the  bathroom. The board believes these are substantial issues for the salons and  shops that are affected. The EIA fails to adequately account for the health and  safety risk this regulation is meant to address and fails to mention that the  board may consider grandfathering existing businesses that would be  noncompliant when this regulation takes effect.
    Explanation: As the EIA explains, this regulation partially  stems out of a concern regarding salons and shops in malls. The board has  expressed concern that if salons have to send their customers from one end of  the mall to the other to use the bathroom, the salon is putting that client at  risk. Salons and shops use chemicals (such as hair dyes, bleaches, etc.) which  have the potential to cause injury to clients if not used correctly, or left on  the client for too long. When a client under the treatment of these chemicals  leaves the salon, the salon no longer has oversight of that client. The salon  cannot properly supervise the treatment or ensure that the chemicals are  removed timely when the consumer is off site and subject to whatever delays  they may encounter while at a shopping mall. This situation is a clear and  foreseeable risk to the public which the board seeks to address. 
    Further, the requirement that the bathroom be for client use  only addresses a re-occurring problem of shared bathrooms. The board has encountered  during inspections the situations of salons sharing bathrooms with other  businesses, where the salon did not have control over the sanitation of the  bathroom. This left the board in the dilemma of having to cite a business for  unsanitary conditions it had no control over, or not citing a business that  puts its clients in unsanitary conditions.
    The board is aware that there could be significant costs  associated with renovating a facility to come into compliance with this  proposed regulation. There are currently regulations in place that require  salons and shops to sanitize using hot water. Salons and shops that cannot meet  the new standard are likely unable to meet the current standard either, and  thus are not properly sanitizing their implements. The requirement for hot and  cold water is not necessarily adding a new requirement, but rather clarifying  the need for hot water. Despite this, the board will consider implementing a  grandfather clause for facilities that this regulation may adversely affect due  to what could be very large costs to comply. It is estimated that there are  very few salons or shops that would be adversely affected by this regulation.  Even with a grandfather provision, the board believes that applying the  proposed regulation to new shops and salons going forward will ensure a more  sanitary and safer experience as the industry moves toward this standard. 
    Summary:
    The proposed amendments are the result of a periodic  review; repeal 18VAC41-40, Wax Technician Regulations, and incorporate wax  technician regulations into 18VAC41-20; and include clarifying changes to text  to ensure consistency with other board regulations and state and federal laws  and compliance with current industry standards. The proposed amendments (i) add  new definitions; (ii) require disclosure of felonies, certain misdemeanors, and  disciplinary actions; (iii) require individuals to apply for licensure within  five years of taking the exam; (iv) allow the board to decline to issue  licenses, temporary permits, and temporary instructor permits if grounds exist  that would allow the board to deny licensure; (v) require voided licenses to be  returned to the board within 30 days of the license being voided and clarify  what circumstances may lead to voiding a license; (vi) allow for board  inspection of shops, salons, and schools during reasonable hours; (vii) require  schools to provide specific information to the board and within required time  periods; (viii) provide grounds for discipline for several prohibited actions;  and (ix) update sanitation requirements, including a requirement that  businesses provide a bathroom with hot and cold running water for clients. 
    Part I 
  General 
    18VAC41-20-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings, unless the context clearly indicates otherwise.  All terms defined in Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code  of Virginia are incorporated in this chapter. 
    "Business entity" means a sole proprietorship,  partnership, corporation, limited liability company, limited liability  partnership, or any other form of organization permitted by law. 
    "Direct supervision" means that a Virginia licensed  barber, cosmetologist, or nail technician, or wax technician  shall be present in the barbershop, cosmetology salon, or nail technician  salon, or waxing salon at all times when services are being performed by  a temporary permit holder or registered apprentice. 
    "Endorsement" means a method of obtaining a license  by a person who is currently licensed in another state. 
    "Firm" means any business entity recognized  under the laws of the Commonwealth of Virginia.
    "Licensee" means any person, partnership,  association, limited liability company, or corporation sole  proprietorship, partnership, corporation, limited liability company, limited  liability partnership, or any other form of organization permitted by law  holding a license issued by the Board for Barbers and Cosmetology, as defined  in § 54.1-700 of the Code of Virginia. 
    "Post-secondary educational level" means an  accredited college or university that is approved or accredited by the  Commission on Colleges or by an accrediting agency that is recognized by the  U.S. Secretary of Education. 
    "Reciprocity" means a conditional agreement between  two or more states that will recognize one another's regulations and laws for  equal privileges for mutual benefit. 
    "Reinstatement" means having a license or  certificate restored to effectiveness after the expiration date has passed. 
    "Renewal" means continuing the effectiveness of a  license or certificate for another period of time. 
    "Responsible management" means the following  individuals:
    1. The sole proprietor of a sole proprietorship;
    2. The partners of a general partnership;
    3. The managing partners of a limited partnership;
    4. The officers of a corporation;
    5. The managers of a limited liability company;
    6. The officers or directors of an association or both; and
    7. Individuals in other business entities recognized under  the laws of the Commonwealth as having a fiduciary responsibility to the firm.
    "Sole proprietor" means any individual, not a  corporation, 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. 
    "Virginia state institution" for the purposes of  these regulations means any institution approved by the Virginia Department of  Education or the Virginia Department of Corrections. 
    Part II 
  Entry 
    18VAC41-20-20. General requirements for a barber,  cosmetologist, or nail technician, or wax technician license. 
    A. In order to receive a license as a barber,  cosmetologist, or nail technician, an applicant must Any individual  wishing to engage in barbering, cosmetology, nail care, or waxing shall obtain  a license in compliance with § 54.1-703 of the Code of Virginia and shall  meet the following qualifications: 
    1. The applicant shall be in good standing as a licensed barber,  cosmetologist, or nail technician, or wax technician in every  jurisdiction Virginia and all other jurisdictions where licensed.  The applicant shall disclose to the board at the time of application for  licensure, any disciplinary action taken in another jurisdiction Virginia  and all other jurisdictions in connection with the applicant's practice as  a barber, cosmetologist, or nail technician, or wax technician. This  includes but is not limited to monetary penalties, fines, suspensions,  revocations, surrender of a license in connection with a disciplinary action,  or voluntary termination of a license. The applicant shall disclose to the  board at the time of application for licensure whether if he has  been previously licensed in Virginia as a barber, cosmetologist, or nail  technician, or wax technician. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein the  board deems the applicant is unfit or unsuited to engage in barbering,  cosmetology, nail care, or waxing. The board will decide each case by taking  into account the totality of the circumstances. Any plea of nolo contendere or  comparable plea shall be considered a disciplinary action for the purposes of  this section. The applicant shall provide a certified copy of a final order,  decree, or case decision by a court, regulatory agency, or board with the  lawful authority to issue such order, decree, or case decision, and such copy  shall be admissible as prima facie evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A post  office box is not acceptable. 
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia barber  and cosmetology license laws and the regulations of the board this  chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia, the  each applicant shall not have been convicted in any jurisdiction of a  misdemeanor or felony which directly relates to the profession of barbering,  cosmetology, or nail care. The board shall have the authority to determine,  based upon all the information available, including the applicant's record of  prior convictions, if the applicant is unfit or unsuited to engage in the  profession of barbering, cosmetology, or nail care. The board will decide each  case by taking into account the totality of the circumstances. Any plea of nolo  contendere shall be considered a conviction for the purposes of this section.  The applicant shall provide a certified copy of a final order, decree or case  decision by a court or regulatory agency with the lawful authority to issue  such order, decree or case decision, and such copy shall be admissible as prima  facie evidence of such conviction. This record shall be forwarded by the  applicant to the board within 10 days after all appeal rights have expired disclose  the following information regarding criminal convictions in Virginia and all  other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime.  
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall provide evidence satisfactory to the  board that the applicant has passed the board approved board-approved  examination, administered either by the board or by independent examiners. 
    B. Eligibility to sit for board-approved examination. 
    1. Training in the Commonwealth of Virginia. Any person  completing an approved barber, cosmetology, or nail technician, or  wax technician training program in a Virginia licensed barber, cosmetology,  or nail technician, or wax technician school, respectively, or a  Virginia public school's barber, cosmetology, or nail technician, or  wax technician program approved by the State Virginia  Department of Education shall be eligible for examination. 
    2. Training outside of the Commonwealth of Virginia, but  within the United States and its territories. 
    a. Any person completing a barber or cosmetology training  program that is substantially equivalent to the Virginia program but is outside  of the Commonwealth of Virginia must submit to the board documentation of the  successful completion of 1,500 hours of training to be eligible for  examination. If less than 1,500 hours of barber or cosmetology training was  completed, an applicant must submit a certificate, diploma, or other  documentation acceptable to the board verifying the completion of a  substantially equivalent barber or cosmetology course and documentation of six  months of barber or cosmetology work experience in order to be eligible for  examination. 
    b. Any person completing a nail technician training program  that is substantially equivalent to the Virginia program but is outside of the  Commonwealth of Virginia must submit to the board documentation of the  successful completion of 150 hours of training to be eligible for examination.  If less than 150 hours of nail technician training was completed, an applicant  must submit a certificate, diploma, or other documentation acceptable to  the board verifying the completion of a substantially equivalent nail technician  course and documentation of six months of nail technician work experience in  order to be eligible for the nail technician examination. 
    c. Any person completing a wax technician training program  that is substantially equivalent to the Virginia program but is outside of the  Commonwealth of Virginia must submit to the board documentation of the  successful completion of 115 hours of training to be eligible for examination.  If less than 115 hours of wax technician training was completed, an applicant  must submit a certificate, diploma, or other documentation acceptable to the  board verifying the completion of a substantially equivalent wax technician  course and documentation of six months of wax technician work experience in  order to be eligible for the wax technician examination. 
    18VAC41-20-30. License by endorsement. 
    Upon proper application to the board, any person currently  licensed to practice as a barber, cosmetologist, or nail technician,  or wax technician who is a barber, cosmetology or, nail  technician, or wax technician instructor, or who is a licensed  instructor in the respective profession in any other state or jurisdiction  of the United States and who has completed both a training program and a  written and practical examination that is substantially equivalent to that  required by these regulations this chapter, may be issued a  barber, cosmetology, or nail technician, or wax technician  license or a barber, cosmetology or, nail technician, or wax  technician instructor certificate, respectively, without an examination.  The applicant must also meet the requirements set forth in 18VAC41-20-20. 
    18VAC41-20-50. Exceptions to training requirements. 
    A. Virginia licensed cosmetologists with a minimum of two  years of work experience shall be eligible for the barber examination;  likewise, a Virginia licensed barber with a minimum of two years of work  experience shall be eligible for the cosmetology examination. 
    B. Virginia licensed barbers with less than two years of work  experience and Virginia barber students enrolling in a Virginia cosmetology  training school shall be given educational credit for the training received for  the performances completed at a barber school; likewise, licensed Virginia  cosmetologists with less than two years of work experience and Virginia  cosmetology students enrolling in a Virginia barber training school shall be  given educational credit for the training received for the performances  completed at a cosmetology school. 
    C. Any barber, cosmetologist, or nail technician,  or wax technician applicant having been trained as a barber, cosmetologist,  or nail technician, or wax technician in any Virginia state  institution shall be eligible for the respective examination. 
    D. Any barber, or cosmetologist, nail  technician, or wax technician applicant having a minimum of two years  experience in barbering, or cosmetology, nail care, or waxing  in the United States armed forces and having provided documentation  satisfactory to the board of that experience shall be eligible for the respective  examination. 
    18VAC41-20-60. Examination requirements and fees. 
    A. Applicants for initial licensure shall pass both a  practical examination and a written examination approved by the  board. The examinations may be administered by the board or by a designated  testing service. 
    B. Any applicant who passes one part of the examination shall  not be required to take that part again provided both parts are passed within  one year of the initial examination date. 
    C. Any candidate failing to appear as scheduled for  examination shall forfeit the examination fee. 
    D. The fee for examination or reexamination is subject to  contracted charges to the board by an outside vendor. These contracts are  competitively negotiated and bargained for in compliance with the Virginia  Public Procurement Act (§ 2.2-4300 et seq. of the Code of Virginia). Fees may  be adjusted and charged to the candidate in accordance with these contracts.  The fee shall not exceed $225 per candidate. 
    E. Any candidate failing to apply for initial licensure  within five years of passing both a practical examination and a written  examination shall be required to retake both portions. Records of examinations  shall be maintained for a maximum of five years. 
    18VAC41-20-80. Examination administration. 
    A. The examinations shall be administered by the board or the  designated testing service. The practical examination shall be supervised by a  chief examiner. 
    B. Every barber, cosmetology, or nail technician,  or wax technician examiner shall hold a current Virginia license in their  respective professions, have three or more years of active experience as a  licensed professional, and be currently practicing in that profession.  Examiners shall attend training workshops sponsored by the board or by a  testing service acting on behalf of the board. 
    C. No certified barber, cosmetology, or nail  technician, or wax technician instructor who is currently teaching,  or is a school owner, or is an apprentice sponsor shall be an examiner. 
    D. Each barber, cosmetology, and nail technician,  and wax technician chief examiner shall hold a current Virginia license in  his respective profession, have five or more years of active experience in that  profession, have three years of active experience as an examiner, and be  currently practicing in his respective profession. Chief examiners shall attend  training workshops sponsored by the board or by a testing service acting on  behalf of the board. 
    E. The applicant shall follow all procedures established by  the board with regard to conduct at the examination. Such procedures shall  include any written instructions communicated prior to the examination  date and any instructions communicated at the site, either written or  oral, on the date of the examination. Failure to comply with all procedures  established by the board and the testing service with regard to conduct at the  examination may be grounds for denial of application. 
    18VAC41-20-90. Barber, cosmetology, and nail technician,  and wax technician temporary permits. 
    A. A temporary permit to work under the supervision of a  currently licensed barber, cosmetologist or, nail technician,  or wax technician may be issued only to applicants for initial licensure that  who the board finds eligible for examination. There shall be no fee for  a temporary permit. 
    B. The temporary permit shall remain in force for 45 days  following the examination date. The examination date shall be the first test  date after the applicant has successfully submitted an application to the board  that an examination is offered to the applicant by the board. 
    C. Any person continuing to practice barbering, cosmetology, or  nail care services, or waxing services after a temporary permit  has expired may be prosecuted and fined by the Commonwealth under §§ 54.1-111  A 1 and 54.1-202 of the Code of Virginia. 
    D. No applicant for examination shall be issued more than one  temporary permit. 
    E. Temporary permits shall not be issued where grounds may  exist to deny a license pursuant to § 54.1-204 of the Code of Virginia or  18VAC41-20-20. 
    18VAC41-20-100. General requirements for a barber instructor  certificate, cosmetology instructor certificate, or nail  technician instructor certificate, or wax technician instructor certificate.  
    A. Upon filing an application with the Board for Barbers  and Cosmetology, any person meeting the qualifications set forth in this  section shall be eligible for a barber, cosmetology, or nail technician  instructor certificate, if the person: Any individual wishing to engage  in barbering instruction, cosmetology instruction, nail care instruction, or  waxing instruction shall meet the following qualifications:
    1. Holds a current Virginia barber, cosmetology, or nail  technician license, respectively; and The applicant shall be in good  standing as a licensed barber, cosmetologist, nail technician, or wax  technician, and instructor, respectively, in Virginia and all other  jurisdictions where licensed. The applicant shall disclose to the board at the  time of application for licensure any disciplinary action taken in Virginia and  all other jurisdictions in connection with the applicant's practice as a  barber, cosmetologist, nail technician, or wax technician, or in the practice  of teaching any of those professions. This includes but is not limited to monetary  penalties, fines, suspensions, revocations, surrender of a license in  connection with a disciplinary action, or voluntary termination of a license.  The applicant shall disclose to the board at the time of application for  licensure if the applicant has been previously licensed in Virginia as a barber  instructor, cosmetology instructor, nail technician instructor, or wax  technician instructor. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein the  board deems the applicant is unfit or unsuited to engage in the instruction of  barbering, cosmetology, nail care, or waxing. The board will decide each case  by taking into account the totality of the circumstances. Any plea of nolo  contendere or comparable plea shall be considered a disciplinary action for the  purposes of this section. The applicant shall provide a certified copy of a  final order, decree, or case decision by a court, regulatory agency, or board  with the lawful authority to issue such order, decree, or case decision, and  such copy shall be admissible as prima facie evidence of such disciplinary  action;
    2. The applicant shall hold a current Virginia barber,  cosmetology, nail technician, or wax technician license, respectively;
    Passes 3. The applicant shall:
    a. Pass a course in teaching techniques at the  post-secondary educational level; or 
    3. Completes b. Complete an instructor training  course approved by the Virginia Board for Barbers and Cosmetology under the  supervision of a certified barber, cosmetologist, or nail technician,  or wax technician instructor in a barber, cosmetology, or nail  technician, or wax technician school, respectively; or 
    4. Passes c. Pass an examination in barber,  cosmetology or, nail technician, or wax technician  instruction respectively, administered by the board or by a testing service  acting on behalf of the board.; and
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information regarding criminal  convictions in Virginia and all other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime. 
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    B. Applicants passing the examination for a barber,  cosmetology or nail technician instructor certificate Instructors  shall be required to maintain a barber, cosmetology, or nail technician,  or wax technician license, respectively.
    18VAC41-20-110. Student instructor temporary permit. 
    A. A licensed barber, cosmetologist, or nail  technician, or wax technician may be granted a student instructor  temporary permit to function under the direct supervision of a barber  instructor, cosmetology instructor, or nail technician instructor, or  wax technician instructor respectively. A licensed nail technician or  wax technician may also be granted a student instructor permit to function  under the direct supervision of a cosmetology instructor. 
    B. The student instructor temporary permit shall  remain in force for not more than 12 months after the date of issuance and  shall be nontransferable and nonrenewable.
    C. No applicant for examination shall be issued more than  one student instructor temporary permit. 
    D. Failure to maintain a barber, cosmetology, or  nail technician, or wax technician license shall disqualify an  individual from holding a student instructor temporary permit. 
    E. Temporary permits shall not be issued where grounds may  exist to deny a license pursuant to § 54.1-204 of the Code of Virginia or  18VAC41-20-100. 
    18VAC41-20-120. Shop General requirements for a shop  or salon license. 
    A. Any individual firm wishing to operate a  barbershop, cosmetology or salon, nail salon, or waxing salon  shall obtain a shop or salon license in compliance with § 54.1-704.1 of the  Code of Virginia. and shall meet the following qualifications in  order to receive a license: 
    1. The applicant and all members of the responsible  management shall be in good standing as a licensed shop or salon in Virginia  and all other jurisdictions where licensed. The applicant shall disclose to the  board at the time of application for licensure any disciplinary action taken in  Virginia and all other jurisdictions in connection with the applicant's  operation of any barbershop, cosmetology salon, nail salon, or waxing salon or  practice of the profession. This includes but is not limited to monetary  penalties, fines, suspensions, revocations, surrender of a license in  connection with a disciplinary action, or voluntary termination of a license.  The applicant shall disclose to the board at the time of application for  licensure if the applicant has been previously licensed in Virginia as a  barbershop, cosmetology salon, nail salon, or waxing salon. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in the operation of a  barbershop, cosmetology salon, nail salon, or waxing salon. The board will  decide each case by taking into account the totality of the circumstances. Any  plea of nolo contendere or comparable plea shall be considered a disciplinary  action for the purposes of this section. The applicant shall provide a  certified copy of a final order, decree, or case decision by a court,  regulatory agency, or board with the lawful authority to issue such order,  decree, or case decision, and such copy shall be admissible as prima facie  evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A  post office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  barber and cosmetology license laws and this chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information about the firm and all  members of the responsible management regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall disclose the firm's responsible  management. 
    B. A barbershop, cosmetology, or nail salon license Shop  or salon licenses are issued to firms as defined in this chapter and shall  not be transferable and shall bear the same name and address of the business.  Any changes in the name, or address, or ownership of the  shop or salon shall be reported to the board in writing within 30 days of such  changes. New owners shall be responsible for reporting such changes in  writing to the board within 30 days of the changes. The board shall not  be responsible for the licensee's, certificate holder's, or permit holder's  failure to receive notices, communications, and correspondence caused by the  licensee's, certificate holder's, or permit holder's failure to promptly notify  the board in writing of any change of name or address or for any other reason  beyond the control of the board.
    C. In the event of a closing of a barbershop or  cosmetology or nail salon, the board must be notified by the owners in writing  within 30 days of the closing, and the license must be returned by the owners  to the board. Whenever the legal business entity holding the license is dissolved  or altered to form a new business entity, the original license becomes void and  shall be returned to the board within 30 days of the change. Additionally, the  firm shall apply for a new license, within 30 days of the change in the  business entity. Such changes include but are not limited to: 
    1. Death of a sole proprietor;
    2. Death or withdrawal of a general partner in a general  partnership or the managing partner in a limited partnership; and
    3. Conversion, formation, or dissolution of a corporation,  a limited liability company, an association, or any other business entity  recognized under the laws of the Commonwealth of Virginia.
    D. Any change in the officers of a corporation, managers  of a limited liability company, or officers or directors of an association  shall be reported to the board in writing within 30 days of the change.
    E. The board or any of its agents shall be allowed to  inspect during reasonable hours any licensed shop or salon for compliance with  provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia or this chapter. For purposes of a board inspection, "reasonable  hours" means the hours between 9 a.m. and 5 p.m.; however, if the licensee  generally is not open to the public substantially during the same hours,  "reasonable hours" shall mean the business hours when the licensee is  open to the public.
    18VAC41-20-130. School General requirements for a  school license. 
    A. Any individual firm wishing to operate a  barber, cosmetology, or nail technician, or wax technician school  shall submit an application to the board at least 60 days prior to the date  for which approval is sought, obtain a school license in compliance with § 54.1-704.2 of the Code of Virginia. All instruction and training of barbers,  cosmetologists, or nail technicians shall be conducted under the direct  supervision of a licensed barber, cosmetologist, or nail technician,  respectively., and meet the following qualifications in order to receive  a license: 
    1. The applicant and all members of the responsible  management shall be in good standing as a licensed school in Virginia and all  other jurisdiction where licensed. The applicant shall disclose to the board at  the time of application for licensure any disciplinary action taken in Virginia  and all other jurisdictions in connection with the applicant's operation of any  barbering, cosmetology, nail, or waxing school or practice of the profession.  This includes but is not limited to monetary penalties, fines, suspensions,  revocations, surrender of a license in connection with a disciplinary action,  or voluntary termination of a license. The applicant shall disclose to the  board at the time of application for licensure if the applicant has been  previously licensed in Virginia as a barbering, cosmetology, nail, or waxing  school.
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein the  board deems the applicant is unfit or unsuited to engage in the operation of a  barbering, cosmetology, nail, or waxing school. The board will decide each case  by taking into account the totality of the circumstances. Any plea of nolo  contendere or comparable plea shall be considered a disciplinary action for the  purposes of this section. The applicant shall provide a certified copy of a  final order, decree, or case decision by a court, regulatory agency, or board  with the lawful authority to issue such order, decree, or case decision, and  such copy shall be admissible as prima facie evidence of such disciplinary  action. 
    2. The applicant shall disclose the applicant's physical  address. A post office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  barber and cosmetology license laws and this chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information about the firm and all  members of the responsible management regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions. 
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall disclose the firm's responsible  management. 
    B. A barber Barber, cosmetology, or nail  technician, and wax technician school license licenses are  issued to firms as defined in this chapter, shall not be transferable,  and shall bear the same name and address as the school. Any changes in the name  or the address of record or principal place of business of the  school shall be reported to the board in writing within 30 days of such change.  The board shall not be responsible for the licensee's, certificate holder's,  or permit holder's failure to receive notices, communications, and  correspondence caused by the licensee's, certificate holder's, or permit  holder's failure to promptly notify the board in writing of any change of name  or address or for any other reason beyond the control of the board. The  name of the school must indicate that it is an educational institution. All  signs, or other advertisements, must reflect the name as indicated on the  license issued by the board and contain language indicating it is an  educational institution. 
    C. In the event of a change of ownership of a school, the  new owners shall be responsible for reporting such changes in writing to the  board within 30 days of the changes. 
    D. In the event of a school closing, the board must be  notified by the owners in writing within 30 days of the closing, and the  license must be returned. 
    C. Whenever the legal business entity holding the license  is dissolved or altered to form a new business entity, the original license  becomes void and shall be returned to the board within 30 days of the change.  Additionally, the firm shall apply for a new license within 30 days of the  change in business entity. Such changes include but are not limited to: 
    1. Death of a sole proprietor;
    2. Death or withdrawal of a general partner in a general  partnership or the managing partner in a limited partnership; and
    3. Conversion, formation, or dissolution of a corporation,  a limited liability company, an association, or any other business entity  recognized under the laws of the Commonwealth of Virginia.
    D. Any change in the officers of a corporation, managers  of a limited liability company, or officers or directors of an association  shall be reported to the board in writing within 30 days of the change.
    E. Barber schools, cosmetology schools, nail schools, or  waxing schools under the Virginia Department of Education shall be exempted  from licensure requirements. 
    F. The board or any of its agents shall be allowed to  inspect during reasonable hours any licensed school for compliance with  provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia or this chapter. For purposes of a board inspection, "reasonable  hours" means the hours between 9 a.m. and 5 p.m.; however, if the licensee  generally is not open to the public substantially during the same hours,  "reasonable hours" shall mean the business hours when the licensee is  open to the public.
    Part III 
  Fees 
    18VAC41-20-140. Fees. 
    The following fees apply: 
           | FEE TYPE | AMOUNT DUE | WHEN DUE | 
       | Individuals: | 
       | Application | $105 | With application | 
       | License by Endorsement | $105 | With application | 
       | Renewal: | 
       | Barber | $105 | With renewal card prior to expiration date | 
       | Cosmetologist | $105 | With renewal card prior to expiration date | 
       | Nail technicianTechnician | $105 | With renewal card prior to expiration date | 
       | Wax Technician | $105 | With renewal card prior to expiration date | 
       | Reinstatement | $210* *includes $105 renewal fee and $105 reinstatement fee | With reinstatement application | 
       | Instructors: | 
       | Application | $125 | With application | 
       | License by Endorsement | $125 | With application | 
       | Renewal | $150 | With renewal card prior to expiration date | 
       | Reinstatement | $300* *includes $150 renewal fee and $150 reinstatement fee | With reinstatement application | 
       | Facilities: | 
       | Application | $190 | With application | 
       | Renewal | $190 | With renewal card prior to expiration date | 
       | Reinstatement | $380* *includes $190 renewal fee and $190 reinstatement fee | With reinstatement application | 
       | Schools: | 
       | Application | $220 | With application | 
       | Add Program | $100 | With application | 
       | Renewal | $220 | With renewal card prior to expiration date | 
       | Reinstatement | $440* *includes $220 renewal fee and $220 reinstatement fee | With reinstatement application | 
  
    Part IV 
  Renewal/Reinstatement 
    18VAC41-20-160. License renewal required. 
    A. All barber licenses, cosmetology licenses, nail  technician licenses, barbershop licenses, cosmetology salon licenses, and nail  technician salon licenses A license or certificate issued under this  chapter shall expire two years from the last day of the month in which they  were it was issued. 
    B. All barber instructor certificates, cosmetology  instructor certificates, and nail technician instructor certificates shall  expire on the same date as the certificate holder's license expiration date. 
    C. All school licenses shall expire on December 31 of each  even-numbered year. 
    18VAC41-20-180. Failure to renew. 
    A. When a licensed or certified individual or business  entity fails to renew its license or certificate within 30 days following its  expiration date, the licensee or certificate holder shall apply for  reinstatement of the license or certificate by submitting to the Department of  Professional and Occupational Regulation a reinstatement application and  renewal fee and reinstatement fee. 
    B. When a barber, cosmetologist, or nail technician licensed  or certified individual or business entity fails to renew his its  license within two years following the expiration date, reinstatement is no  longer possible. To resume practice, the former licensee or certificate  holder shall apply for licensure or certification as a new applicant,  and shall meet all current application requirements, shall pass the  board's current examination and shall receive a new license. Individuals  applying for licensure under this section shall be eligible to apply for a  temporary permit from the board under 18VAC41-20-90 entry requirements  for each respective license or certificate. 
    C. When a barber instructor, cosmetology instructor, or  nail technician instructor fails to renew his certificate within two years  following the expiration date, reinstatement is no longer possible. To resume  practice, the former certificate holder shall apply as a new applicant, meet  all current application requirements, and receive a new license or temporary  permit from the board. Upon receiving the new license, the individual may apply  for a new instructor's certificate. 
    D. C. The application for reinstatement for a  school shall provide (i) the reasons for failing to renew prior to the  expiration date, and (ii) a notarized statement that all students  currently enrolled or seeking to enroll at the school have been notified in  writing that the school's license has expired. All of these materials shall be  called the application package. Reinstatement will be considered by the board  if the school consents to and satisfactorily passes an inspection of the school  and if the school's records are maintained in accordance with 18VAC41-20-240  and 18VAC41-20-250 and 18VAC41-20-260 by the Department of  Professional and Occupational Regulation. Pursuant to 18VAC41-20-190 18VAC41-20-130,  upon receipt of the reinstatement fee, application package, and inspection  results, the board may reinstate the school's license or require  requalification or both. If the reinstatement application package and  reinstatement fee are not received by the board within six months following the  expiration date of the school's license, the board will notify the testing  service that prospective graduates of the unlicensed school are not acceptable  candidates for the examination. Such notification will be sent to the school  and must be displayed in a conspicuous manner by the school in an area that is  accessible to the public. No student shall be disqualified from taking the  examination because the school was not licensed for a portion of the time the  student attended if the school license is reinstated by the board. 
    E. D. The date a renewal fee is received by the  Department of Professional and Occupational Regulation, or its agent, will be  used to determine whether a penalty fee or the requirement for reinstatement of  a license or certificate is applicable. 
    F. E. When a license or certificate is  reinstated, the licensee or certificate holder shall be assigned an expiration  date two years from the date of the last day of the month of reinstatement except  for school licenses that shall expire on December 31 of each even-numbered year.  
    G. F. A licensee or certificate holder who  that reinstates his its license or certificate shall be  regarded as having been continuously licensed or certified without  interruption. Therefore, a licensee or certificate holder shall be subject to  the authority of the board for activities performed prior to reinstatement. 
    H. G. A licensee or certificate holder who  that fails to reinstate his its license or certificate  shall be regarded as unlicensed or uncertified from the expiration date of the  license or certificate forward. Nothing in these regulations this  chapter shall divest the board of its authority to discipline a licensee or  certificate holder for a violation of the law or regulations during the period  of time for which the individual was licensed or certified. 
    Part V 
  Barber and, Cosmetology, Nail, and Waxing Schools 
    18VAC41-20-190. Applicants for state approval. (Repealed.)
    A. Any person, firm, or corporation desiring to operate a  barber, cosmetology, or nail school shall submit an application to the board at  least 60 days prior to the date for which approval is sought. 
    B. Barber schools, nail schools, or cosmetology schools  under the Virginia Department of Education shall be exempted from licensure  requirements. 
    18VAC41-20-200. General requirements. 
    A barber, cosmetology, or nail, or waxing  school shall: 
    1. Hold a school license for each and every location. 
    2. Hold a salon license if the school receives compensation  for services provided in its clinic. 
    3. Employ a staff of licensed and certified barber,  cosmetology, or nail technician, or wax technician instructors. 
    4. Develop individuals for entry level competency in  barbering, cosmetology, or nail care, or waxing. 
    5. Submit its curricula for board approval. 
    a. Barber curricula shall be based on a minimum of 1,500 clock  hours and shall include performances in accordance with 18VAC41-20-220. 
    b. Cosmetology curricula shall be based on a minimum of 1,500  clock hours and shall include performances in accordance with 18VAC41-20-220. 
    c. Nail technician curricula shall be based on a minimum of  150 clock hours and shall include performances in accordance with  18VAC41-20-220. 
    d. Wax technician curricula shall be based on a minimum of  115 clock hours and shall include performances in accordance with  18VAC41-20-220.
    6. Inform the public that all services are performed by  students if the school receives compensation for services provided in its  clinic by posting a notice in the reception area of the shop or salon in plain  view of the public. 
    7. Classroom Conduct classroom instruction must  be conducted in an area separate from the clinic area where practical  instruction is conducted and services are provided. 
    8. Possess the necessary equipment and implements to teach  the respective curriculum. If any such equipment or implement is not owned by  the school, then a copy of all agreements associated with the use of such  property by the school the shall be provided to the board. 
    18VAC41-20-210. Curriculum requirements. 
    A. Each barber school shall submit with its application a  curriculum including, but not limited to, a course syllabus, a detailed course  content outline, a sample of five lesson plans, a sample of evaluation methods  to be used, and a breakdown of hours and performances for all courses to be  taught that will lead to licensure. The outline for barbering shall include,  but not be limited to, the following: 
    1. School policies; 
    2. State law, regulations, and professional ethics; 
    3. Business and shop management; 
    4. Client consultation; 
    5. Personal hygiene; 
    6. Cutting the hair with a razor, clippers, and shears;  
    7. Tapering the hair; 
    8. Thinning the hair; 
    9. Shampooing the hair; 
    10. Styling the hair with a hand hair dryer; 
    11. Thermal waving; 
    12. Permanent waving with chemicals; 
    13. Shaving; 
    14. Trimming a moustache or beard; 
    15. Applying hair color; 
    16. Lightening or toning the hair; 
    17. Analyzing skin or scalp conditions; 
    18. Giving scalp treatments; 
    19. Giving basic facial massage or treatment; 
    20. Sanitizing and maintaining implements and equipment; and 
    21. Honing and stropping a razor. 
    B. Each cosmetology school shall submit with its application  a curriculum including, but not limited to, a course syllabus, a detailed  course content outline, a sample of five lesson plans, a sample of evaluation  methods to be used, and a breakdown of hours and performances for all courses  to be taught that will lead to licensure. The outline for cosmetology shall  include, but not be limited to, the following: 
    1. Orientation: 
    a. School policies; 
    b. State law, regulations, and professional ethics; 
    c. Personal hygiene; and 
    d. Bacteriology, sterilization, and sanitation. 
    2. Manicuring and pedicuring: 
    a. Anatomy and physiology; 
    b. Diseases and disorders; 
    c. Procedures to include both natural and artificial  application; and 
    d. Sterilization. 
    3. Shampooing and rinsing: 
    a. Fundamentals; 
    b. Safety rules; 
    c. Procedures; and 
    d. Chemistry, anatomy, and physiology. 
    4. Scalp treatments: 
    a. Analysis; 
    b. Disorders and diseases; 
    c. Manipulations; and 
    d. Treatments. 
    5. Hair styling: 
    a. Anatomy and facial shapes; 
    b. Finger waving, molding, and pin curling; 
    c. Roller curling, combing, and brushing; and 
    d. Heat curling, waving, braiding and pressing. 
    6. Hair cutting: 
    a. Anatomy and physiology; 
    b. Fundamentals, materials, and equipment; 
    c. Procedures; and 
    d. Safety practices. 
    7. Permanent waving-chemical relaxing: 
    a. Analysis; 
    b. Supplies and equipment; 
    c. Procedures and practical application; 
    d. Chemistry; 
    e. Recordkeeping; and 
    f. Safety. 
    8. Hair coloring and bleaching: 
    a. Analysis and basic color theory; 
    b. Supplies and equipment; 
    c. Procedures and practical application; 
    d. Chemistry and classifications; 
    e. Recordkeeping; and 
    f. Safety. 
    9. Skin care and make-up: 
    a. Analysis; 
    b. Anatomy; 
    c. Health, safety, and sanitary rules; 
    d. Procedures; 
    e. Chemistry and light therapy; 
    f. Temporary removal of hair; and 
    g. Lash and brow tinting. 
    10. Wigs, hair pieces, and related theory: 
    a. Sanitation and sterilization; 
    b. Types; and 
    c. Procedures. 
    11. Salon management: 
    a. Business ethics; and 
    b. Care of equipment. 
    C. Each nail school shall submit with its application a  curriculum including, but not limited to, a course syllabus, a detailed course  content outline, a sample of five lesson plans, a sample of evaluation methods  to be used, and a breakdown of hours and performances for all courses to be  taught that will lead to licensure. The outline for nail care shall include,  but not be limited to, the following: 
    1. Orientation: 
    a. School policies; 
    b. State law, regulations, and professional ethics; 
    2. Sterilization, sanitation, bacteriology, and safety; 
    3. Anatomy and physiology; 
    4. Diseases and disorders of the nail; 
    5. Nail procedures (i.e., manicuring, pedicuring, and nail  extensions); and
    6. Nail theory and nail structure and composition. 
    D. Each waxing school shall submit with its application a  curriculum including, but not limited to, a course syllabus, a detailed course  content outline, a sample of five lesson plans, a sample of evaluation methods  to be used, and a breakdown of hours and performances for all courses to be  taught that will lead to licensure. The outline for waxing shall include, but  not be limited to, the following: 
    1. Orientation: 
    a. School policies; 
    b. State law, regulations, and professional ethics; and
    c. Personal hygiene.
    2. Skin care and treatment: 
    a. Analysis; 
    b. Anatomy and physiology; 
    c. Diseases and disorders of the skin; 
    d. Health sterilization, sanitation, bacteriology, and  safety including infectious disease control measures; and
    e. Temporary removal of hair. 
    3. Skin theory, skin structure, and composition. 
    4. Client consultation: 
    a. Health conditions; 
    b. Skin analysis; 
    c. Treatments; 
    d. Client expectations; and
    d. Health forms and questionnaires. 
    5. Waxing procedures for brow, lip, facial, legs, arms,  underarm, chest, back, and bikini areas: 
    a. Fundamentals; 
    b. Safety rules; and 
    c. Procedures.
    6. Wax treatments: 
    a. Analysis; 
    b. Disorders and diseases; 
    c. Manipulations; and 
    d. Treatments. 
    7. Salon management: 
    a. Business ethics; and 
    b. Care of equipment.
    18VAC41-20-220. Hours of instruction and performances. 
    A. Curriculum and performance requirements shall be offered  over a minimum of 1,500 clock hours for barbering and cosmetology, and  150 clock hours for nail care, and 115 clock hours for waxing. 
    B. The curriculum requirements for barbering must include the  following minimum performances: 
           |   | Hair and scalp treatments | 10 | 
       |   | Hair styling | 320 | 
       |   | Tinting | 15 | 
       |   | Bleaching and frosting | 10 | 
       |   | Temporary rinses | 10 | 
       |   | Semi-permanent color | 10 | 
       |   | Cold permanent waving or chemical relaxing | 25 | 
       |   | Hair shaping | 50 | 
       |   | Wig care, styling, placing on model | 5 | 
       |   | Finger waving and thermal waving | 30 | 
       |   | FacialsBasic facials and waxings
 | 5 | 
       |   | TOTAL | 490 | 
  
    C. The curriculum requirements for cosmetology must include  the following minimum performances: 
           |   | Hair and scalp treatments | 10 | 
       |   | Hair styling | 320 | 
       |   | Tinting | 15 | 
       |   | Bleaching and frosting | 10 | 
       |   | Temporary rinses | 10 | 
       |   | Semi-permanent color | 10 | 
       |   | Cold permanent waving or chemical relaxing | 25 | 
       |   | Hair shaping | 50 | 
       |   | Wig care, styling, placing on model | 5 | 
       |   | Finger waving and thermal waving | 30 | 
       |   | Manicures/and pedicures | 15 | 
       |   | FacialsBasic facials and waxings
 | 5 | 
       |   | Sculptured nails/, nail tips/, and    wraps | 20 | 
       |   | TOTAL | 525 | 
  
    D. The curriculum requirements for nail care must include the  following minimum performances: 
           |   | Manicures | 30 | 
       |   | Pedicures | 15 | 
       |   | Individual sculptured nails/and nail tips | 200 | 
       |   | Individual removals | 10 | 
       |   | Individual nail wraps | 20 | 
       |   | TOTAL | 275 | 
  
    E. The curriculum requirements for waxing must include the  following minimum performances: 
           |  | Arms | 4 | 
       |  | Back | 2 | 
       |  | Bikini area | 6 | 
       |  | Brows | 12 | 
       |  | Chest | 1 | 
       |  | Facial (i.e., face, chin, and cheek and lip) | 6 | 
       |  | Leg | 3 | 
       |  | Underarm | 2 | 
       |  | TOTAL | 36 | 
  
    18VAC41-20-230. School identification. (Repealed.)
    Each barber, cosmetology, or nail care school approved by  the board shall identify itself to the public as a teaching institution. 
    18VAC41-20-240. Records. 
    A. Schools are required to keep upon  graduation shall maintain on the premises of each school and available  for inspection by the board or any of its agents the following records for the  period of a student's enrollment through five years after the student's  completion of the curriculum, termination, or withdrawal, written  records of hours and performances showing what instruction a student has  received for a period of five years after the student terminates or completes  the curriculum of the school. These records shall be available for inspection  by the department. All records must be kept on the premises of each  school.: 
    1. Enrollment application containing student's signature  and a 2x2 color head and shoulders photograph;
    2. Daily record of attendance containing student's  signature;
    3. Student clock hours containing student's signature and  method of calculation;
    4. Practical performance completion sheets containing  student's signature;
    5. Final transcript; and
    6. All other relevant documents that account for a  student's accrued clock hours and practical applications.
    B. Schools shall produce to the board or any of its agents  within 10 days of the request any document, book, or record concerning any  student, or for which the licensee is required to maintain records, for  inspection and copying by the board or its agents. The board may extend such  time frame upon a showing of extenuating circumstances prohibiting delivery  within such 10-day period.
    C. Schools shall, within 21 days upon receipt of a written  request from a student, provide documentation of hours and performances  completed by the student as required to be maintained by subsection A of this  section.
    D. Prior to a school changing ownership or a school  closing, the school is required to provide to current students documentation of  hours and performances completed.
    E. For a period of one year after a school changes  ownership, the school shall provide, within 21 days upon receipt of a written  request from a student, documentation of hours and performances completed by a  current student.
    18VAC41-20-250. Hours reported Reporting. 
    A. Schools shall provide, in a manner, format, and  frequency prescribed by the board, a roster of all current students and a  roster of students who attended in the preceding six months prior to the  reporting deadline.
    B. Within 30 days of the closing of a licensed  barber school, cosmetology school, or nail care school, for any reason, ceasing  to operate, whether through dissolution or alteration of the business entity,  the school shall provide a written report to the board on performances and  hours of each of its students who have not completed the program. 
    Part VI 
  Standards of Practice 
    18VAC41-20-260. Display of license. 
    A. Each shop owner, salon owner or school owner shall ensure  that all current licenses, certificates or permits issued by the board shall be  displayed in plain view of the public either in the reception area or  at individual work stations of the shop, salon, or school in  plain view of the public. Duplicate licenses, certificates, or  permits shall be posted in a like manner in every shop, salon, or school  location where the regulant provides services. 
    B. Each shop owner, salon owner, or school owner shall  ensure that no employee, licensee, student, or apprentice performs any  service beyond the scope of practice for the applicable license. 
    C. All licensees, certificate holders, and permit  holders shall operate under the name in which the license, certificate, or  permit is issued. 
    D. Unless also licensed as a cosmetologist, a barber is  required to hold a separate nail technician or wax technician license if  he will be performing nail care or waxing manicures or  pedicures or applying artificial nails. 
    E. All apprenticeship cards issued by the Department of Labor  and Industry (DOLI) shall be displayed in plain view of the public either  in the reception area or at individual work stations of the shop or  salon. The apprentice sponsor shall require each apprentice to wear a badge  clearly indicating their status as a DOLI registered apprentice. 
    18VAC41-20-270. Sanitation and safety standards for shops,  salons, and schools. 
    A. Sanitation and safety standards. Any shop, salon, school,  or facility where barber, cosmetology, or nail services or waxing  services are delivered to the public must be clean and sanitary at all  times. Compliance with these rules does not confer compliance with other  requirements set forth by federal, state, and local laws, codes,  ordinances, and regulations as they apply to business operation, physical  construction and maintenance, safety, and public health. Licensees shall take  sufficient measures to prevent the transmission of communicable and infectious  diseases and comply with the sanitation standards identified in this section  and shall insure that all employees likewise comply. 
    B. Disinfection and storage of implements. 
    1. A wet disinfection unit is a container large enough to hold  a disinfectant solution in which the objects to be disinfected are completely  immersed. A wet disinfection unit must have a cover to prevent contamination of  the solution. The solution must be a hospital (grade) and  tuberculocidal disinfectant solution registered with the Environmental  Protection Agency (EPA). Disinfectant solutions shall be used according to  manufacturer's directions. Disinfection is to be carried out in the  following manner: 
    2. Disinfection of multiuse items constructed of hard,  nonporous materials such as metal, glass, or plastic that the manufacturer  designed for use on more than one client, including but not limited to  clippers, scissors, combs, and nippers is to be carried out in the following  manner prior to servicing a client:
    a. Remove hair and all foreign matter from the object,  utilizing a brush if needed. Drill bits are to be soaked in acetone and  scrubbed with a wire brush to remove all foreign matter. 
    b. Wash thoroughly with hot water and soap. 
    c. Rinse thoroughly with clean water and dry thoroughly with a  clean paper towel. 
    d. Fully immerse instruments implements into  solution for a minimum of 10 minutes, and 
    e. After immersion, rinse articles, thoroughly dry with a  clean paper towel, and store in a clean predisinfected and dry cabinet,  drawer, or nonairtight covered container, or leave instruments in an  EPA-registered disinfection/storage solution used according to manufacturer's  directions. 
    3. Single-use items designed by the manufacturer for use on  no more than one client should be discarded immediately after use on each  individual client, including but not limited to powder puffs, lip color, cheek  color, sponges, styptic pencils, or nail care implements. The disinfection and  reuse of these items is not permitted and the use of single-use items on more  than one client is prohibited.
    2. 4. For the purpose of recharging,  rechargeable clippers may be stored in an area other than in a closed cabinet  or container. This area shall be clean and the cutting edges of any clippers  are to be disinfected. 
    3. 5. Electrical clipper blades shall be  disinfected before and after each use. Disinfection is to be carried out in  the following manner: 
    a. Remove all hair and foreign matter; 
    b. Remove blade and all hair and foreign matter under  blade; and 
    c. Completely immerse clipper blade into an EPA-registered  hospital (grade) and tuberculocidal disinfectant solution for not less than 10  minutes. Wipe the entire handle down with the solution. 
    d. If the clipper blade cannot be removed, the use of a  spray or foam used according to the manufacturer's instructions will be  acceptable provided that the disinfectant is an EPA-registered hospital (grade)  and tuberculocidal disinfectant solution, and that the entire handle is also  disinfected by wiping with the disinfectant solution. 
    4. All materials including cosmetic and nail brushes,  sponges, chamois, spatulas and galvanic electrodes must be cleaned with warm  water and soap or detergent to remove all foreign matter. Implements should  then be rinsed, thoroughly dried with a clean paper towel, and completely  immersed in an EPA-registered hospital (grade) and tuberculocidal disinfectant  solution. Such implements shall be soaked for 10 minutes or more, removed,  rinsed, dried thoroughly and stored in a predisinfected and dry drawer, cabinet  or nonairtight covered container, or left in an EPA-registered  disinfection/storage solution used according to manufacturer's directions. 
    5. 6. All wax pots will shall be  cleaned and disinfected with an EPA-registered hospital (grade)  and tuberculocidal disinfectant solution with no sticks left standing in the  wax at any time. The area immediately surrounding the wax pot shall be clean  and free of clutter, waste materials, spills, and any other items which may  pose a hazard.
    6. 7. Each barber, cosmetologist, and  nail technician, and wax technician must have a wet disinfection unit at  his station. 
    7. Nail brushes, nippers, finger bowls, disinfectable or  washable files and buffers and other instruments must be washed in soap and  water (files are to be scrubbed with a brush to remove all foreign matter),  rinsed, thoroughly dried with a clean paper towel, and then completely immersed  in an EPA-registered hospital (grade) and tuberculocidal disinfectant solution  for 10 minutes after each use. After disinfection they must be rinsed, dried  thoroughly with a clean paper towel, and placed in a dry, predisinfected,  nonairtight covered receptacle, cabinet or drawer, or left in an EPA-registered  disinfectant/storage system used according to manufacturer's directions. 
    8. Drill bits are to be soaked in acetone and scrubbed with  a wire brush to remove all foreign matter. All foreign matter must be removed.  The drill bits must then be cleaned with warm water and soap or detergent and  rinsed, dried thoroughly with a clean paper towel, and completely immersed in  an EPA-registered hospital (grade) and tuberculocidal disinfectant solution.  Such implements shall be soaked for 10 minutes or more, removed, rinsed, dried  thoroughly, and stored in a pre-disinfected and dry drawer, cabinet or  nonairtight covered container, or left in an EPA-registered  disinfection/storage solution used according to manufacturer's directions. 
    8. Sinks, bowls, tubs, whirlpool units, air-jetted basins,  pipe-less units, and non-whirlpool basins used in the performance of nail care  shall be maintained in accordance with manufacturer's recommendations. They  shall be cleaned and disinfected immediately after each client in the following  manner:
    a. Drain all water and remove all debris; 
    b. Clean the surfaces and walls with soap or detergent to  remove all visible debris, oils, and product residue and then rinse with water;  
    c. Disinfect by spraying or wiping the surface with an  appropriate disinfectant; and
    d. Wipe dry with a clean towel. 
    C. General sanitation and safety requirements. 
    1. All furniture, walls, floors, and windows shall be clean  and in good repair. Wash basins and shampoo sinks shall be clean Service  chairs, wash basins, shampoo sinks, workstations and workstands, and back bars  shall be clean.
    2. The floor surface in the immediate all work area  areas must be of a washable surface other than carpet. The floor must be  kept clean, and free of hair, nail clippings, dropped  articles, spills and, clutter, trash, electrical cords, other  waste materials, and any other items which may pose a hazard; 
    3. Walls All furniture, fixtures, walls, floors,  windows, and ceilings in the immediate work area must be shall be  clean and in good repair, and free of water seepage and dirt.  Any mats shall be secured or shall lay flat; 
    4. A fully functional bathroom in the same building with a  working toilet and sink must be available for clients shall be  maintained exclusively for client use. There must be hot and cold  running water. Fixtures must be in good condition. The bathroom must be  lighted and sufficiently ventilated. If there is a window, it must have a  screen. There must be antibacterial soap and clean individual single-use  towels or hand air-drying device for the client's use. Laundering of  towels is allowed, space permitting. The bathroom must not be used as a work  area or for the open storage of chemicals; 
    5. General areas for client use must be neat and clean with a  waste receptacle for common trash; 
    6. Electrical cords shall be placed to prevent entanglement by  the client or licensee; and 7. Electrical electrical  outlets shall be covered by plates; 
    7. All sharp tools, implements, and heat-producing  appliances shall be in safe working order at all times, safely stored, and  placed so as to prevent any accidental injury to the client or licensee; 
    8. The salon area shall be sufficiently ventilated to exhaust  hazardous or objectionable airborne chemicals, and to allow the free flow of  air; and
    9. Adequate lighting shall be provided. 
    D. Equipment sanitation. 
    1. Service chairs, wash basins, shampoo sinks and  workstations shall be clean. Floors shall be kept free of hair, nail product,  and other waste materials. Combs, brushes, towels, razors, clippers, scissors,  nippers, and other instruments shall be cleaned and sanitized after every use  and stored free from contamination. 
    2. The top of workstands or back bars shall be kept clean; 
    3. The work area shall be free of clutter, trash, and any  other items that may cause a hazard; 
    4. Heat-producing appliances and equipment shall be placed  so as to prevent any accidental injury to the client or licensee; and 
    5. Electrical appliances and equipment shall be in safe  working order at all times. 
    E. D. Articles, tools, and products. 
    1. Clean towels and, robes, or other linens  shall be used for each patron. Clean towels, robes, or other linens shall be  stored in a clean predisinfected and dry cabinet, drawer, or nonairtight  covered container. Soiled towels and, robes, or smocks  other linens shall be stored in an enclosed a container enclosed  on all sides including the top, except if the towels are stored  in a separate laundry rooms. room;
    2. Whenever a haircloth is used, a clean towel or neck strip  shall be placed around the neck of the patron to prevent the haircloth from  touching the skin.;
    3. Scissors, razors, clippers, nippers, and all sharp-edged  cutting instruments shall be sanitized after each use with a disinfectant in  accordance with the manufacturer's instructions. 
    4. Hair brushes and combs shall be washed in soap and hot  water and sanitized after each use. Cleaned instruments, such as combs, hair  brushes, shears, towels, etc., shall be kept free from contamination. 
    5. No alum or other astringent shall be used in stick form.  Liquid or powder astringent must be used. 
    6. Permanent wave rods shall be rinsed after each use. End  papers shall not be reused and shall be destroyed after each use. 
    7. 3. Soiled implements must be removed from the  tops of work stations immediately after use; 
    8. Clean spatulas, other clean tools, or clean disposable  gloves shall be used to remove bulk substances from containers; 
    9. Powder puffs, lip color, cheek color, sponges, or  styptic pencils that cannot be sanitized or sterilized are prohibited from  being used on more than one client; 
    10. 4. Lotions, ointments, creams, and powders  shall be kept in closed containers. A clean spatula, other clean tools, or  clean disposable gloves shall be used to remove bulk substances such as  creams or ointments from jars. Sterile cotton or sponges shall be used  to apply creams, lotions, and powders. Cosmetic containers shall be recovered  covered after each use; 
    11. 5. For nail care, if a sanitary  container shall be is provided to each for a client.  Emery boards shall be discarded after use on each individual client, the  sanitary container shall be labeled and implements shall be used solely for  that specific client. Disinfection shall be carried out in accordance with  subdivisions B 1 and B 2 of this section;
    12. All sharp tools, implements, and heat-producing  appliances shall be safely stored; 
    13. Pre-sanitized tools and implements, linens and  equipment shall be stored for use in a sanitary enclosed cabinet or covered  receptacle; 
    14. Soiled towels, linens and implements shall be deposited  in a container made of cleanable materials and separate from those that are  clean or pre-sanitized; 
    15. 6. No substance other than a sterile styptic  powder or sterile liquid astringent approved for homeostasis and applied with a  sterile single-use applicator shall be used to check bleeding; and 
    16. 7. Any disposable material making contact  with blood or other body fluid shall be disposed of in a sealed plastic bag and  removed from the shop, salon, school, or facility in accordance with the  guidelines of the Department of Health. 
    F. E. Chemical storage and emergency  information. 
    1. Shops, salons, schools, and facilities shall have in  the immediate working area a binder with all Material Safety Data Sheets (MSDS)  provided by manufacturers for any chemical products used; 
    2. Shop, salons, schools, and facilities shall have a  blood spill clean-up kit in the work area that contains at minimum latex  gloves, two 12x12 towels, one disposable trash bag, bleach, one empty spray  bottle, and one mask with face shield or any Occupational Safety and Health  Administration (OSHA) approved blood spill clean-up kit; 
    3. Flammable chemicals shall be stored in a nonflammable  storage cabinet or a properly ventilated room; and 
    4. Chemicals that could interact in a hazardous manner  (oxidizers, catalysts and solvents) shall be separated in storage. 
    G. F. Client  health guidelines. 
    1. All employees providing client services shall cleanse their  hands with an antibacterial product prior to providing services to each client.  Licensees shall require that clients for nail care services shall cleanse their  hands immediately prior to the requested nail care service; 
    2. An artificial nail shall only be applied to a healthy  natural nail; 
    3. A nail drill or motorized instrument shall be used only on  the free edge of the nail; 
    4. No shop, salon, school, or facility providing  cosmetology or nail care services shall have on the premises cosmetic products  containing hazardous substances that have been banned by the U.S. Food and Drug  Administration (FDA) for use in cosmetic products. 
    5. No product shall be used in a manner that is disapproved by  the FDA; and 
    6. All regulated services must be performed in a facility that  is in compliance with current local building and zoning codes. 
    H. G. In addition to any requirements set forth  in this section, all licensees and temporary permit holders shall adhere to  regulations and guidelines established by the Virginia Department of Health and  the Occupational Safety and Health Compliance Division of the Virginia  Department of Labor and Industry. 
    I. H. All shops, salons, schools, and  facilities shall immediately report the results of any inspection of the shop,  salon, or school by the Virginia Department of Health as required by § 54.1-705  of the Code of Virginia. 
    J. I. All shops, salons, schools, and  facilities shall maintain a self-inspection form on file to be updated on an  annual basis, and kept for five years, so that it may be requested and reviewed  by the board at its discretion. 
    18VAC41-20-280. Grounds for license revocation or suspension;  denial of application, renewal or reinstatement; or imposition of a monetary  penalty. 
    A. The board may, in considering the totality of the  circumstances, fine any licensee, certificate holder, or permit holder; suspend  or revoke or refuse to renew or reinstate any license, certificate, or permit;  or deny any application issued under the provisions of Chapter 7 (§ 54.1-700 et  seq.) of Title 54.1 of the Code of Virginia and the regulations of the board  this chapter if the board it finds that the licensee,  certificate holder, permit holder, or applicant: 
    1. The licensee, certificate holder, permit holder or  applicant is Is incompetent, or negligent in practice, or incapable  mentally or physically, as those terms are generally understood in the  profession, to practice as a barber, cosmetologist, or nail technician,  or wax technician, or to operate a barbershop, cosmetology salon, nail salon,  or waxing salon; 
    2. The licensee, certificate holder, permit holder or  applicant is Is convicted of fraud or deceit in the practice or  teaching of barbering, cosmetology, or nail care, or waxing or fails  to teach the curriculum as provided for in this chapter; 
    3. The licensee, certificate holder, permit holder or  applicant attempted Attempts to obtain, obtained, renewed or  reinstated a license, certificate, or permit temporary license by  false or fraudulent representation; 
    4. The licensee, certificate holder, permit holder or  applicant violates Violates or induces others to violate, or  cooperates with others in violating, any of the provisions of these  regulations this chapter or Chapter 7 (§ 54.1-700 et seq.) of Title  54.1 of the Code of Virginia or any local ordinance or regulation governing  standards of health and sanitation of the establishment in which any barber,  cosmetologist, or nail technician, or wax technician may practice  or offer to practice;
    5. Offers, gives, or promises anything of value or benefit  to any federal, state, or local employee for the purpose of influencing that  employee to circumvent, in the performance of his duties, any federal, state,  or local law, regulation, or ordinance governing barbering, cosmetology, nail  care, or waxing as defined in § 54.1-700 of the Code of Virginia;
    6. Fails to respond to the board or any of its agents or  provides false, misleading, or incomplete information to an inquiry by the  board or any of its agents;
    7. Fails or refuses to allow the board or any of its agents  to inspect during reasonable hours any licensed shop, salon, or school for  compliance with provisions of Chapter 7 (§ 54.1-700 et seq.) or this chapter;
    5. The licensee, certificate holder, permit holder or  applicant fails 8. Fails to produce, upon request or demand of the  board or any of its agents, any document, book, record, or copy thereof in a  licensee's or owner's possession or maintained in accordance with these  regulations; 
    6. A licensee, certificate holder, or permit holder fails  9. Fails to notify the board of a change of name or address in writing  within 30 days of the change for each and every license, certificate, or permit.  The board shall not be responsible for the licensee's, certificate holder's, or  permit holder's failure to receive notices, communications and correspondence  caused by the licensee's, certificate holder's, or permit holder's failure to  promptly notify the board in writing of any change of name or address or for  any other reason beyond the control of the board; 
    7. The licensee, certificate holder, permit holder or  applicant publishes  10. Makes any misrepresentation or publishes  or causes to be published any advertisement that is false, deceptive, or  misleading; 
    8. The licensee, certificate holder, permit holder or  applicant fails 11. Fails to notify the board in writing within 30  days of the suspension, revocation, or surrender of a license, certificate, or  permit in connection with a disciplinary action in any other jurisdiction or of  any license, certificate, or permit that has been the subject of disciplinary  action in any other jurisdiction; or 
    9. In accordance with § 54.1-204 of the Code of Virginia,  the licensee, certificate holder, permit holder or applicant has been convicted  in any jurisdiction of a misdemeanor or felony that directly relates to the  profession of barbering, cosmetology, or nail care. The board shall have the  authority to determine, based upon all the information available, including the  applicant's record of prior convictions, if the applicant is unfit or unsuited  to engage in the profession of barbering, cosmetology, or nail care. The board  will decide each case by taking into account the totality of the circumstances.  Any plea of nolo contendere shall be considered a conviction for the purposes  of this section. The applicant shall provide a certified copy of a final order,  decree or case decision by a court or regulatory agency with the lawful  authority to issue such order, decree or case decision, and such copy shall be  admissible as prima facie evidence of such conviction. This record shall be  forwarded by the applicant to the board within 10 days after all appeal rights  have expired. 
    12. Has been convicted or found guilty, regardless of the  manner of adjudication in Virginia or any other jurisdiction of the United  States, of a misdemeanor involving moral turpitude, sexual offense, drug  distribution, or physical injury or any felony, there being no appeal pending  therefrom or the time for appeal having elapsed. Review of convictions shall be  subject to the requirements of § 54.1-204 of the Code of Virginia. Any  plea of nolo contendere shall be considered a conviction for purposes of this  subdivision. The record of a conviction certified or authenticated in such form  as to be admissible in evidence under the laws of the jurisdiction where  convicted shall be admissible as prima facie evidence of such conviction or  guilt;
    13. Fails to inform the board in writing within 30 days of  pleading guilty or nolo contendere or being convicted or found guilty  regardless of adjudication of any convictions as stated in subdivision 12 of  this section;
    14. Allows, as an owner or operator of a shop, salon, or  school, a person who has not obtained a license or a temporary permit to  practice as a barber, cosmetologist, nail technician, or wax technician unless  the person is duly enrolled as a registered apprentice;
    15. Allows, as an owner or operator of a school, a person  who has not obtained an instructor certificate or a temporary permit to  practice as a barber, cosmetologist, nail technician, or wax technician  instructor;
    16. Fails to take sufficient measures to prevent  transmission of communicable or infectious diseases or fails to comply with  sanitary requirements provided for in this chapter or any local, state, or  federal law or regulation governing the standards of health and sanitation for  the practices of barbering, cosmetology, nail care, or waxing, or the operation  of barbershops, cosmetology salons, nail salons, or waxing salons; or
    17. Fails to comply with all procedures established by the  board and the testing service with regard to conduct at the examination.
    B. The board may, in considering the totality of the  circumstances, revoke, suspend or refuse to renew or reinstate the license of  any school or impose a fine as permitted by law, or both, if the board finds  that: 
    1. An instructor of the approved school fails to teach the  curriculum as provided for in these regulations; 
    2. The owner or director of the approved school permits or  allows a person to teach in the school without a current instructor  certificate; or 
    3. The instructor, owner or director is guilty of fraud or  deceit in the teaching of barbering, cosmetology or nail care. 
    C. The board may, in considering the totality of the  circumstances, revoke, suspend or refuse to renew or reinstate the license of  any barbershop, cosmetology or nail salon or impose a fine as permitted by law,  or both, if the board finds that:
    1. The owner or operator of the shop or salon fails to  comply with the sanitary requirements of barbershops or cosmetology or nail  salons provided for in these regulations or in any local ordinances; or 
    2. The owner or operator allows a person who has not  obtained a license or a temporary permit to practice as a barber,  cosmetologist, or nail technician unless the person is duly enrolled as a  registered apprentice. 
    D. The board may, in considering the totality of the  circumstances, revoke, suspend or refuse to renew or reinstate the license of  any licensee or impose a fine as permitted by law, or both, if the board finds  that the licensee fails to take sufficient measures to prevent transmission of  communicable or infectious diseases or fails to comply with any local, state or  federal law or regulation governing the standards of health and sanitation for  the practices of barbering, cosmetology, or nail care. 
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS  (18VAC41-20) 
    Barber  – Barber Instructor Examination & Instructor Application, A425-1301_02EXLIC  (eff. 9/11)
    Cosmetology  – Cosmetology Instructor Examination & License Application,  A425-1201_04EXLIC (eff. 9/11)
    Nail  Technician – Nail Technician Instructor Examination & License Application,  A425-1206_07EXLIC (eff. 9/11)
    Temporary  Permit Application, A425-1213TP (eff. 9/11)
    License  by Endorsement Application, A425-1213END (rev. 2/14)
    Barber - Barber  Instructor Examination & License Application, A450-1301_02EXLIC-v12 (rev.  7/2016)
    Cosmetology -  Cosmetology Instructor Examination & License Application,  A450-1201_04EXLIC-v15 (rev. 7/2016)
    Nail Technician  - Nail Technician Instructor Examination & License Application,  A450-1206_07EXLIC-v13 (rev. 7/2016)
    Wax Technician -  Wax Technician Instructor Examination & License Application, A450-1214_15EXLIC-v12  (rev. 7/2016)
    Temporary Permit  Application, A450-1213TEMP-v2 (rev. 7/2016)
    License by  Endorsement Application, A450-1213END-v8 (rev. 7/2016)
    Training & Experience Verification Form, A425-1213TREXP (eff. 9/11)
    Reinstatement  Application, A425-1213REI (rev. 2/14)
    Salon,  Shop, Spa & Parlor License Application A425-1213BUS (rev. 2/14)
    Individuals -  Reinstatement Application, A450-1213REI-v8 (rev. 7/2016)
    Salon, Shop, Spa  & Parlor License/Reinstatement Application A450-1213BUS-v8 (rev. 7/2016)
    Salon, Shop & Spa Self Inspection Form, A425-1213_SSS_INSP (eff.  9/11)
    Instructor  Certification Application, A425-1213INST (rev. 2/14)
    School  License Application, A425-1213SCH (rev. 2/14)
    Instructor  Certification Application, A450-1213INST-v7 (rev. 7/2016)
    Student  Instructor - Temporary Permit Application A450-1213ST_TEMP-v2 (rev. 7/2016)
    School License  Application, A450-1213SCHL-v8 (rev. 7/2016)
    School Self Inspection Form, A425-1213SCH_INSP (eff. 9/11)
    Licensure Fee Notice, A425-1213FEE (rev. 2/14)
    Change of  Responsible Management Application, A450-1213CRM-v1 (rev. 7/2016)
    VA.R. Doc. No. R12-3107; Filed September 25, 2015, 9:23 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR BARBERS AND COSMETOLOGY
Proposed Regulation
    Title of Regulation: 18VAC41-70. Esthetics  Regulations (amending 18VAC41-70-10 through 18VAC41-70-40,  18VAC41-70-60 through 18VAC41-70-110, 18VAC41-70-160, 18VAC41-70-230,  18VAC41-70-240, 18VAC41-70-260, 18VAC41-70-270, 18VAC41-70-280; adding 18VAC41-70-35;  repealing 18VAC41-70-170, 18VAC41-70-220). 
    Statutory Authority: § 54.1-201 of the Code of Virginia.
    Public Hearing Information:
    December 16, 2015 - 1:15 p.m. - Department of Professional  and Occupational Regulation, 9960 Mayland Drive, Suite 200, Board Room 1,  Richmond, VA 23233
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Demetrios J. Melis, Executive Director,  Board for Barbers and Cosmetology, 9960 Mayland Drive, Suite 400, Richmond, VA  23233, telephone (804) 367-8590, FAX (804) 527-4295, or email  barbercosmo@dpor.virginia.gov.
    Basis: Section 54.1-201 of Code of Virginia gives  authority to the Board for Barbers and Cosmetology to promulgate regulations  and states, in part, that the board has the power and duty "To promulgate  regulations in accordance with the Administrative Process Act (§ 2.2-4000 et  seq.) necessary to assure continued competency, to prevent deceptive or  misleading practices by practitioners and to effectively administer the  regulatory system administered by the regulatory board."
    Purpose: The board seeks to amend its current  regulations to ensure they are as least intrusive and burdensome as possible to  provide an environment without unnecessary regulatory obstacles while still  protecting the health, safety, and welfare of the public. Additionally, the  board seeks to ensure regulations are clearly written and easily understandable  and are representative of the current advancements and standards of the  industries. Furthermore, the board seeks to strengthen some of its reporting  requirements and prohibited acts to address areas of vulnerabilities for the perpetration  of fraud by applicants and regulants. The board is also adding regulations to  allow for esthetics apprenticeships.
    Substance: The proposed amendments:
    18VAC41-70-10. Add new definitions of the terms "business  entity," "firm," "responsible management," "sole  proprietor," and "post-secondary education level" and amend the  term "licensee" to clarify usage in the chapter.
    18VAC41-70-20. Require applicants to disclose all felony  convictions during their lifetime and certain misdemeanors within the last three  years and allow that the board may deny licensure to any applicant having prior  disciplinary violations for which the board deems the applicant unfit to engage  in the profession.
    18VAC41-70-30. Clarify endorsement requirements and extend this  avenue of licensure to master estheticians. 
    18VAC41-70-35. Establish requirements for esthetics  apprenticeships and allow exam eligibility upon successful completion of the  apprenticeship by adding this new section.
    18VAC41-70-40. Add requirements that if an applicant does not  apply for licensure within five years of passing both exams, he must reapply  and clarify that the board will only retain examination records for  nonapplicants for a maximum of five years.
    18VAC41-70-60. Clarify and standardize requirements for  examiners and chief examiners and bring the esthetics regulations in line with  other board regulations.
    18VAC41-70-70. Clarify that no fees will be charged for a  temporary license and that the license will not be issued where grounds exist  to deny the license.
    18VAC41-70-80. (i) Add the requirement that the applicant spa's  license be in good standing and require applicants and all members of  responsible management to disclose all felony convictions during their  lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity and add that the board may deny licensure to  any applicant having prior disciplinary violations for which the board deems  the applicant unfit to engage in the profession; (ii) require disclosure of the  applicant's physical address, the firm's responsible management, and  certification that the applicant has read applicable laws and regulations;  (iii) add the requirement that voided licenses be returned to the board within  30 days and set forth what events void a license; (iv) require any change in  responsible management be reported to the board within 30 days of the change;  and (v) allow the board to inspect a shop or salon during reasonable hours, and  define reasonable hours.
    18VAC41-70-90. (i) Add the requirement that the applicant  school's license be in good standing and require applicants and all members of  responsible management to disclose all felony convictions during their  lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity and add that the board may deny licensure to  any applicant having prior disciplinary violations for which the board deems  the applicant unfit to engage in the profession; (ii) require disclosure of the  applicant's physical address, the firm's responsible management, and  certification that the applicant has read applicable laws and regulations;  (iii) incorporate 18VAC41-70-170, add the requirement that voided licenses be  returned to the board within 30 days, and set forth what events void a license;  (iv) require any change in responsible management be reported to the board  within 30 days of the change; (v) exempt schools under the Virginia Department  of Education; and (vi) allow the board to inspect a school during reasonable  hours, and define reasonable hours. 
    18VAC41-70-100. Require esthetics instructor applicants to hold  a current license in esthetics and to disclose all felony convictions during  their lifetime, certain misdemeanors within the last three years, and any prior  discipline by a licensing entity and allow for application denial where the  board deems the applicant unfit or unsuited to engage in the profession.
    18VAC41-70-110. Require master esthetics instructor applicants  to hold a current license in master esthetics and to disclose all felony  convictions during their lifetime, certain misdemeanors within the last three  years, and any prior discipline by a licensing entity and allow for application  denial where the board deems the applicant unfit or unsuited to engage in the  profession.
    18VAC41-70-160. Clarify and standardize the requirements for  failing to renew licensure. 
    18VAC41-70-170. Repeal this section, which is incorporated into  18VAC41-70-90.
    18VAC41-70-220. Repeal this section, which is already contained  within 18VAC41-70-90.
    18VAC41-70-230. Add specific requirements for recordkeeping and  add a requirement that schools provide certain documentation to the board  within specified time periods.
    18VAC41-70-240. Add the requirement that schools provide student  rosters to the board twice a year at specified intervals. 
    18VAC41-70-260. Add certificate display requirements for  apprentices.
    18VAC41-70-270. (i) Clarify the disinfection process between  clients; (ii) add language about disinfecting tubs and bowls used for nail  care, upkeep of the immediate area around wax pots, and requiring client  bathrooms with hot and cold water; (iii) add regulations regarding sanitary  storage of soiled and clean linens, sanitary containers, labeling, and  disinfectant for nail care; and (iv) specify what should be included in the  blood spill cleanup kit.
    18VAC41-70-280. (i) Provide grounds for discipline for failing  to teach the approved curriculum, committing bribery, failing to respond to or  providing false or misleading information to the board or its agents, and  refusing to allow inspection of any shop, salon, or school; (ii) clarify and  refine grounds for discipline for certain criminal convictions and failing to  report convictions within a certain time period; (iii) provide grounds for  discipline for allowing unlicensed activity, failing to take sufficient  measures to prevent transmission of communicable disease, and failing to comply  with all procedures with regard to conduct at the examination
    Issues: The primary advantage of the proposed amendments  to the public is the addition of the apprenticeship program as a method of  entry into the profession. Currently, the only avenue for entry is through  training at proprietary schools, which may be financially burdensome for some  who seek to enter the profession, potentially limiting the number of  estheticians who enter the workforce, thus small businesses may have a reduced  number of qualified employees to hire. The existence of the Department of Labor  and Industry apprenticeship structure will facilitate an efficient and  expeditious outcome to this change while providing an avenue to pursue training  while being paid at least minimum wage as required by the apprenticeship  program. Additionally, the board will continue to approve applicants and  license professionals for which it has safeguards to ensure proper competency  and standards of conduct as required by statute. The addition of prohibited  acts will reduce fraud and better ensure the regulant population is minimally  competent. The clarification of requirements regarding sanitation and health  safety will ensure that the health, safety, and welfare of the public are  better served. Further, regulants and applicants within these professions will  be able to read the board's requirements with greater clarity and  understanding. The added clarity of the language in the proposed regulations  will facilitate a quicker and more efficient process for applicants and  regulants by enhancing their understanding of their individual requirements.  Further, consumers in the public, as well as regulators from related agencies,  will have a better understanding of board requirements, which will also allow  them to conduct their business with greater efficiency. 
    The primary advantage to the Commonwealth will be the positive  economic impact of an increase of eligible estheticians entering the workforce  who go through the apprenticeship program and potentially contribute to an  increase in small businesses, the strengthening of existing small businesses, and  a segment of the population with higher earning potential. Additionally, the  proposed regulations would provide an avenue to pursue training while being  paid at least minimum wage as required by the apprenticeship program. Another  advantage is the continued successful regulation of estheticians and master  estheticians who meet the minimum entry standards as required by statute. The  proposed amendments strengthen the department's ability to investigate and  discipline regulants who disregard the health, safety, and welfare of the  public. No disadvantage has been identified.
    The addition of apprenticeship as a method of entry will likely  have a multifaceted positive economic impact. The clarification of the proposed  language will facilitate greater understanding of board requirements for all  involved.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. As a result  of a periodic review, the Board for Barbers and Cosmetology (Board) proposes to  make many substantive and clarifying changes to its regulations. Specifically,  the Board proposes to:
    1) Add a definition for "responsible management" and  specify that responsible management must be in good standing if already  licensed in Virginia or any other political jurisdiction and must provide a  physical address (rather than a post office box) to the Board,
    2) Change criminal background reporting requirements,
    3) Require that individuals apply for licensure within five  years of taking their licensure exam,
    4) Allow the Board to decline to issue licenses, temporary  permits and temporary instructor permits if grounds exist that would allow the  Board to deny licensure (criminal activity, disciplinary action from this Board  or any other, etc.),
    5) Require that voided licenses be returned to the Board within  30 days of them being voided,
    6) Allow individuals to obtain required training in an  apprenticeship program and to take the licensure examination after successful  completion of that program,
    7) Require schools that are licensed by the Board have copies  of any agreements that allow them to use necessary equipment that is owned by  another entity,
    8) Require schools licensed by the Board to periodically  provide student rosters,
    9) Require a 2x2 headshot of students attending any school  licensed by the Board be attached to their student record files and
    10) Require all shops, salons and schools licensed by the Board  to have a bathroom with hot and cold running water in their facility.
    Result of Analysis. Benefits likely exceed costs for some  proposed regulatory changes; for some changes, there is insufficient  information to ascertain whether benefits will outweigh costs. One proposed  change as written is far more expensive than it need be. Costs likely outweigh  benefits for at least one proposed change.
    Estimated Economic Impact. Current regulations are not written  so that the Board receives information about criminal convictions or past Board  disciplinary actions for individuals whose businesses are licensed as limited  liability corporations (LLC). This means that owners of a licensed business  that is disciplined and loses its license can incorporate a new business and  apply for a license and the Board would not know about past disciplinary  actions against, essentially, the same entity. Because of situations such as  this, the Board now proposes to add a definition for "responsible  management" to include owners and officers of an LLC and also proposes to  require that such entities be in good standing with this Board as well as any  others where they might be licensed. This action will allow the Board to track  owners of licensed businesses and deny licensure to businesses that have been  disciplined, and lost their licenses, in the past. This change is likely to  benefit the public as it will keep businesses that have been disciplined in the  past from opening up under a new name but likely with the same unsafe or  unethical practices that lost them their license in the first place. 
    Current regulations require that applicants for licensure  disclose, and provide corroborating paperwork, to the Board for all misdemeanor  and felony convictions. Board staff reports, however, that most misdemeanor  convictions would normally not be considered grounds for denial of licensure.  This means that currently applicants for licensure are spending time and money  to gather paperwork from whatever jurisdictions they need to, including  jurisdictions very far away from Virginia, and that the Board is spending time  unnecessarily looking at paperwork for legal infractions that have no bearing  on whether the applicant is likely to provide safe and ethical services to  their clients. To address these issues, the Board now proposes to limit the  scope of convictions that applicants must report to misdemeanors involving  moral turpitude that occur within three years of application for licensure and  all felony convictions regardless of when they occurred. Affected applicants  for licensure will benefit from this as they will not have to incur expenses  for gathering paperwork associated with older misdemeanors or misdemeanors that  do not involve moral turpitude, which may only be available if they physically  go to the courthouses where convictions occurred. The Board will also benefit  from not being inundated with paperwork that is unlikely to affect the  licensing decisions they make.
    Currently, individuals may apply for licensure any time after  they complete training requirements and pass their licensure exams (written and  practical) without time limits. The Board feels that practical methodology in  fields licensed by the Board change enough over time that individuals who  passed their licensure exams a long time before they actually apply for  licensure may no longer be competent to practice. As a consequence, the Board  proposes to specify that individuals must apply for licensure no longer than  five years after they take the licensure exams. Any individuals applying for  licensure past that timeframe will have to pay to take the licensure exams  again (currently this costs $170 to take both). The benefits of this change  will only outweigh the costs if changes within fields licensed by the Board are  significant enough to render individuals incompetent to practice without  refreshing their knowledge and retaking the exam. There is insufficient  information to ascertain whether this would be the case.
    Board staff reports that currently the Board requires  applicants for licensure to disclose past crimes and disciplinary actions but  that current regulations do not allow the Board to deny licensure because of  the information disclosed. The Board now proposes to add language to these  regulations that will allow the Board to deny the issuance of licenses,  temporary permits and temporary instructor permits if they believe that any  information disclosed to the Board would deem the applicant unfit or unsuited  to practice in fields that are licensed by the Board. This change will likely  benefit the public as it will allow the Board to decline to license individuals  that have, for instance, a past history of injury to clients in other  jurisdictions.
    Current regulations require that the Board be notified within  30 days if a Board issued business license is voided for any reason (the  business has been sold, responsible management has changed, etc.) and also  require that the voided license be returned to the Board but does not specify  when. Because the Board is concerned that holders of these licenses will pass  them to other entities that might fraudulently set up shop with them, the Board  now proposes to require that voided licenses be returned to the Board within 30  days of the change that voided them. To the extent that it is complied with,  this change will greatly benefit the public as it will stop the offering of  services that would be performed fraudulently under a license that does not  belong to the individual(s) offering those services. 
    Currently, individuals who wish to obtain an esthetician's or  master esthetician's license must obtain required training at one of the 48  esthetics schools in the Commonwealth; attending one of these schools costs  between $15,000 and $20,000. The Board now proposes to allow an alternate path  to licensure by working with the Department of Labor and Industry to set up  standards for an apprenticeship program in esthetics. After these standards are  set, individually licensed estheticians and master estheticians as well as  esthetics spas will be able to offer apprenticeships which will allow  individuals to obtain on the job training that, when successfully completed,  will qualify them to take the licensure exam and become licensed. This change  will benefit individuals who wish to become estheticians as it will offer them  a way to become licensed that does not cost thousands of dollars. This change  will also likely benefit the public as it may lead to more people entering this  professional field which may, in turn, lead to the costs of esthetics services  dropping. Esthetics schools will likely not benefit from this change as they  will not be getting tuition from individuals who currently must use their  services in order to become licensed.
    The Board proposes several other regulatory changes to prevent  possible fraudulent activity at licensed schools. Specifically the Board  proposes to require schools that do not own equipment necessary for teaching to  have copies of agreements that allow them to access equipment owned by other  entities for their students to use; schools will also be required to  periodically provide the Board with student rosters.  These changes will  allow Board staff to verify that students will have access to the equipment  needed to learn Board required skills and that schools are not making up  student files only when they are inspected by the Board. Board staff reports  that these changes will likely cost less than $25 per year in compliance costs.  These costs are likely outweighed by the benefits that will likely accrue to  students who will be more likely to be guaranteed to have access to equipment  necessary for their education.
    The Board also proposes to require that student files include a  2x2 head and shoulder photo of the student. Board staff reports that this will  be required to combat rampant testing fraud and will allow the identity of  students taking licensure exams to be verified. While this change is likely to  benefit the public, because fewer individuals would presumably be licensed  without actually passing the licensure exam, the cost of compliance for this  requirement as written will likely be far higher than it needs to be. 2x2 (passport  size) photos cost between $8 and $121 whereas larger, more  conventionally sized photos, are far cheaper. A 4x6 photo print, for instance,  can be printed for as little as $0.09 at Walmart. Compliance costs for this  requirement could be very easily significantly reduced if the Board changed the  proposed language to require a photo that was at least 2x2 rather than exactly  2x2. 
    Finally, current regulations require that licensed shops, spas  and schools have "a fully functional bathroom in the same building with a  working toilet and sink." Some enforcement agents have allowed licensed  facilities in malls to count the mall bathrooms as meeting this requirement and  some enforcement agents have said that mall bathrooms do not meet this  requirement. Board staff reports that the Board is concerned that allowing mall  bathrooms to meet regulatory requirements will have a client wandering far  afield of licensed facilities, possibly in the middle of a chemical peel. Board  staff reports that the Board feels it would be safer for clients if licensed  facilities are required to have bathrooms within their shops. The Board now  proposes to add language to these regulations that requires licensed facilities  have bathrooms that are "maintained exclusively for client use." Board  staff estimates that there are approximately 15 licensed facilities that are  located in malls and do not have bathroom facilities within the confines of  their shops that would have to either move or build a bathroom in order to  comply with this proposed regulatory change. Board staff further estimates that  building a bathroom in shops that do not have them can cost between $2,000 and  $10,000. Given the high cost of requiring shops to meet a stricter standard  than is sometimes allowed now, costs for this proposed change likely outweigh  the benefits of increased convenience for clients and possibly avoiding  chemical burns if clients go to use the mall bathroom and stay away longer than  they should or longer than is advised.
    Businesses and Entities Affected. The Department of  Professional and Occupational Regulation (DPOR) reports that the Board  currently licenses 2,851 estheticians, 550 esthetics and 48 esthetics schools  in the Commonwealth. All of these entities, as well as future licensees, will  be affected by these proposed changes. Most, if not all, spas and schools would  likely qualify as small businesses. 
    Localities Particularly Affected. No locality will be  particularly affected by this proposed regulatory action. 
    Projected Impact on Employment. A new proposed requirement that  individuals apply for licensure within five years of taking their licensure  exam may increase costs for these individuals (as they would have to study for  and retake their exam) and may slightly decrease the probability of them  becoming licensed and working in fields licensed by the Board. Board staff  believes from anecdotal evidence that such a situation would be extremely rare.
    Effects on the Use and Value of Private Property. Proposed  changes such as requiring in-shop client bathrooms where shops currently are  allowed to be in regulatory compliance by being in a large facility (such as a  mall) that has bathroom accommodations are likely to greatly increase costs,  and lower profits, for affected shops
    Small Businesses: Costs and Other Effects. Proposed  requirements that impact bathroom facilities will likely increase costs for  affected small businesses. Several proposed requirements, such as having to  periodically provide student rosters and have 2x2 headshots attached to student  files, are likely to increase costs either for schools or for both schools and  their students. 
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The Board would likely be able to decrease costs for regulated entities  by allowing photos that were larger than 2x2 for student files. The Board also  may wish to revisit proposed bathroom requirements. 
    Real Estate Development Costs. Proposed changes such as  requiring in-shop client bathrooms where shops currently are allowed to be in  regulatory compliance by being in a larger facility (such as a mall) that has  bathroom accommodations are likely to increase the cost of building new malls  that will have barber shops or salons as tenants.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 14 (2010).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPB's best estimate for the purposes  of public review and comment on the proposed regulation.
    __________________________________________
    1 An internet search revealed prices for passport photos  ranging from $7.99 at Walmart to $11.99 at CVS. 
    Agency's Response to Economic Impact Analysis: The board  concurs with the analysis for items #1, 2, and #4 through 8 in the Summary of  Proposed Amendments to Regulations. The board respectfully disagrees with items  #3, 9, and 10.
    Estimated Economic Impact:
    1. Summary Item #3: The proposed regulations would require that  an applicant who does not apply for licensure within five years of passing the  exam must retake the exam to be eligible for licensure. 
    Economic Impact Analysis (EIA) Position: "The  benefits of this change will only outweigh the costs if changes within fields  licensed by the board are significant enough to render individuals incompetent  to practice without refreshing their knowledge and retaking the exam." 
    Agency Response: There are several fundamental reasons for  implementing this change in the regulations, not just the single issue raised  by the EIA. For someone who applies for their license more than five years  after taking the exam, the full scope of problems includes:
    • The board cannot know whether they still possess the  knowledge or skill to competently practice,
    • The board does not have access to testing records older than  five years to confirm the applicant truly passed the exam, and
    • Changes in the industry may have made the applicant's  knowledge obsolete.
    Without adding this requirement, the board will face the  dilemma of having to license individuals who may not be minimally competent, as  well as experience increased costs for maintaining exam records in perpetuity.
    Explanation: The board is statutorily required to establish the  qualifications of applicants for licensure. The board utilizes written and  practical examinations to establish that applicants possess the competence to engage  in the profession.
    There are several issues that affect competence when an  applicant has not been engaged with the profession for many years. The EIA  correctly identifies that changes in the industry may render an applicant's  knowledge obsolete. However, the EIA fails to account for the other, more  significant reason, which is that individuals who have not been engaged in the  profession for five years are likely to have forgotten much of the knowledge  and skill for engaging in the practice in a safe manner. The board has no way  of knowing whether an individual who has not been engaged in the practice for  six, 10, or 20 years still has the practical skill or information base to  practice safely. Since the board regulates professions which use chemicals and  must have current knowledge in preventing the transmission of communicable  diseases, it is particularly important that the board meet its statutory  obligation to ensure it licenses minimally competent individuals in order to  protect the public. The board believes that is cannot accurately assess if an  individual possesses the skill and knowledge qualifications for licensure if  those skills and knowledge have not been measured in the previous five years.
    Further, the EIA does not identify that the proposed  regulations add the requirement that records of examinations only be kept for  five years. Currently, while the regulations allow an applicant to apply any  time after they have taken the exam, the board's examination vendor only  maintains exam records for five years. This discrepancy means that the board  has no way to verify that an applicant claiming to have passed the exam more  than five years ago has truly done so. To resolve this conflict without  changing the regulation, the board will have to either require the exam vendor  to maintain records in perpetuity, or start maintaining these records itself.  Either of these options will increase costs either through higher examination  fees for the candidate or if the board were to maintain the records, it would  increase the board's expenses, and ultimately licensing fees. As such, the  board believes that the five year recordkeeping will result in maintaining a  lower cost for licensure, in addition to protecting the public's health,  safety, and welfare.
    2. Summary Item #9: The proposed regulations would require a  2"x2" head and shoulder picture of the students attending any school  licensed by the board be attached to their student record files.
    EIA Position: "[T]he cost of compliance for this  requirement as written will likely be far higher than it needs to be. 2x2  (passport size) photos cost between $8 and $12, whereas larger, conventionally  sized photos, are far cheaper." 
    Agency Response: The proposed regulation does not specify  passport photos, and can be met by any type of photo, as long as the head and  shoulder portion are 2x2. The EIA assumes that the cost of this requirement  will be the cost of acquiring passport photos. However, the EIA's assumptions  fail to take into account that:
    • This requirement is for the schools, not the students, 
    • The regulation does not require passport photos, and
    • Students are already required to provide this 2x2 photo  during the application process. 
    The EIA incorrectly assumes that only a passport photo would  meet this requirement. However, compliance costs would only be in the  $8.00-$12.00 range if the school did not provide this service and if the  student chose to utilize passport photos instead of a low cost or free  alternatives identified below. Further, the proposed regulation provides the  board with an important tool to combat rampant fraud in the pre-licensure  process.
    Explanation: The board is authorized to establish the  qualifications of licensure and to promulgate regulations necessary to  effectively administer the regulatory system. The authority currently in  18VAC41-70-20 of the board's regulations already requires that in order to be  eligible to sit for examination, a student must have completed a board-approved  training program.
    The language contained in proposed 18VAC41-70-230.A, requiring  schools maintain a 2x2 color head and shoulder photo, is a necessary piece of  fraud detection for the board to corroborate that the individual sitting for  the exam is, in fact, the student who completed the training program. This  regulation is being proposed, along with several other recordkeeping measures,  to address fraud in the pre-licensure process. 
    The EIA does not take into account that the requirement is for  the schools. The school would bear the requirement of maintaining the photo,  and may utilize its own photograph equipment to comply with the regulation. It  is likely that there will be variation in the market, with some schools  generating the photo in-house, and others asking the students to provide the  photo.  As such, the cost of the regulation may be as little as the cost  for the school in ink and printer paper.
    The EIA incorrectly assumes that this requirement is met only  with a passport photo. While a school may utilize a passport photo, the  regulation does not specify or require a passport photo. Schools may utilize  whatever sized photo they wish, as long as the head and shoulder portion is  2x2. The EIA's recommendation of using a $0.09 4x6 photo is already acceptable  under the proposed regulation, as long as the head and shoulder portion meets  the 2x2 criteria. In fact, as will be explained below, the board currently  accepts and utilizes these types of photos for the other 2x2 photo  requirements. It is worth noting that even the U.S. Department of State does  not require individuals to purchase passport photos, and has a tool to allow  passport applicants to take their own photo and convert it to the proper  specifications for free. Schools would be able to utilize this free service to  meet the board's requirements.
    The EIA incorrectly assumes that this requirement will create a  new financial burden. Applicants already are required to provide a 2x2 head and  shoulder color photograph when they apply for licensure. This photo must be  submitted along with their application. The examination vendor utilizes this  photo to ensure that the individual taking the exam is the same individual who  applied for licensure. These photograph requirements have been essential to the  board's ability to stop testing fraud. Further, the board frequently sees 4x6  photos, whole or cut down to 2x2. The board also accepts 2x2 photographs that  have been printed on home printers if they meet the standard. This  recordkeeping requirement for the schools, if the school defrays the cost to  the student, only means the student would have to produce an additional copy of  the 2x2 photo. So even if a student chose to utilize the higher cost passport  photo, since passport photos come in sets, ranging from 2 to 10 photos, there  would likely be no additional cost for students utilizing passport photos.
    3. Summary Item #10: The proposed regulations would add to the  existing requirement that shops, salons, schools, and facilities maintain  working toilet and sink, an additional requirement that the bathroom be exclusively  for client use and have hot and cold running water. 
    EIA Position: The EIA argues that, "[g]iven the high cost  of requiring shops to meet a stricter standard than is sometimes allowed now,  costs for this proposed change likely outweigh the benefits…" 
    Agency Response: The proposed regulations address a very rare  situation in which a spa does not have a bathroom exclusively for client use  with hot and cold water, usually because they are situated in a mall. Spas are  already required to have bathrooms, and this change is meant to clarify an  ambiguity in the regulation that has caused confusion for staff and business  owners.  The board has encountered and foresees certain health and safety  risks associated with not having this requirement, such as:
    • Loss of oversight of chemical treatments while clients have  left the spa, and
    • Unsanitary bathroom conditions that the spa has no authority  to address.
    Additionally, this requirement would add a level of  convenience, as patrons would not have to travel across the mall to use the  bathroom. The board believes these are substantial issues for the spas that are  affected. The EIA fails to adequately account for the health and safety risk  this regulation is meant to address and fails to mention that the board may consider  grandfathering existing businesses that would be non-compliant when this  regulation takes effect.
    Explanation: As the EIA explains, this regulation partially  stems out of a concern regarding spas in malls. Spas are already required to  have bathrooms, but spas in mall have the unique problem of not having control  over the common bathroom. This has led to some confusion on the part of staff  and business owners regarding spa responsibility. So, for example, the mall may  temporarily shut down the bathroom for maintenance or cleaning. This would put  the spa in non-compliance with the regulations, even though the spa does not  have control of the situation. This lack of control over the bathroom may lead  to other regulatory violations, since current regulations require the  bathroom's fixtures to be in good repair, have adequate lighting, and  sufficient ventilation. By specifying the bathroom must be exclusively for  client use, this should help resolve this issue and reduce staff and business  owner confusion.
    Also, the board has expressed concern that if salons have to  send their customers from one end of the mall to the other to use the bathroom,  the spa is putting that client at risk. Spas use chemicals (such as those used  in chemical peels) which have the potential to cause injury to clients if not  used correctly, or left on the client for too long. When a client under the  treatment of these chemicals leaves the spa, the spa no longer has oversight of  that client. The spa cannot properly supervise the treatment or ensure that the  chemicals are removed timely when the consumer is off site and subject to  whatever delays they may encounter while at a shopping mall. This situation is  a clear and foreseeable risk to the public which the board seeks to address. 
    Further, the requirement that the bathroom be for client use  only addresses a re-occurring problem of shared bathrooms. The board has  encountered during inspections the situations of spas sharing bathrooms with  other businesses, where the spa did not have control over the sanitation of the  bathroom. This left the board in the dilemma of having to cite a business for  unsanitary conditions it had no control over, or not citing a business that  puts its clients in unsanitary conditions.
    The board is aware that there could be significant costs  associated with renovating a facility to come into compliance with this  proposed regulation. There are currently regulations in place that require spas  to sanitize using hot water. Spas that cannot meet the new standard are likely  unable to meet the current standard either, and thus are not properly  sanitizing their implements. The requirement for hot and cold water is not  necessarily adding a new requirement, but rather clarifying the need for hot  water. Despite this, the board will consider implementing a grandfather clause  for facilities that this regulation may adversely affect due to what could be  very large costs to comply. It is estimated that there are very few spas that  would be adversely affected by this regulation. Even with a grandfather  provision, the board believes that applying the proposed regulation to new spas  going forward will ensure a more sanitary and safer experience as the industry  moves toward this standard. 
    Effects on the Use and Value of Private Property.
    EIA Position: "Proposed changes such as requiring in-shop  client bathrooms where shops currently are allowed to be in regulatory  compliance by being in a large facility (such as a mall) that has bathroom  accommodations are likely to greatly increase costs, and lower profits, for  affected shops."
    Agency Response: The board believes that while the very few  spas that would be affected by this change would incur a one-time expense, the  actual use and value of the property would increase. Adding a bathroom to a  facility that does not currently have one makes the building more functional  and desirable as a marketable space. 
    Small Businesses: Costs and Other Effects.
    EIA Position: "Proposed requirements that impact bathroom  facilities will likely increase costs for affected small businesses. Several  proposed requirements, such as having to periodically provide student rosters  and have 2x2 headshots attached to student files, are likely to increase costs  either for schools or for both schools and their students."
    Agency Response: As noted above, the board believes that there  are very few spas, 15 or less, that would be affected by the requirement to  have bathrooms exclusively for client use. 
    The reporting requirements being added in this action,  including the 2x2 headshot, are not anticipated to have significant costs  associated with compliance. The board expects that compliance costs for all of  the new reporting requirements should be less than $25 annually. For those that  choose to utilize digital recordkeeping, there may not be any increased costs  at all. It should be noted that the board currently is contracting with an exam  vendor that allows schools to maintain almost all of the required records on  the vendor's online servers, at no charge to the school. Since the board has  access to these servers, schools that utilize this free service would  essentially automatically be in compliance with the new regulations.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact:
    EIA Position: "The board would likely be able to decrease  costs for regulated entities by allowing photos that were larger than 2x2 for  student files. The board also may wish to revisit proposed bathroom  requirements."
    Agency Response: As noted above, schools may be able to meet  the 2x2 photograph requirement several ways for little or no cost. The  requirement is that the head and shoulder portion of the photo be 2x2. This  does not preclude the use of larger photos, only necessitates cropping the  photo to meet the board's requirement. Additionally, the Department of State  has a free program that converts digital photos to the standards required by  the board.
    The board believes that the requirement for spas to have  bathrooms available exclusively for client use is necessary to protect the health,  safety, and welfare of the public. 
    Summary:
    The proposed amendments are the result of a periodic review  and include clarifying text to ensure consistency with other board regulations  and state and federal laws and compliance with current industry standards.  Changes include (i) adding new definitions; (ii) requiring disclosure of  felonies, certain misdemeanors, and disciplinary actions; (iii) allowing  individuals to obtain required training in esthetics apprenticeship programs  and to take licensure exams after successful completion of such a program; (iv)  requiring individuals to apply for licensure within five years of taking their  exams; (v) clarifying that no fee is charged for a temporary license; (vi)  requiring voided licenses to be returned to the board within 30 days and  clarifying what circumstances may lead to a voided license; (vii) allowing for  board inspection of shops, salons, and schools during reasonable hours; (viii)  requiring schools to provide specific information to the board and within  required time periods; (ix) providing grounds for discipline for several  prohibited actions; and (x) updating sanitation requirements for salons, shops,  and schools, including requiring salons and shops to provide a client bathroom.
    Part I 
  General 
    18VAC41-70-10. Definitions.
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise. All  terms defined in Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia are incorporated in this chapter.
    "Business entity" means a sole proprietorship,  partnership, corporation, limited liability company, limited liability  partnership, or any other form of organization permitted by law. 
    "Credit hour" means a combination of the number of  hours in class each week and the number of hours per week in a laboratory by  which a school may measure its course work. One unit of credit equals one hour  of classroom study, two hours of laboratory experience or three hours of  internship or practicum or a combination of the three times the number of weeks  in the term. Emerging delivery methodologies may necessitate a unit of  undergraduate credit to be measured in nontime base methods. These courses  shall use the demonstration of competency, proficiency, or fulfillment  of learning outcomes to ensure these courses are equivalent to traditionally  delivered courses. 
    "Direct supervision" means that a Virginia licensed  esthetician or master esthetician shall be present in the esthetics spa  or esthetics school at all times when services are being performed by a  temporary license holder or student.
    "Endorsement" means a method of obtaining a license  by a person who is currently licensed in another state or jurisdiction.
    "Firm" means any business entity recognized  under the laws of the Commonwealth of Virginia.
    "Licensee" means any individual, sole  proprietorship, partnership, association, corporation,  limited liability company, or corporation limited liability  partnership, or any other form of organization permitted by law holding a  license issued by the Board for Barbers and Cosmetology, as defined in § 54.1-700 of the Code of Virginia. 
    "Post-secondary educational level" means an  accredited college or university that is approved or accredited by the Commission  on Colleges or by an accrediting agency that is recognized by the U.S.  Secretary of Education. 
    "Reinstatement" means having a license restored to  effectiveness after the expiration date has passed.
    "Renewal" means continuing the effectiveness of a  license for another period of time.
    "Responsible management" means the following  individuals:
    1. The sole proprietor of a sole proprietorship;
    2. The partners of a general partnership;
    3. The managing partners of a limited partnership;
    4. The officers of a corporation;
    5. The managers of a limited liability company;
    6. The officers or directors of an association or both; and
    7. Individuals in other business entities recognized under  the laws of the Commonwealth as having a fiduciary responsibility to the firm.
    "Sole proprietor" means any individual, not a  corporation, 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. 
    "Virginia state institution" for the purposes of  this chapter means any institution approved by the Virginia Department of  Education.
    Part II 
  Entry 
    18VAC41-70-20. General requirements for an esthetician license  or master esthetician license.
    A. In order to receive a license as an esthetician or  master esthetician, an applicant must Any individual wishing to engage  in esthetics or master esthetics shall obtain a license in compliance with § 54.1-703 of the Code of Virginia and meet the following qualifications:
    1. The applicant shall be in good standing as a licensed  esthetician in every jurisdiction Virginia and all other  jurisdictions where licensed. The applicant shall disclose to the board at  the time of application for licensure any disciplinary action taken in another  jurisdiction Virginia and all other jurisdictions in connection with  the applicant's practice as an esthetician. This includes but is not limited  to monetary penalties, fines, suspensions, revocations, surrender of a license  in connection with a disciplinary action, or voluntary termination of a  license. The applicant shall disclose to the board at the time of  application for licensure whether he has been previously licensed in Virginia  as an esthetician or master esthetician.
    Upon review of an applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in esthetics or master  esthetics. The board will decide each case by taking into account the totality  of the circumstances. Any plea of nolo contendere or comparable plea shall be  considered a disciplinary action for the purposes of this section. The  applicant shall provide a certified copy of a final order, decree, or case  decision by a court, regulatory agency, or board with the lawful authority to  issue such order, decree, or case decision, and such copy shall be admissible  as prima facie evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A post  office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  esthetics license laws and the board's esthetics regulations this  chapter.
    4. In accordance with § 54.1-204 of the Code of Virginia, each  applicant shall disclose a conviction, in any jurisdiction, of any  misdemeanor or felony. Any plea of nolo contendere shall be considered a  conviction for this purpose of this section. The record of a conviction  certified or authenticated in such form as to be admissible in evidence under  the laws of the jurisdiction where convicted shall be admissible as prima facie  evidence of such guilt. The board, at its discretion, may deny licensure or  certification to any applicant in accordance with § 54.1-204 of the Code of  Virginia the following information regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall provide evidence satisfactory to the  board that the applicant has passed the board-approved examination requirement  administered either by the board or by independent examiners.
    B. Eligibility to sit for board-approved examination.
    1. Training in the Commonwealth of Virginia. Any person completing  an approved esthetics training program or a master esthetics training program  in a Virginia licensed esthetics school shall be eligible for the applicable  examination.
    2. Training outside of the Commonwealth of Virginia. Any  person completing esthetics training that is substantially equivalent to the  Virginia program but is outside of the Commonwealth of Virginia must submit to  the board documentation of the successful completion of training to be eligible  for examination. If less than the required hours of esthetics training was  completed, an applicant must submit a certificate, diploma, or other  documentation acceptable to the board verifying the completion of a  substantially equivalent esthetics course and documentation of six months of  work experience as an esthetician in order to be eligible for the esthetician  examination.
    18VAC41-70-30. License by endorsement.
    Upon proper application to the board, any person currently  licensed to practice as an esthetician or master esthetician in any  other state or jurisdiction of the United States and who has completed both a  training program and a written examination and a practical examination requirement  that is are substantially equivalent to that those  required by this chapter may be issued an esthetician or master esthetician  license without an examination. The applicant must also meet the requirements  set forth in 18VAC41-70-20 A.
    18VAC41-70-35. Apprenticeship training. 
    A. Licensed estheticians and master estheticians who train  apprentices shall comply with the standards for apprenticeship training  established by the Division of Registered Apprenticeship of the Virginia  Department of Labor and Industry and the Virginia Board for Barbers and  Cosmetology. Owners of esthetics spas who train apprentices shall comply with  the standards for apprenticeship training established by the Division of  Registered Apprenticeship of the Virginia Department of Labor and Industry. 
    B. Any person completing the Virginia apprenticeship  program in esthetics or master esthetics shall be eligible for examination.
    18VAC41-70-40. Examination requirements and fees.
    A. Applicants for initial licensure shall meet the pass  both a written examination and a practical examination requirement  approved by the board. The examinations may be administered by the board or by  a designated testing service. The board maintains discretion in determining  the license requirements. 
    B. Any applicant who passes one part of the examination  shall not be required to take that part again provided both parts are passed  within one year of the initial examination date. 
    B. C. Any candidate failing to appear as  scheduled for examination shall forfeit the examination fee.
    C. D. The fee for examination or reexamination  is subject to contracted charges to the board by an outside vendor. These  contracts are competitively negotiated and bargained for in compliance with the  Virginia Public Procurement Act (§ 2.2-4300 et seq. of the Code of  Virginia). Fees may be adjusted and charged to the candidate in accordance with  these contracts. The fee shall not exceed $225 per candidate.
    E. Any candidate failing to apply for initial licensure  within five years of passing both a written examination and a practical  examination shall be required to retake both portions. Records of examinations  shall be maintained for a maximum of five years.
    18VAC41-70-60. Examination administration.
    A. The examination shall be administered by the board or the  designated testing service. The practical examination shall be supervised by  a chief examiner.
    B. Every esthetics or master esthetics examiner shall hold  a current Virginia license in his respective profession, have three or more  years of active experience as a licensed professional, and be currently  practicing in that profession. Examiners shall attend training workshops  sponsored by the board or by a testing service acting on behalf of the board. 
    C. No certified esthetics or master esthetics instructor  who (i) is currently teaching, (ii) is a school owner, or (iii) is an  apprentice sponsor shall be an examiner. 
    D. Each esthetics or master esthetics chief examiner shall  (i) hold a current Virginia license in his respective profession, (ii) have  five or more years of active experience in that profession, (iii) have three  years of active experience as an examiner, and (iv) be currently practicing in  his respective profession. Chief examiners shall attend training workshops  sponsored by the board or by a testing service acting on behalf of the board. 
    B. E. The applicant shall follow all procedures  established by the board with regard to conduct at the examination. Such  procedures shall include any written instructions communicated prior to  the examination date and any instructions communicated at the site,  either written or oral, on the date of the examination. Failure to comply with  all procedures established by the board and the testing service with regard to  conduct at the examination may be grounds for denial of application.
    18VAC41-70-70. Esthetician temporary license.
    A. A temporary license to work under the direct supervision  of a currently licensed esthetician or master esthetician may be issued only to  applicants for initial licensure that the board finds eligible for the  applicable examination. There shall be no fee for a temporary license.
    B. The temporary license shall remain in force for 45 days  following the examination date. The examination date shall be the first test  date after the applicant has successfully submitted an application to the  board.
    C. Any person continuing to practice esthetics services after  a temporary license has expired may be prosecuted and fined by the Commonwealth  under § §§ 54.1-111 A 1 and 54.1-202 of the Code of  Virginia.
    D. No applicant for examination shall be issued more than one  temporary license.
    E. Temporary permits shall not be issued where grounds may  exist to deny a license pursuant to § 54.1-204 of the Code of Virginia or  18VAC41-70-20.
    18VAC41-70-80. Spa General requirements for a spa  license.
    A. Any individual firm wishing to operate an  esthetics spa shall obtain a spa license in compliance with § 54.1-704.1 of the  Code of Virginia., and shall meet the following qualifications in  order to receive a license: 
    1. The applicant, and all members of the responsible management,  shall be in good standing as a licensed spa in Virginia and all other  jurisdictions where licensed. The applicant shall disclose to the board at the  time of application for licensure, any disciplinary action taken in Virginia  and all other jurisdictions in connection with the applicant's operation of any  esthetics spa or practice of the profession. This includes but is not limited  to monetary penalties, fines, suspensions, revocations, surrender of a license  in connection with a disciplinary action, or voluntary termination of a  license. The applicant shall disclose to the board at the time of application  for licensure if the applicant has been previously licensed in Virginia as an  esthetics spa. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in the operation of an  esthetics spa. The board will decide each case by taking into account the  totality of the circumstances. Any plea of nolo contendere or comparable plea  shall be considered a disciplinary action for the purposes of this section. The  applicant shall provide a certified copy of a final order, decree, or case  decision by a court, regulatory agency, or board with the lawful authority to  issue such order, decree, or case decision, and such copy shall be admissible  as prima facie evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A  post office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  esthetics license laws and this chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information about the firm and all  members of the responsible management regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall disclose the firm's responsible  management. 
    B. An esthetics spa license Shop or salon licenses  are issued to firms as defined in this chapter and shall not be  transferable and shall bear the same name and address of the business. Any  changes in the name, or address, or ownership of the spa  shall be reported to the board in writing within 30 days of such changes. New  owners shall be responsible for reporting such changes in writing to the board  within 30 days of the changes. The board shall not be responsible for  the licensee's, certificate holder's, or permit holder's failure to receive  notices, communications, and correspondence caused by the licensee's,  certificate holder's, or permit holder's failure to promptly notify the board  in writing of any change of name or address or for any other reason beyond the  control of the board.
    C. In the event of a closing of an esthetics spa, the  owner must notify the board in writing within 30 days of the closing, and  return the license to the board. Whenever the legal business entity  holding the license is dissolved or altered to form a new business entity, the  original license becomes void and shall be returned to the board within 30 days  of the change. Additionally, the firm shall apply for a new license, within 30  days of the change in the business entity. Such changes include but are not  limited to: 
    1. Death of a sole proprietor;
    2. Death or withdrawal of a general partner in a general  partnership or the managing partner in a limited partnership; and
    3. Conversion, formation, or dissolution of a corporation,  a limited liability company, or association, or any other business entity recognized  under the laws of the Commonwealth of Virginia.
    D. Any change in the officers of a corporation, managers  of a limited liability company, or officers or directors of an association  shall be reported to the board in writing within 30 days of the change.
    E. The board or any of its agents shall be allowed to  inspect during reasonable hours any licensed shop or salon for compliance with  provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia or this chapter. For purposes of a board inspection, "reasonable  hours" means the hours between 9 a.m. and 5 p.m.; however, if  the licensee generally is not open to the public substantially during the same  hours, "reasonable hours" shall mean the business hours when the  licensee is open to the public.
    18VAC41-70-90. School General requirements for a  school license.
    A. Any individual firm wishing to operate an  esthetics school shall submit an application to the board at least 60 days  prior to the date for which approval is sought, obtain a school license in  compliance with § 54.1-704.2 of the Code of Virginia. All instruction and  training of estheticians shall be conducted under the direct supervision of a  certified esthetics instructor. All instruction and training of master  estheticians shall be conducted under the direct supervision of a certified  master esthetics instructor., and meet the following qualifications in  order to receive a license: 
    1. The applicant and all members of the responsible  management shall be in good standing as a licensed school in Virginia and all  other jurisdictions where licensed. The applicant shall disclose to the board  at the time of application for licensure, any disciplinary action taken in  Virginia and all other jurisdictions in connection with the applicant's  operation of any esthetics school or practice of the profession. This includes  but is not limited to monetary penalties, fines, suspensions, revocations,  surrender of a license in connection with a disciplinary action, or voluntary  termination of a license. The applicant shall disclose to the board at the time  of application for licensure if the applicant has been previously licensed in  Virginia as an esthetics school. 
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in the operation of an  esthetics school. The board will decide each case by taking into account the  totality of the circumstances. Any plea of nolo contendere or comparable plea  shall be considered a disciplinary action for the purposes of this section. The  applicant shall provide a certified copy of a final order, decree, or case  decision by a court, regulatory agency, or board with the lawful authority to  issue such order, decree, or case decision, and such copy shall be admissible  as prima facie evidence of such disciplinary action. 
    2. The applicant shall disclose his physical address. A  post office box is not acceptable.
    3. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands the Virginia  esthetics license laws and this chapter. 
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information about the firm and all  members of the responsible management regarding criminal convictions in  Virginia and all other jurisdictions:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    5. The applicant shall disclose the firm's responsible  management. 
    B. An esthetics Esthetics school license  licenses are issued to firms as defined in this chapter and shall not be  transferable and shall bear the same name and address as the school. Any  changes in the name or the address of record or principal place of  business of the school shall be reported to the board in writing within 30  days of such change. The board shall not be responsible for the licensee's,  certificate holder's, or permit holder's failure to receive notices,  communications, and correspondence caused by the licensee's, certificate  holder's, or permit holder's failure to promptly notify the board in writing of  any change of name or address or for any other reason beyond the control of the  board. The name of the school must indicate that it is an educational  institution. All signs or other advertisements must reflect the name as  indicated on the license issued by the board and contain language indicating it  is an educational institution.
    C. In the event of a change of ownership of a school, the  new owners shall be responsible for reporting such changes in writing to the  board within 30 days of the changes and obtain a new license.
    D. In the event of a school closing, the owner must notify  the board in writing within 30 days of the closing, and return the license to  the board.
    C. Whenever the legal business entity holding the license  is dissolved or altered to form a new business entity, the original license  becomes void and shall be returned to the board within 30 days of the change.  Additionally, the firm shall apply for a new license within 30 days of the  change in business entity. Such changes include but are not limited to: 
    1. Death of a sole proprietor;
    2. Death or withdrawal of a general partner in a general  partnership or the managing partner in a limited partnership; and
    3. Conversion, formation, or dissolution of a corporation,  a limited liability company, an association, or any other business entity  recognized under the laws of the Commonwealth of Virginia.
    D. Any change in the officers of a corporation, managers  of a limited liability company, or officers or directors of an association  shall be reported to the board in writing within 30 days of the change.
    E. Barber schools, cosmetology schools, nail schools, or  waxing schools under the Virginia Department of Education shall be exempted  from licensure requirements. 
    F. The board or any of its agents shall be allowed to  inspect during reasonable hours any licensed school for compliance with  provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of  Virginia or this chapter. For purposes of a board inspection, "reasonable  hours" means the hours between 9 a.m. and 5 p.m.; however, if  the licensee generally is not open to the public substantially during the same  hours, "reasonable hours" shall mean the business hours when the  licensee is open to the public.
    18VAC41-70-100. General requirements for an esthetics  instructor certificate.
    A. Upon filing an application with the Board for Barbers  and Cosmetology, any person meeting the qualifications set forth in this  section shall be eligible for an esthetics instructor certificate if the person  Any individual wishing to engage in esthetics instruction shall meet the  following qualifications:
    1. Holds a current Virginian esthetician license; and The  applicant shall be in good standing as a licensed esthetician in Virginia and  all other jurisdictions where licensed. The applicant shall disclose to the  board at the time of application for licensure any disciplinary action taken in  Virginia and all other jurisdictions in connection with the applicant's  practice as an esthetician. This includes but is not limited to monetary  penalties, fines, suspensions, revocations, surrender of a license in  connection with a disciplinary action, or voluntary termination of a license.  The applicant shall disclose to the board at the time of application for licensure  whether he has been previously licensed in Virginia as an esthetician or master  esthetician.
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in esthetics. The board will  decide each case by taking into account the totality of the circumstances. Any  plea of nolo contendere or comparable plea shall be considered a disciplinary  action for the purposes of this section. The applicant shall provide a  certified copy of a final order, decree, or case decision by a court,  regulatory agency, or board with the lawful authority to issue such order,  decree, or case decision, and such copy shall be admissible as prima facie  evidence of such disciplinary action. 
    2. The applicant shall hold a current Virginia esthetics  license;
    Completes 3. The applicant shall complete one of  the following qualifications:
    a. Passes Pass a course in teaching techniques  at the postsecondary educational level; or
    b. Completes Complete an instructor training  course approved by the Virginia Board for Barbers and Cosmetology under the  supervision of a certified esthetics instructor or master esthetics instructor  in an esthetics school and passes pass an examination in  esthetics instruction administered by the board or by a testing service acting  on behalf of the board.; and
    3. Persons who (i) make application for licensure between  September 20, 2007, and September 19, 2008, and (ii) have completed one year of  documented work experience as an esthetics instructor are not required to  complete subdivision 2 of this subsection.
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information regarding criminal  convictions in Virginia and all other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    B. Esthetics instructors Instructors shall be  required to maintain a Virginia esthetician license.
    18VAC41-70-110. General requirements for a master esthetics  instructor certificate.
    A. Upon filing an application with the Board for Barbers  and Cosmetology, any person meeting the qualifications set forth in this  section shall be eligible for a master esthetics instructor certificate if the  person Any individual wishing to engage in master esthetics instruction  shall meet the following qualifications:
    1. The applicant shall be in good standing as a licensed  master esthetician in Virginia and all other jurisdictions where licensed. The  applicant shall disclose to the board at the time of application for licensure  any disciplinary action taken in Virginia and all other jurisdictions in  connection with the applicant's practice as an master esthetician. This  includes but is not limited to monetary penalties, fines, suspensions,  revocations, surrender of a license in connection with a disciplinary action, or  voluntary termination of a license. The applicant shall disclose to the board  at the time of application for licensure if the applicant has been previously  licensed in Virginia as an esthetician or master esthetician.
    Upon review of the applicant's prior disciplinary action,  the board, in its discretion, may deny licensure to any applicant wherein it  deems the applicant is unfit or unsuited to engage in esthetics or master  esthetics. The board will decide each case by taking into account the totality  of the circumstances. Any plea of nolo contendere or comparable plea shall be  considered a disciplinary action for the purposes of this section. The  applicant shall provide a certified copy of a final order, decree, or case  decision by a court, regulatory agency, or board with the lawful authority to  issue such order, decree, or case decision, and such copy shall be admissible  as prima facie evidence of such disciplinary action. 
    1. Holds 2. The applicant shall hold a current  Virginia master esthetician license; and
    2. Completes 3. The applicant shall complete one  of the following qualifications:
    a. Passes Pass a course in teaching techniques  at the postsecondary educational level; or
    b. Completes Complete an instructor training  course approved by the Virginia Board for Barbers and Cosmetology under the  supervision of a certified esthetics instructor or master esthetics instructor  in an esthetics school and passes pass an examination in  esthetics instruction administered by the board or by a testing service acting  on behalf of the board. 3. Persons who (i) make application for licensure  between September 20, 2007, and September 19, 2008, and (ii) have completed one  year of documented work experience as a master esthetics instructor are not  required to complete subdivision 2 of this subsection.; and
    4. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information regarding criminal  convictions in Virginia and all other jurisdictions:
    a. All misdemeanor convictions involving moral turpitude,  sexual offense, drug distribution, or physical injury within three years of the  date of the application; and
    b. All felony convictions during the applicant's lifetime.
    Any plea of nolo contendere shall be considered a  conviction for purposes of this subsection. The record of a conviction received  from a court shall be accepted as prima facie evidence of a conviction or  finding of guilt. The board, in its discretion, may deny licensure to any  applicant in accordance with § 54.1-204 of the Code of Virginia.
    B. Master esthetics instructors Instructors  shall be required to maintain a Virginia master esthetician license.
    18VAC41-70-160. Failure to renew.
    A. When a licensed individual or entity licensee  fails to renew its license within 30 days following its expiration date, the  licensee shall apply for reinstatement of the license by submitting to the  Department of Professional and Occupational Regulation a reinstatement  application and renewal fee and reinstatement fee.
    B. When an esthetician or master esthetician a  licensee fails to renew his its license within two years  following the expiration date, reinstatement is no longer possible. To resume  practice, the former licensee shall apply for licensure as a new applicant and  shall meet all current application entry requirements and  shall pass the board's current examination for each respective license.  Individuals applying for licensure under this section shall be eligible to  apply for a temporary license from the board under 18VAC41-70-70.
    C. When an esthetics spa fails to renew its license within  two years following the expiration date, reinstatement is no longer possible.  To resume practice, the former licensee shall apply for licensure as a new  applicant and shall meet all current application requirements.
    D. C. The application for reinstatement for a  an esthetics school shall provide (i) the reasons for failing to  renew prior to the expiration date and (ii) a notarized statement that  all students currently enrolled or seeking to enroll at the school have been  notified in writing that the school's license has expired. All of these  materials shall be called the application package. Reinstatement will be  considered by the board if the school consents to and satisfactorily passes an  inspection of the school by the Department of Professional and Occupational  Regulation and if the school's records are maintained in accordance with  18VAC41-70-230 and 18VAC41-70-240. Upon receipt of the reinstatement fee,  application package, and inspection results, the board may reinstate the  school's license or require requalification or both. If the reinstatement  application package and reinstatement fee are not received by the board within  six months following the expiration date of the school's license, the board  will notify the testing service that prospective graduates of the unlicensed  school are not acceptable candidates for the examination. Such notification  will be sent to the school and must be displayed in a conspicuous manner by the  school in an area that is accessible to the public. No student shall be  disqualified from taking the examination because the school was not licensed  for a portion of the time the student attended if the school license is  reinstated by the board.
    When an esthetics school fails to renew its license within  two years following the expiration date, reinstatement is no longer possible.  To resume practice the former licensee shall apply for licensure as a new  applicant and shall meet all current application requirements.
    E. D. The date a renewal fee is received by the  Department of Professional and Occupational Regulation or its agent will be  used to determine whether the requirement for reinstatement of a license is  applicable and an additional fee is required.
    F. E. When a license is reinstated, the  licensee shall have the same license number and shall be assigned an expiration  date two years from the previous expiration date of the license.
    G. F. A licensee who that reinstates  his its license shall be regarded as having been continuously  licensed without interruption. Therefore, a licensee shall be subject to the  authority of the board for activities performed prior to reinstatement.
    H. G. A licensee who that fails  to reinstate his its license shall be regarded as unlicensed from  the expiration date of the license forward. Nothing in this chapter shall  divest the board of its authority to discipline a licensee for a violation of  the law or regulations during the period of time for which the individual or  business entity was licensed.
    Part V 
  Esthetics Schools 
    18VAC41-70-170. Applicants for school license. (Repealed.)
    Any person, firm, or corporation desiring to operate an  esthetics school shall submit an application to the board at least 60 days  prior to the date for which approval is sought.
    18VAC41-70-220. School identification. (Repealed.)
    Each esthetics school approved by the board shall identify  itself to the public as a teaching institution.
    18VAC41-70-230. Records.
    A. Schools are required to keep all records of hours in  accordance with 18VAC41-70-190, including transcripts, course descriptions and  competency examinations used to award such credit for a period of five years  after the student terminates or completes the curriculum of the school. shall  maintain on the premises of each school and available for inspection by the  board or any of its agents the following records for the period of a student's  enrollment through five years after the student's completion of the curriculum,  termination, or withdrawal: 
    1. Enrollment application containing the student's  signature and a 2x2 color head and shoulders photograph of the student,
    2. Daily record of attendance containing the student's  signature,
    3. Student clock hours containing the student's signature  and method of calculation,
    4. Practical performance completion sheets containing the  student's signature,
    5. Final transcript,
    6. Competency examinations used to award credit, 
    7. Course descriptions, and
    8. All other relevant documents that account for a  student's accrued clock hours and practical applications 
    B. Schools are required to keep upon graduation,  termination or withdrawal written records of hours and performances showing  what instruction a student has received for a period of five years after the  student terminates or completes the curriculum of the school. These records  shall be available for inspection by the department. All records must be kept  on the premises of each school.
    C. For a period of five years after a student completes  the curriculum, terminates or withdraws from the school, schools are required  to provide documentation of hours and performances completed by a student upon  receipt of a written request from the student.
    B. Schools shall produce to the board or any of its  agents, within 10 days of the request, any document, book, or record concerning  any student, or for which the licensee is required to maintain records, for  inspection and copying by the board or its agents. The board may extend such time  frame upon a showing of extenuating circumstances prohibiting delivery within  such 10-day period.
    C. Schools shall, within 21 days upon receipt of a written  request from a student, provide documentation of hours and performances  completed by the student as required to be maintained by subsection A of this  section.
    D. Prior to a school changing ownership or a school closing,  the schools are school is required to provide to current students  documentation of hours and performances completed.
    E. For a period of one year after a school changes ownership,  schools are required to the school shall provide, within 21  days upon receipt of a written request from a student, documentation of  hours and performances completed by a current student upon receipt of a  written request from the student. 
    18VAC41-70-240. Hours reported Reporting.
    A. Schools shall provide, in a manner, format, and  frequency prescribed by the board, a roster of all current students and a  roster of students who attended in the preceding six months prior to the  reporting deadline.
    B. Within 30 days of the closing of a licensed  esthetics school for any reason ceasing to operate, whether through  dissolution or alteration of the business entity, the school shall provide  a written report to the board on performances and hours of each of its students  who have has not completed the program.
    18VAC41-70-260. Display of license.
    A. Each licensed spa or school shall ensure that all current  licenses and temporary licenses issued by the board shall be displayed in  plain view of the public either in the reception area or at  individual work stations of the spa or school in plain view of the  public. Duplicate licenses or temporary licenses shall be posted in a like  manner in every spa or school location where the regulant licensee or  temporary license holder provides services.
    B. All licensees and temporary license holders shall operate  under the name in which the license or temporary license is issued.
    C. All apprenticeship cards issued by the Department of  Labor and Industry (DOLI) shall be displayed in plain view of the public either  in the reception area or at individual work stations of the shop or salon. The  apprentice sponsor shall require each apprentice to wear a badge clearly  indicating his status as a DOLI registered apprentice. 
    18VAC41-70-270. Sanitation and safety standards for spas and  schools.
    A. Sanitation and safety standards.
    1. Any spa or school where esthetics services are delivered to  the public must be clean and sanitary at all times.
    2. Compliance with these rules does not confer compliance with  other requirements set forth by federal, state, and local laws, codes,  ordinances, and regulations as they apply to business operation, physical  construction and maintenance, safety, and public health. 
    3. Licensees shall take sufficient measures to prevent the  transmission of communicable and infectious diseases and comply with the  sanitation standards identified in this section and shall ensure that all  employees likewise comply.
    B. Disinfection and storage of implements. 
    1. A wet disinfection unit is a container large enough to  hold a disinfectant solution in which the objects to be disinfected are  completely immersed. A wet disinfection unit must have a cover to prevent  contamination of the solution. The solution must be a hospital grade and  tuberculocidal disinfectant solution registered with the U.S. Environmental  Protection Agency (EPA). Disinfectant solutions shall be used according to  manufacturer's directions. 
    2. Disinfection of multiuse items constructed of hard,  nonporous materials such as metal, glass, or plastic, which the manufacturer  designed for use on more than one client, is to be carried out in the following  manner prior to servicing a client:
    a. Remove all foreign matter from the object, utilizing a  brush if needed. Drill bits are to be soaked in acetone and scrubbed with a  wire brush to remove all foreign matter; 
    b. Wash thoroughly with hot water and soap; 
    c. Rinse thoroughly with clean water and dry thoroughly  with a clean paper towel; 
    d. Fully immerse implements into solution for a minimum of  10 minutes; and 
    e. After immersion, rinse articles, thoroughly dry with a  clean paper towel, and store in a clean predisinfected and dry cabinet, drawer,  or nonairtight covered container, or leave instruments in an EPA-registered  disinfection storage solution used according to manufacturer's directions. 
    3. Single-use items designed by the manufacturer for use on  no more than one client should be discarded immediately after use on each  individual client, including but not limited to powder puffs, lip color, cheek  color, sponges, styptic pencils, or nail care implements. The disinfection and  reuse of these items is not permitted and the use of single-use items on more  than one client is prohibited.
    4. For the purpose of recharging, rechargeable tools or  implements may be stored in an area other than in a closed cabinet or  container. This area shall be clean. 
    5. All materials including cosmetic and nail brushes,  sponges, chamois, spatulas, and galvanic electrodes must be cleaned with warm  water and soap or detergent to remove all foreign matter. Implements should  then be rinsed, thoroughly dried with a clean paper towel, and completely  immersed in an EPA-registered hospital grade and tuberculocidal disinfectant  solution. Such implements shall be soaked for 10 minutes or more, removed,  rinsed, dried thoroughly, and stored in a predisinfected and dry drawer,  cabinet or nonairtight covered container, or left in an EPA-registered  disinfection storage solution used according to manufacturer's directions. 
    6. All wax pots shall be cleaned and disinfected with an  EPA-registered hospital (grade) and tuberculocidal disinfectant solution with  no sticks left standing in the wax at any time. The area immediately  surrounding the wax pot shall be clean and free of clutter, waste materials, spills,  and any other items that may pose a hazard.
    7. Each esthetician must have a wet disinfection unit at  his station. 
    8. Nail brushes; nippers; finger bowls; disinfectable or  washable buffers; disinfectable or washable files, which must also be scrubbed  with a brush to remove all foreign matter, and other instruments must be washed  in soap and water, rinsed, thoroughly dried with a clean paper towel, and then completely  immersed in an EPA-registered hospital grade and tuberculocidal disinfectant  solution for 10 minutes after each use. After disinfection they must be rinsed,  dried thoroughly with a clean paper towel, and placed in a dry, predisinfected,  nonairtight covered receptacle, cabinet, or drawer, or left in an  EPA-registered disinfectant storage system used according to manufacturer's  directions.
    9. Sinks, bowls, tubs, whirlpool units, air-jetted basins,  pipe-less units, and non-whirlpool basins used in the performance of nail care  shall be maintained in accordance with manufacturer's recommendations. They  shall be cleaned and disinfected immediately after each client in the following  manner:
    a. Drain all water and remove all debris; 
    b. Clean the surfaces and walls with soap or detergent to  remove all visible debris, oils, and product residues and then rinse with  water; 
    c. Disinfect by spraying or wiping the surface with an  appropriate disinfectant; and
    d. Wipe dry with a clean towel. 
    C. General sanitation and safety requirements.
    1. All furniture, walls, floors, and windows Service  chairs, workstations and workstands, and back bars shall be clean and in  good repair;
    2. The floor surface in the immediate all work area  areas must be of a washable surface other than carpet. The floor must be  kept clean, and free of debris, nail clippings, dropped  articles, spills, and clutter, trash, electrical cords, other  waste materials, and other items that may pose a hazard;
    3. Walls All furniture, fixtures, walls, floors,  windows, and ceilings in the immediate work area must shall  be in good repair, and free of water seepage and dirt. All  mats shall be secured or shall lay flat;
    4. A fully functional bathroom with a working toilet and sink must  be available for clients shall be maintained exclusively for client use.  There must be hot and cold running water. Fixtures must be in good  condition. The bathroom must be lighted and sufficiently ventilated. There must  be antibacterial soap and clean individual single-use towels or  hand air-drying device for the client's use;
    5. General areas for client use must be neat and clean with  a waste receptacle for common trash;
    6. Electrical cords shall be placed to prevent entanglement by  the client or licensee; and electrical 7. Electrical  outlets shall be covered by plates;
    7. All sharp tools, implements, and heat-producing  appliances shall be in safe working order at all times, safely stored, and  placed so as to prevent any accidental injury to the client or licensee; 
    8. The spa area shall be sufficiently ventilated to exhaust  hazardous or objectionable airborne chemicals, and to allow the free  flow of air; and
    9. Adequate lighting shall be provided.
    C. Equipment sanitation.
    1. Service chairs, wash basins, sinks, showers, tubs,  tables, and workstations shall be clean. Floors shall be kept free of waste  materials. Instruments shall be cleaned and disinfected after every use and  stored free from contamination;
    2. The top of workstands shall be kept clean;
    3. The work area shall be free of clutter, trash, and any  other items that may cause a hazard;
    4. Equipment shall be placed so as to prevent any  accidental injury to the client or licensee; and 
    5. Electrical appliances and equipment shall be in safe  working order at all times.
    D. Articles, tools, and products.
    1. Any multiuse article, tool, or product that cannot  be cleansed or disinfected is prohibited from use;
    2. Soiled implements must be removed from the tops of work  stations immediately after use;
    3. Clean spatulas, other clean tools, or clean disposable  gloves shall be used to remove bulk substances from containers;
    4. Lotions, ointments, creams, and powders shall be kept in  closed containers. A clean spatula shall be used to remove creams or other  products from jars. Sterile cotton or sponges shall be used to apply creams,  lotions, and powders. Cosmetic containers shall be recovered covered  after each use;
    5. All appliances shall be safely stored;
    6. Presanitized tools and implements, linens, and  equipment shall be stored for use in a sanitary enclosed cabinet or covered  receptacle;
    7. Soiled Clean towels, robes, or other  linens and implements shall be deposited in a container made of  cleanable materials and separate from those that are clean used for each  patron. Clean towels, robes, or other linens shall be stored in a clean  predisinfected and dry cabinet, drawer, or nonairtight covered container.  Soiled towels, robes, or other linens shall be stored in a container enclosed  on all sides including the top, except if stored in a separate laundry room;
    8. No substance other than a sterile styptic powder or sterile  liquid astringent approved for homeostasis and applied with a sterile  single-use applicator shall be used to check bleeding; and
    9. Any disposable material making contact with blood or other  body fluid shall be disposed of in a sealed plastic bag and removed from the  spa or school in accordance with the guidelines of the Virginia Department of  Health and OSHA (Occupational Safety and Health Administration).
    E. Chemical storage and emergency information.
    1. Spas and schools shall have in the immediate working area a  binder with all Material Safety Data Sheets (MSDS) provided by manufacturers  for any chemical products used;
    2. Spas and schools shall have a blood spill clean-up kit in  the work area that contains at a minimum latex gloves, two 12x12 towels, one  disposable trash bag, bleach, one empty spray bottle, and one mask with face  shield or any OSHA-approved blood spill clean-up kit;
    3. Flammable chemicals shall be stored in a nonflammable  storage cabinet or a properly ventilated room; and
    4. Chemicals that could interact in a hazardous manner (e.g.,  oxidizers, catalysts, and solvents) shall be separated in storage.
    F. Client health guidelines.
    1. All employees providing client services shall cleanse their  hands with an antibacterial product prior to providing services to each client;
    2. All employees providing client services shall wear gloves  while providing services when exposure to bloodborne pathogens is possible;
    3. No spa or school providing esthetics services shall have on  the premises esthetics products containing hazardous substances that have been  banned by the U.S. Food and Drug Administration (FDA) for use in esthetics  products;
    4. No product shall be used in a manner that is disapproved by  the U.S. Food and Drug Administration (FDA) FDA; and
    5. Esthetics spas must be in compliance with current building  and zoning codes.
    G. In addition to any the requirements set  forth in this section, all licensees and temporary license holders shall adhere  to regulations and guidelines established by the Virginia Department of Health  and the Occupational and Safety Division of the Virginia Department of Labor  and Industry.
    H. All spas and schools shall immediately report the results  of any inspection of the spa or school by the Virginia Department of Health as  required by § 54.1-705 of the Code of Virginia.
    I. All spas and schools shall conduct a self-inspection on an  annual basis and maintain a self-inspection form on file for five years so that  it may be requested and reviewed by the board at its discretion.
    18VAC41-70-280. Grounds for license revocation, probation, or  suspension; denial of application, renewal or reinstatement; or imposition of a  monetary penalty.
    A. The board may, in considering the totality of the  circumstances, fine any licensee, certificate holder, or temporary license  holder, and suspend, place on probation, or revoke or refuse to renew or  reinstate any license, certificate, or temporary license, or deny any  application issued under the provisions of Chapter 7 (§ 54.1-700 et seq.)  of Title 54.1 of the Code of Virginia and the regulations of the board this  chapter if the board finds that the licensee, certificate holder, permit  holder, or applicant:
    1. The licensee, certificate holder, temporary license  holder or applicant is Is incompetent, or negligent in  practice, or incapable mentally or physically, as those terms are generally  understood in the profession, to practice as an esthetician; 
    2. The licensee, certificate holder, or temporary license  holder fails to teach in accordance with the board-approved curriculum or fails  to comply with 18VAC41-70-190 D when making an assessment of credit hours  awarded. 
    3. The licensee, certificate holder, temporary license  holder, or applicant is 2. Is convicted of fraud or deceit in the  practice or teaching of esthetics, fails to teach in accordance with the  board-approved curriculum, or fails to comply with 18VAC41-70-190 D when making  an assessment of credit hours awarded; 
    4. The licensee, certificate holder, temporary license  holder, or applicant attempted 3. Attempts to obtain, obtained,  renewed, or reinstated a license certificate or temporary license by  false or fraudulent representation;
    5. The licensee, certificate holder, temporary license  holder, or applicant violates 4. Violates or induces others to  violate, or cooperates with others in violating, any of the provisions of this  chapter or Chapter 7 (§ 54.1-700 et seq.) of Title 54.1 of the Code of Virginia  or any local ordinance or regulation governing standards of health and  sanitation of the establishment in which any esthetician may practice or offer  to practice;
    5. Offers, gives, or promises anything of value or benefit  to any federal, state, or local employee for the purpose of influencing that  employee to circumvent, in the performance of his duties, any federal, state,  or local law, regulation, or ordinance governing esthetics or master esthetics;
    6. Fails to respond to the board or any of its agents or  provides false, misleading, or incomplete information to an inquiry by the  board or any of its agents;
    7. Fails or refuses to allow the board or any of its agents  to inspect during reasonable hours any licensed shop, salon, or school for  compliance with provisions of Chapter 7 (§ 54.1-700 et seq.) of Title 54.1  of the Code of Virginia or this chapter; 
    6. The licensee, certificate holder, temporary license  holder, or applicant fails 8. Fails to produce, upon request or  demand of the board or any of its agents, any document, book, record, or copy  thereof in a licensee's, certificate holder's, temporary license holder's,  applicant's, or owner's possession or maintained in accordance with this chapter;  
    7. A licensee, certificate holder, or temporary license  holder fails 9. Fails to notify the board of a change of name or  address in writing within 30 days of the change for each and every license,  certificate, or temporary license. The board shall not be responsible for  the licensee's, certificate holder's, or temporary license holder's failure to  receive notices, communications and correspondence caused by the licensee's,  certificate holder's, or temporary license holder's failure to promptly notify  the board in writing of any change of name or address or for any other reason  beyond the control of the board;
    8. The licensee, certificate holder, temporary license  holder, or applicant publishes 10. Makes any misrepresentation or  publishes or causes to be published any advertisement that is false,  deceptive, or misleading; 
    9.The licensee, certificate holder, temporary license  holder, or applicant fails 11. Fails to notify the board in writing  within 30 days of the suspension, revocation, or surrender of a license or  temporary license in connection with a disciplinary action in any other  jurisdiction or of any license or temporary license that has been the subject  of disciplinary action in any other jurisdiction; or
    10. The licensee, certificate holder, temporary license  holder, or applicant has been convicted or found guilty in any jurisdiction of  any misdemeanor or felony. Any plea or nolo contendere shall be considered a  conviction for the purpose of this section. The record of a conviction certified  or authenticated in such form as to be admissible in evidence under the laws of  the jurisdiction where convicted shall be admissible as prima facie evidence of  such guilt;
    11. The licensee, certificate holder, temporary license  holder, or applicant fails to notify the board in writing within 30 days that  the licensee, certificate holder, temporary license holder, or applicant has  pleaded guilty or nolo contendere or was convicted and found guilty of any  misdemeanor or felony.
    12. Has been convicted or found guilty, regardless of the  manner of adjudication, in Virginia or any other jurisdiction of the United  States of a misdemeanor involving moral turpitude, sexual offense, drug  distribution, or physical injury or any felony, there being no appeal pending therefrom  or the time for appeal having elapsed. Review of convictions shall be subject  to the requirements of § 54.1-204 of the Code of Virginia. Any plea of nolo  contendere shall be considered a conviction for purposes of this subdivision.  The record of a conviction certified or authenticated in such form as to be  admissible in evidence under the laws of the jurisdiction where convicted shall  be admissible as prima facie evidence of such conviction or guilt;
    13 Fails to inform the board in writing within 30 days of  pleading guilty or nolo contendere or being convicted or found guilty  regardless of adjudication of convictions as stated in subdivision 12 of this  section;
    14. Allows, as an owner or operator of a spa or school, a  person who has not obtained a license or a temporary permit to practice unless  the person is duly enrolled as a registered apprentice;
    15. Allows, as an owner or operator of a school, a person  who has not obtained an instructor certificate to practice as an esthetics or a  master esthetics instructor;
    16. Fails to take sufficient measures to prevent  transmission of communicable or infectious diseases or fails to comply with  sanitary requirements provided for in this chapter or any local, state, or  federal law or regulation governing the standards of health and sanitation for  the practices of esthetics or master esthetics, or the operation of esthetics  spas; or
    17. Fails to comply with all procedures established by the  board and the testing service with regard to conduct at the examination.
    B. In addition to subsection A of this section, the board  may, in considering the totality of the circumstances, revoke, suspend, place  on probation, or refuse to renew or reinstate the license of any school or  impose a fine as permitted by law, or both, if the board finds that:
    1. An instructor of the approved school fails to teach the  curriculum as provided for in this chapter;
    2. The owner or director of the approved school permits or  allows a person to teach in the school without an applicable current esthetics  instructor certificate or master esthetics instructor certificate; or
    3. The instructor, owner or director is guilty of fraud or  deceit in the teaching of esthetics.
    C. In addition to subsection A of this section, the board  may, in considering the totality of the circumstances, revoke, suspend, place  on probation, or refuse to renew or reinstate the license of any esthetics spa  or impose a fine as permitted by law, or both, if the board finds that:
    1. The owner or operator of the spa fails to comply with  the sanitary requirements of an esthetics spa provided for in this chapter or  in any local ordinances; or
    2. The owner or operator allows a person who has not  obtained a license or a temporary license to practice as an esthetician or  master esthetician.
    D. In addition to subsection A of this section, the board  may, in considering the totality of the circumstances, revoke, suspend, place  on probation, or refuse to renew or reinstate the license of any licensee or  impose a fine as permitted by law, or both, if the board finds that the  licensee fails to take sufficient measures to prevent transmission of  communicable or infectious diseases or fails to comply with any local, state or  federal law or regulation governing the standards of health and sanitation for  the practice of esthetics.
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (18VAC41-70)
    Esthetician – Esthetics Instructor Examination &  License Application, A425-1261_62EXLIC (eff. 9/11)
    Master Esthetician – Master Esthetics Instructor  Examination & License Application, A425-1264_65EXLIC (eff. 9/11)
    Temporary Permit Application, A425-1213TP (eff. 9/11)
    License by Endorsement Application, A425-1213END (rev.  2/14)
    Esthetician  - Esthetics Instructor Examination & License Application, A450-1261_62EXLIC-v12  (eff. 7/2016)
    Master  Esthetician - Master Esthetics Instructor Examination & License  Application, A450-1264_65EXLIC-v13 (eff. 7/2016)
    Temporary  Permit Application, A450-1213TEMP-v2 (eff. 7/2016)
    License  by Endorsement Application, A450-1213END-v8 (eff. 7/2016)
    Training & Experience Verification Form,  A425-1213TREXP (eff. 9/11)
    Reinstatement Application, A425-1213REI (rev. 2/14)
    Salon, Shop, Spa & Parlor License Application  A425-1213BUS (rev. 2/14)
    Individuals  - Reinstatement Application, A450-1213REI-v8 (eff. 7/2016)
    Salon,  Shop, Spa & Parlor License/Reinstatement Application A450-1213BUS-v8 (eff.  7/2016)
    Salon, Shop & Spa Self Inspection Form,  A425-1213_SSS_INSP (eff. 9/11)
    Instructor Certification Application, A425-1213INST (rev.  2/14)
    School License Application, A425-1213SCHL (rev. 2/14)
    Instructor  Certification Application, A450-1213INST-v7 (eff. 7/2016)
    School  License Application, A450-1213SCHL-v8 (eff. 7/2016)
    School Self Inspection Form, A425-1213SCH_INSP  (eff. 9/11)
    Licensure Fee Notice, A425-1213FEE (rev. 2/14)
    Change  of Responsible Management, A450-1213CRM-v1 (eff. 7/2016)
    VA.R. Doc. No. R14-3985; Filed September 25, 2015, 9:24 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR HEARING AID SPECIALISTS AND OPTICIANS
Proposed Regulation
    Title of Regulation: 18VAC80-20. Board for Hearing  Aid Specialists Regulations (amending 18VAC80-20-70). 
    Statutory Authority: § 54.1-201 of the Code of  Virginia.
    Public Hearing Information:
    December 16, 2015 - 1:45 p.m. - Department of Professional  and Occupational Regulation, 9960 Mayland Drive, Suite 200, Board Room 1,  Richmond, VA 23233
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Demetrios J. Melis, Executive Director,  Board for Hearing Aid Specialists and Opticians, 9960 Mayland Drive, Suite 400,  Richmond, VA 23233, telephone (804) 367-8590, FAX (804) 527-4295, or email  hearingaidspec@dpor.virginia.gov.
    Basis: The proposed regulatory action is mandated by the  following sections of the Code of Virginia. To comply with these statutes, the  board (i) evaluates its current and projected financial position and (ii)  determines the type of fees and amounts to be established for each fee that  will provide revenue sufficient to cover its expenses.
    Section 54.1-113 (commonly known as the Callahan Act) states  that following the close of any biennium, when the account for any regulatory  board within the Department of Professional and Occupational Regulation (DPOR)  or the Department of Health Professions maintained under § 54.1-308 or 54.1-2505 of the Code of Virginia shows expenses allocated to it for the past  biennium to be more than 10% greater or less than moneys collected on behalf of  the board, the board shall revise the fees levied by it for certification or  licensure and renewal thereof so that the fees are sufficient but not excessive  to cover expenses.
    Subdivision A 4 of § 54.1-201 describes each regulatory board's  power and duty to "levy and collect fees for the certification or  licensure and renewal that are sufficient to cover all expenses for the  administration and operation of the regulatory board and a proportionate share  of the expenses of the Department." 
    Subdivision 3 of § 54.1-304 describes the power and duty of the  Director of DPOR to "collect and account for all fees prescribed to be  paid into each board and account for and deposit the moneys so collected into a  special fund from which the expenses of the board, regulatory boards, and the  department shall be paid." 
    Section 54.1-308 provides for compensation of the director,  employees, and board members to be paid out of the total funds collected. This  section also requires the director to maintain a separate account for each board  showing moneys collected on its behalf and expenses allocated to the board. 
    The above sections of the Code of Virginia mandate that the  board manage and periodically review and adjust fees. The referenced sections  require the department to (i) pay expenses of each board and the department  from revenues collected, (ii) establish fees adequate to provide sufficient  revenue to pay expenses, (iii) account for the revenues collected and expenses  charged to each board, and (iv) adjust fees as necessary to ensure that revenue  is sufficient but not excessive to cover all expenses.
    To comply with these requirements, the department (i)  distinctly accounts for the revenue collected for each board, (ii) accounts for  direct board expenses for each board and allocates a proportionate share of  agency operating expenses to each board, (iii) reviews the actual and projected  financial position of each board biennially to determine whether revenues are  adequate, but not excessive, to cover reasonable and authorized expenses for  upcoming operating cycles, and (iv) recommends adjustments to fees to respond  to changes and projections in revenue trends and operating expenses. 
    If projected revenue collections are expected to be more than  sufficient to cover expenses for upcoming operating cycles, decreases in fees  are recommended. If projected revenue collections are expected to be inadequate  to cover operating expenses for upcoming operating cycles, increases in fees  are recommended.
    Fee adjustments are mandatory in accordance with these Code of  Virginia sections. The board exercises discretion on how the fees are adjusted  by determining the amount of adjustment for each type of fee. The board makes  its determination based on the adequacy of the fees to provide sufficient revenue  for upcoming operating cycles.
    Purpose: The intent of the proposed changes in the  regulation is to increase licensing fees for applicants and regulants of the  board. The board must establish fees adequate to support the costs of board  operations and a proportionate share of the department's operations. 
    The board provides protection for the health, safety, and  welfare of the citizens of the Commonwealth by ensuring that only individuals  who meet specific criteria set forth in statute and regulations receive  licensure as hearing aid specialists, by ensuring its regulants meet standards  of practice and conduct set forth in the regulation, and by imposing penalties  for not complying with the governing statutes and regulations. Without adequate  funding, complaints against regulants brought to the attention of the board by  citizens cannot be investigated and processed in a timely manner. Ensuring that  hearing aid specialists have at least the minimal competencies to perform work  protects the health, safety, and welfare of Virginia citizens.
    The department receives no general fund money, instead it is  funded almost entirely from revenue collected through applications for  certification, licensure, renewals, examination fees, and other certification  and licensing fees. The department is self-supporting and must collect adequate  revenue to support its mandated and approved activities and operations. Fees  must be established at amounts that will provide adequate revenue. Fee revenues  collected on behalf of the boards fund the department's authorized special  revenue appropriation.
    The board has no other source of revenue from which to funds  its operations.
    Substance: The existing regulations are being amended to  adjust the fees related to obtaining and maintaining licensure as a hearing aid  specialist.
    1) The hearing aid specialist new applicant fee is adjusted  from $30 to $85.
    2) The hearing aid specialist new applicant by reciprocity fee  is adjusted from $30 to $85.
    3) The hearing aid specialist new applicant temporary permit is  adjusted from $30 to $85.
    4) The hearing aid specialist licensure renewal fee is adjusted  from $20 to $115.
    5) The hearing aid specialist licensure reinstatement fee is  adjusted from $50 to $85.
    Issues: The Code of Virginia establishes the board as  the state agency that oversees licensure of hearing aid specialists providing  services in Virginia. The board's primary mission is to protect the citizens of  the Commonwealth by prescribing requirements for minimal competencies; by  prescribing standards of conduct and practice; and by imposing penalties for  not complying with the regulations. Further, the Code of Virginia requires the  department to comply with the Callahan Act. The proposed fee adjustments will  ensure that the board has sufficient revenues to fund its operating expenses.
    There are no disadvantages to the public or the Commonwealth in  raising the board's fees as proposed in this action.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Board for  Hearing Aid Specialists and Opticians (Board) proposes to amend fees for  hearing aid specialist licensure. Specifically, the Board proposes to increase  fees for initial application, renewal of licensure, reinstatement of licensure and  fees for temporary permits. The Board also proposes to decrease the fee for  licensure by reciprocity. In a separate action (http://townhall.virginia.gov/L/ViewStage.cfm?
  stageid=7102), the Board proposes to eliminate the examination fee  from this regulation and instead inform regulated entities that this fee will  be set according to requirements of the Virginia Public Procurement Act. This  change will be discussed in depth in a separate economic impact analysis but it  is worth noting that these two actions would need to be considered together in  order to gauge the full effect of proposed fee changes for licensees. 
    Result of Analysis. There is insufficient information to  ascertain whether benefits will outweigh costs for these proposed changes. 
    Estimated Economic Impact. Under current regulations,  applicants for initial licensure as hearing aid specialists pay $30 plus a $110  examination fee; licensees pay a biennial renewal fee of $20 and, when  necessary, a reinstatement fee of $50. Temporary permits for individuals who  are completing training currently cost $30 for a one-year period and can be  renewed at no cost for an additional six-month period. Currently, individuals  who are seeking licensure by reciprocity must pay $140 that covers both the fee  for application and the fee for taking the licensure examination. The Board now  proposes to increase fees for initial licensure application, renewal and  reinstatement of licensure and for temporary permits. The Board also proposes  to amend the fee for licensure by reciprocity in such a way that looks like a  fee reduction but that will likely see individuals seeking such licensure  paying more. While the fee for licensure by reciprocity will change from $140  to $85 in this proposed action, in the separate action linked above, the Board  proposes to remove language that states the licensure by reciprocity fee  includes the examination fee. This means that for any examination fee over $55  ($140-85), applicants for licensure by reciprocity will be paying more than  they currently do to become licensed. The current examination fee is $110.
    Below is a comparison table for current and proposed fees:
           | FEE TYPE | CURRENT FEE | PROPOSED FEE | % INCREASE | 
       | Initial Application for    Licensure | $30 | $85 | 183% | 
       | License Renewal | $20  | $85 | 325% | 
       | License Reinstatement | $50 | $85 | 70% | 
       | Temporary Permit | $30 | $85 | 183% | 
       | Licensure by Reciprocity | $140 (includes the $110 exam    fee)   | $85 (will likely not include the    to-be-determined exam fee)  | Undeterminable at this time | 
  
    Board staff reports that, although revenues have fallen short  of being able to pay for all expenditures in this and the last biennium, the  Board had excess balances that covered budget shortfalls. Absent some fee  increase, Board staff reports that the Board will run a deficit by the end of  the 2016-18 biennium. Even though historical revenue and expenditure numbers  support that the Board would eventually have to increase fees, an assumption  used to forecast a decrease in revenues seems dubious. Board staff reports that  forecasted revenues for the current biennium and the next two biennia are less  than revenues over the last two biennia because they assumed that renewals  would follow historical patterns (in that approximately 92% of current  licensees would choose to renew) but they also assumed that revenues for  initial licensure applications would be lower than they have been historically  over the last two biennia. In short, Board staff assumes that fewer new  individuals will choose to be licensed over this or the next two biennia in  order to forecast a decrease in revenues. While revenue increased from $288,840  for the 2010-12 biennium to $289,704 for the 2012-14 biennium, the Board is  forecasting the revenue will fall to $276,485 for the current biennium and will  be the same for the next two biennia (absent fee increases). 
    An assumption used to forecast increased costs (that the  Department of Professional and Occupational Regulation (DPOR) will fill empty  positions that the Board would then be responsible for partially covering the  cost of) also may not happen and may not be in the best interests of current or  future licensees if it does happen. Specifically, if neither licensee services  nor investigations of complaints for this Board have suffered a significant lag  on account of DPOR's lower staffing levels, neither licensees of this Board nor  the public who uses their services are likely to experience a significant benefit  on account of DPOR's anticipated hiring of additional staff.
    In addition to anticipated staffing increases at DPOR, Board  staff also reports that they expect expenditures to increase because of rising  cost of health insurance for DPOR staff. On a per employee basis these costs  are entirely outside of the power of the Board (and DPOR) to control. To the  extent that health care costs are anticipated to increase because DPOR plans to  hire more staff, the analysis in the paragraph above would also apply here.
    Increasing fees will likely increase the cost of being licensed  and, so, will likely slightly decrease the number of people who choose to  become or remain licensed.  To the extent that the public benefits from  the Board regulating these professional populations, they will also likely  benefit from the Board's proposed action that will increase fees to support  Board activities. There is insufficient information to ascertain whether  benefits will outweigh costs.
    Businesses and Entities Affected. This proposed regulation will  affect all current and future hearing aid specialist licensees. Board staff  reports that there are currently 668 hearing aid specialists who are licensed  in the Commonwealth.
    Localities Particularly Affected. No localities will likely be  disproportionately affected by this proposed regulatory change.
    Projected Impact on Employment. Increased licensure fees will  likely lead to at least a marginal decrease in the number of individuals who  are employed as hearing aid specialists.
    Effects on the Use and Value of Private Property. To the extent  that professional licenses are private property of value to licensees,  increasing the cost of licenses will commensurately decrease their value.
    Small Businesses: Costs and Other Effects. To the extent that  increasing licensure fees leads to a decrease in the number of individuals  licensed as hearing aid specialists, the cost of hiring the services of the  remaining, smaller pool of licensees may marginally increase for the small  businesses that hire them.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. There are actions that the Board could take that might mitigate the  necessity of raising fees at this time. If licensees and the public have not  thus far been harmed by decreased staffing levels, licensees would likely  benefit from DPOR reconsidering its decision to hire more staff who would need  to be funded through licensure fees.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17  (2014). Section 2.2-4007.04 requires that such economic impact analyses  determine the public benefits and costs of the proposed amendments.   Further the report should include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a  finding that a proposed regulation may have an adverse impact on small  business, the Joint Commission on Administrative Rules is notified at the time  the proposed regulation is submitted to the Virginia Register of Regulations  for publication. This analysis shall represent DPB's best estimate for the  purposes of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The board  concurs with the approval. However, the board would like to correct an error in  the summary and address certain statements regarding the board's projected  revenues and expenditures.
    Summary Correction – "The board also proposes to  decrease the fee for licensure by reciprocity."
    EIA Position: "Specifically, the Board proposes to  increase fees for initial application, renewal of licensure, reinstatement of  licensure and fees for temporary permits. The Board also proposes to decrease  the fee for licensure by reciprocity. In a separate action  (http://townhall.virginia.gov/L/ViewStage.cfm?stageid=7102 ), the Board  proposes to eliminate the examination fee from this regulation and instead  inform regulated entities that this fee will be set according to requirements  of the Virginia Public Procurement Act." 
    Agency Response: The board's proposed fee adjustment does not  decrease the fee for licensure by reciprocity. The current regulations include  a $30 application fee and a $110 examination fee. For those applying for  licensure by reciprocity, the regulations combine these fees into one fee,  $140. This $140 fee explicitly states it includes the examination fee, which is  set at $110 on the preceding line. The actual licensure by reciprocity  application fee, excluding the exam fee, is $30. This is the same licensing fee  for non-reciprocity applicants. The application fee is being increased from $30  to $85, pursuant to the Callahan Act. The examination fee is not being changed in  this action; however, its inclusion in the reciprocity license fee is being  removed. This change creates consistency in the regulations. It should be noted  that in a separate regulatory action, the application fee and reciprocity  license fee are being consolidated into a single fee type, Initial application  for licensure, simplifying the regulations even further. 
    Estimated Economic Impact.
    1. EIA Position: "The Board also proposes to amend the fee  for licensure by reciprocity in such a way that looks like a fee reduction but  that will likely see individuals seeking such licensure paying more." 
    Agency Response: The board disagrees with the EIA's  characterization that the proposed amendment appears as a fee reduction. As  noted above, the board is separating out the examination fee from the license  by reciprocity fee by removing the language "includes examination  fee" from the regulation. The application fee for licensure by reciprocity  is currently $30, the same amount as the non-reciprocity application fee. The  current text of the regulation states the initial application fee is $30, the  exam fee is $110, and the licensure by reciprocity fee is $140,  "includes[ing] examination fee." It is clear in the regulation that  the $140 reciprocity fee is the $110 examination fee and $30 application fee.  The proposed fee adjustment is a change to the application fee and should not  mislead any potential reciprocity applicants about the nature of the change. It  should be noted that the board has had only one applicant for reciprocity since  2009.
    2. EIA Position: "Absent some fee increase, Board staff  reports that the Board will run a deficit by the 2016-18 biennium. Even though  historical revenue and expenditure numbers support that the Board would  eventually have to increase fees, an assumption used to forecast a decrease in  revenues seems dubious." 
    Agency Response: The board concurs with the EIA's conclusion  that revenue and expenditure numbers support that the board must increase fees.  The board disagrees with the EIA's characterization that its revenue forecast  is dubious. Revenue projections for applicants are based on historical averages  for the past eight years for opticians. This method has been proven successful  when considering that the number of applicants vary from year to year. The  projection methodology used for renewals has also shown to be historically  fairly accurate, with a typical variance of less than 5.0%. This revenue  projection method has been reviewed by DPOR management, external budget  analysts, and an external auditor; and the method is considered sound and  reasonable. This revenue projection methodology is used across all professions  under DPOR and has been in place for over a decade. These specific revenue  projections are the same used for all budgeting purposes, including the annual  executive branch six-year budget projections. It is of note that the board  projects the cash deficit to occur in the first part of 2017 under the current  fee structure.
    3. EIA Position: "Specifically, if neither licensee  services nor investigations of complaints for this Board have suffered a  significant lag on account of DPOR's lower staffing levels, neither licensees  of this Board nor the public who uses their services are likely to experience a  significant benefit on account of DPOR's anticipated hiring of additional  staff." 
    Agency Response: DPOR utilizes a specific staffing model, honed  over several decades, to keep costs at a minimum while maintaining its charge  of protecting the health, safety, and welfare of the public by ensuring minimal  competency of licensed professionals. boards are staffed with licensing  professionals who are generalists in licensing and board-specific functions.  Functions that are not board specific, some of which include accounting, investigations,  examinations, information services, and recordkeeping, are staffed by  professionals in those fields who perform these functions for all of the boards  at DPOR. So, for example, the DPOR finance section staffs accountants, who  split their time performing accounting for each of the boards. The board is  then charged a portion of the accountant's costs based on the percentage of the  accountant's workload that was spent on the board's accounting. This model  saves the board the expense of hiring a staff accountant to perform this  function. The board simply does not have the funds to staff professionals to  perform all of the incidental or specialized services performed by DPOR staff.  Neither can the board afford the loss of productivity by having generalists  attempt to perform these functions in addition to their other duties for the  board. The board receives the benefits of economies of scale when sharing the  cost of services provided by DPOR staff. When DPOR is adequately staffed, all  of the boards, including this board, operate at minimal costs by receiving the  benefits of specialization and economies of scale.
    Filling vacant positions is only one aspect of the projected  increased expenditures. The increases in health insurance and retirement costs  to DPOR that are already in effect as of Fiscal Year 2015 total nearly $2  million per biennium, with the board's allocated portion estimated at about  $18,000 per biennium.
    Projected Impact on Employment.
    EIA Position: "Increased licensure fees will likely lead  to at least a marginal decrease in the number of individuals who are employed  as hearing aid specialists."
    Agency Response: In DPOR's experience, the number of licensees  rarely decreases solely because of fee increases. Licensees rarely drop  out of the profession due to fee increases. This is likely due to the cost of  changing careers greatly exceeding that of the marginal fee adjustment. It is  of note that even if this fee is increased, Virginia will still have one of the  lowest hearing aid specialist licensing fees in the nation.
    Effects on the Use and Value of Private Property.
    EIA Position: "To the extent that professional licenses  are private property of value to licensees, increasing the cost of licenses  will commensurately decrease their value."
    Agency Response: Regardless of the EIA response's relation to a  separate action, the board disagrees with the characterization of an  occupational license as private property. The board, in consultation with the  Attorney General's office, maintains that an occupational license is a legal  status conferred by the state granting special privileges to the licensee, not  private property. 
    Further, it is not clear how increasing the cost of the license  decreases its value. Changing the cost of the license does not affect its  function, characteristics, or the usability of the license, factors that would  normally determine its value. In this sense, it is not clear how a fee change  alone can change the value of a license. The EIA takes the position that a fee  increase will lead to a decrease in the number of licensees, making the license  more scarce. A decrease in supply would likely result in increased value. So if  the license is more scarce due to the fee increase, its value would increase,  not decrease as the EIA indicates.
    Small Businesses: Costs and Other Effects. 
    EIA Position: "To the extent that increasing licensure  fees leads to a decrease in the number of individuals licensed as hearing aid  specialists, the cost of hiring the services of the remaining, smaller pool of  licensees may marginally increase for the small businesses that hire  them."
    Agency Response: As noted above, in DPOR's experience, the  number of licensees rarely decreases solely because of fee increases. Licensees  rarely drop out of the profession due to fee increases, as the cost of changing  careers usually greatly exceed that of the marginal fee adjustment.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. 
    EIA Position: "There are actions that the Board could take  that might mitigate the necessity of raising fees at this time. If licensees  and the public have not thus far been harmed by decreased staffing levels,  licensees would likely benefit from DPOR reconsidering its decision to hire  more staff that would need to be funded through licensure fees."
    Agency Response: As indicated above, licensees and the public  benefit when DPOR maintains adequate staffing levels. DPOR utilizes a specific  staffing model, honed over several decades, to keep costs at a minimum while  maintaining its charge of protecting the health, safety, and welfare of the  public by ensuring minimal competency of licensed professionals. Boards are  staffed with licensing professionals who are generalists in licensing and  board-specific functions. Functions that are not board specific, some of which  include accounting, investigations, examinations, information services, and  recordkeeping, are staffed by professionals in those fields who perform these  functions for all of the boards at DPOR. So, for example, the DPOR finance  section staffs accountants, who split their time performing accounting for each  of the boards. The board is then charged a portion of the accountant's costs  based on the percentage of the accountant's workload that was spent on the  board's accounting. This model saves the board the expense of hiring a staff  accountant to perform this function. The board simply does not have the funds  to staff professionals to perform all of the incidental or specialized services  performed by DPOR staff. Neither can the board afford the loss of productivity  by having generalists attempt to perform these functions in addition to their  other duties for the board. The board receives the benefits of economies of  scale when sharing the cost of services provided by DPOR staff. When DPOR is  adequately staffed, all of the boards, including this board, operate at minimal  costs by receiving the benefits of specialization and economies of scale.
    Summary:
    The proposed amendments increase the fees for a new  applicant, a new applicant by reciprocity, a new applicant temporary permit,  licensure renewal, and licensure reinstatement for hearing aid specialists.
    18VAC80-20-70. Fees. 
    A. All fees are nonrefundable and shall not be prorated. The  date of receipt by the board or its agent is the date which that  will be used to determine whether or not it is on time. 
    B. Application and examination fees must be submitted with  the application for licensure. 
    C. In the event that a check, money draft, or similar  instrument for payment of a fee required by statute or regulation is not  honored by the bank or financial institution named, the applicant or regulant  shall be required to remit fees sufficient to cover the original fee, plus the  additional processing charge established by the department. 
    The following fees apply: 
           | Application Fee | $30$85
 | to be paid by all applicants for initial licensure except    reciprocal applicants | 
       | Examination Fee | $110 |   | 
       | Licensure Fee for Reciprocity | $140$85
 | includes exam fee
 | 
       | Temporary Permit Fee | $30$85
 |   | 
       | Re-examination Fee | $95 | per written or practical part  | 
       | Renewal | $20$115
 |   | 
       | Reinstatement | $50$85
 |   | 
       | Duplicate Wall Certificate | $25 |   | 
  
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (18VAC80-20) 
    License Application, 21LIC (rev. 10/03). 
    Temporary Permit Application, 21TPER (eff. 10/03). 
    Reinstatement Application, 21REI (rev. 10/03). 
    Reexamination Application, 21REEX (rev. 12/00). 
    Hearing  Aid Specialist License Application, A440-2101LIC-v3 (rev. 3/2016)
    Hearing  Aid Specialist Temporary Permit Application, A440-2102TP_PKG-v4 (rev. 3/2016)
    Hearing  Aid Specialist License Reinstatement Application, A440-2101REI-v3 (rev. 3/2016)
    Hearing  Aid Specialist Re-examination Application, A440-2101REEX-v2 (rev. 9/2013)
    Hearing  Aid Specialist Training & Experience Form, A440-21TREXP-v2 (eff. 9/2013)
    VA.R. Doc. No. R14-4011; Filed September 25, 2015, 9:25 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR HEARING AID SPECIALISTS AND OPTICIANS
Proposed Regulation 
    Proposed Regulation
    Title of Regulation: 18VAC80-20. Board for Hearing  Aid Specialists Regulations (amending 18VAC80-20-10, 18VAC80-20-30,  18VAC80-20-40, 18VAC80-20-70, 18VAC80-20-220, 18VAC80-20-230, 18VAC80-20-250,  18VAC80-20-270; repealing 18VAC80-20-280). 
    Statutory Authority: § 54.1-201 of the Code of Virginia.
    Public Hearing Information:
    December 16, 2015 - 1:30 p.m. - Department of Professional  and Occupational Regulation, 9960 Mayland Drive, Suite 200, Board Room 1,  Richmond, VA 23233
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Demetrios J. Melis, Executive Director,  Board for Hearing Aid Specialists and Opticians, 9960 Mayland Drive, Suite 400,  Richmond, VA 23233, telephone (804) 367-8590, FAX (804) 527-4295, or email  hearingaidspec@dpor.virginia.gov.
    Basis: Section 54.1-201 of the Code of Virginia  authorizes the board to promulgate regulations. The section states, in part,  that the board has the power and duty to promulgate regulations in accordance  with the Administrative Process Act (§ 2.2-4000 et seq. of the Code of  Virginia) necessary to assure continued competency, to prevent deceptive or  misleading practices by practitioners, and to effectively administer the  regulatory system administered by the board.
    Purpose: The board seeks to amend its current  regulations to ensure they are as least intrusive and burdensome as possible,  in order to assist in providing an environment without unnecessary regulatory  obstacles while still protecting the health, safety, and welfare of the public.  Additionally, the board seeks to ensure its regulations are clearly written,  easily understandable, and representative of the current advancements and  standards of the industries.
    Substance: 
    18VAC80-20-10. Definitions: The definitions of hearing aid  specialist and licensee have been modified to align them with the statutory  definition found in § 54.1-1500 of the Code of Virginia.
    18VAC80-20-30. Basic qualifications for licensure: The proposed  amendments modify the description of the practice to reflect the Code of  Virginia and changes in 18VAC80-20-10.
    18VAC80-20-40. Qualifications for a temporary permit: The  proposed amendments modify the description of the practice to reflect the Code  of Virginia and changes in 18VAC80-20-10. The requirement that correspondence  be sent to both the permit holder and sponsor is updated to expressly exempt  correspondence protected by law.
    18VAC80-20-50. Fees: The proposed amendments replace specific  examination fees with language authorizing examination fees to be set in  accordance with the § 2.2-4300 et seq. of the Code of Virginia (Virginia  Procurement Act) and with subdivision A 4  of § 54.1-201 of the Code of  Virginia. Fees for wall certificates are removed and the licensure fee for  reciprocity is consolidated with the initial license fee.
    18VAC80-20-220. Purchase agreement: The proposed amendments  require disclosure of nonrefundable fees in accordance with the Code of  Virginia and prohibit the fees from being a percentage of the purchase price of  the hearing aid.
    18VAC80-20-230. Fitting and sale of hearing aids for children:  The proposed amendments modify the description of the practice to reflect the  Code of Virginia and changes in 18VAC80-20-10.
    18VAC80-20-250. Testing procedures: The proposed regulations  expand the standard testing frequencies to include 6000 – 8000 hertz.
    18VAC80-20-270. Grounds for discipline: The proposed amendments  (i) expand the grounds for disciplinary action to include probation and refusal  to renew and (ii) clarify that temporary permit holders are subject to  discipline by the board. The proposed amendments also modify the description of  the practice to reflect the Code of Virginia and changes in 18VAC80-20-10.
    18VAC80-20-280. Accountability of licensee: The proposed  amendments repeal this section.
    Issues: The primary advantage of the proposed amendments  to the public is the board will continue to approve applicants and license  professionals with safeguards in place to ensure proper competency and  standards of conduct. The change of scope of prohibited acts to include permit  holders will reduce fraud and better ensure the regulant population is  minimally competent. Further, regulants and applicants within these professions  will be able to read the board's requirements with greater clarity and  understanding. The added clarity of the language in the proposed regulations  will facilitate a quicker and more efficient process for applicants and  regulants by enhancing their understanding of their individual requirements.  Further, consumers in the public and regulators from related agencies will have  a better understanding of the board's requirements that will allow them to  conduct business with greater efficiency.
    The primary advantage to the Commonwealth will be the continued  successful regulation of hearing aid specialists who meet the minimum entry  standards. The proposed amendments strengthen the ability to investigate and  discipline regulants who disregard the health, safety, and welfare of the  public. No disadvantage has been identified.
    Department of Planning and  Budget's Economic Impact Analysis: 
    Summary of the Proposed Amendments to Regulation. The Board for  Hearing Aid Specialists and Opticians (Board) proposes to amend its Hearing Aid  Specialists Regulations to: 1) make them conform to definitions and other  language in the Code of Virginia, 2) add several frequencies to the standard  air conduction test standard frequencies, 3) clarify that temporary permit  holders are subject to Board discipline, 4) consolidate the initial licensure  and licensure by reciprocity fees and 5) remove the examination fee (and other  language pertaining to that fee) from the schedule of fees and insert language  that allows the examination fee to be set outside the regulation by agreement  between the Department of Professional and Occupational Regulation (DPOR) and  the exam vendor so long as the vendor is chosen through rules set in the  Virginia Public Procurement Act.
    Result of Analysis. Benefits will likely outweigh costs for  several of these regulatory changes. For at least one regulatory change, costs  will likely outweigh benefits. 
    Estimated Economic Impact. Currently, this regulation contains  definitions and other language that differs from the language contained in  controlling legislation. The Board now proposes to amend the definitions for  "licensee" and "hearing aid specialist" as well as add  language requiring the disclosure of nonrefundable fees (which may not be a  percentage of the purchase price of a hearing aid) so that regulatory language  conforms to relevant language in the Code of Virginia (COV). Since the language  in the COV is already legally controlling, no entity is likely to incur costs  on account of these changes. To the extent that conforming regulatory language  to the COV will eliminate the chance of confusion, interested parties will  benefit from the added clarity these changes bring.
    Currently, this regulation specifies that licensees and  temporary permit holders must conduct air conduction tests at standard  frequencies of 500, 1,000, 2,000 and 4,000 Hertz. Board staff reports that  technology has improved for hearing tests and so the Board now proposes to add  6,000 and 8,000 Hertz to the list of required standard frequencies. Board staff  also reports that this change reflects an already established and universally  used standard in the hearing aid industry, so they do not expect any affected  entity to have to buy any new equipment or incur any additional costs on  account of this change.
    Current regulatory language does not allow the Board to  discipline temporary permit holders for wrongdoing but would instead require  the Board to wait until permit holders got their licenses in order to  discipline them. The Board now proposes to add temporary permit holders to the  list of entities who are subject to Board discipline. This change will likely  benefit the public as it will better protect them from temporary permit holders  who are providing poor or fraudulent services or who have committed a crime  that would preclude them from being licensed in the Commonwealth. 
    Currently, this regulation has a separate fee that individuals  seeking licensure by reciprocity must pay. This fee is $140 and includes the  cost of taking the licensure examination ($110). The Board proposes to  eliminate the separate fee for licensure by reciprocity and require all  applicants for initial licensure to pay the same fee. The fee for initial  licensure is currently set at $30 and does not include the examination fee.  Although on its face, this change is cost neutral for affected entities, the  Board is seeking to increase the initial licensure fee to $85 in a separate  action (http://townhall.virginia.gov/L/ViewStage.cfm?stageid=7104). The two actions analyzed together indicate  that individuals seeking licensure by reciprocity will likely have to pay more  than they currently do to become licensed. Assuming the higher initial  licensure fee is promulgated, individuals seeking licensure by reciprocity will  pay higher fees in all instances where the examination fee is greater than $55.  Analysis of fee increases for this Board can be found at the link provided  above.
    The Board also proposes to eliminate the explicit examination  and re-examination fees from this regulation and instead set these fees  administratively based on the cost of private examination services contracted  under the rules of the Virginia Public Procurement Act. This change would give  the Board greater flexibility to set and change fees without having to go  through the regulatory process but the general public and licensees would be  adversely impacted in that their ability to receive notice of fee increases  (and their ability to make public comment to try to affect Board decisions)  will be greatly reduced or even eliminated. This change will increase  uncertainty for these groups and will also likely lead to higher costs for  licensees which may then be passed on to members of the public who use hearing  aid services. 
    Businesses and Entities Affected. This proposed regulation will  affect all current and future hearing aid specialist licensees. Board staff  reports that there are currently 668 hearing aid specialists who are licensed  in the Commonwealth.
    Localities Particularly Affected. No localities will likely be  disproportionately affected by this proposed regulatory change.
    Projected Impact on Employment. Likely increased licensure fees  will likely lead to at least a marginal decrease in the number of individuals  who are employed as hearing aid specialists.
    Effects on the Use and Value of Private Property. To the extent  that professional licenses are private property of value to licensees,  increasing the cost of licenses will commensurately decrease their value.
    Small Businesses: Costs and Other Effects. To the extent that  increasing licensure fees leads to a decrease in the number of individuals  licensed as hearing aid specialists, the cost of hiring the services of the  remaining, smaller pool of licensees may marginally increase for the small  businesses that hire them.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The Board could likely mitigate adverse impacts for licensees and the  public by leaving fees structured as they currently are.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17  (2014). Section 2.2-4007.04 requires that such economic impact analyses  determine the public benefits and costs of the proposed amendments.   Further the report should include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a  finding that a proposed regulation may have an adverse impact on small business,  the Joint Commission on Administrative Rules is notified at the time the  proposed regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPB's best estimate for the purposes  of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The board  concurs with the analysis for #1, 2, and 3 in the Summary of Proposed  Amendments to Regulations. The board respectfully disagrees with #4 and 5 of  the Summary, the sections titled Projected Impact on Employment and Effects on  the Use and Value of Private Property, and both Small Businesses sections.
    Summary.
    1. Summary Item #4: The proposed regulations would  "consolidate the initial licensure and licensure by reciprocity  fees." 
    EIA position: "Although on its face, this change is cost  neutral for affected entities, the Board is seeking to increase the initial  licensure fee to $85 in a separate action  (http://townhall.virginia.gov/L/ViewStage.cfm?stageid=7104). The two actions  analyzed together indicate that individuals seeking licensure by reciprocity  will likely have to pay more than the [sic] currently do to become licensed.  Assuming the higher initial licensure fee is promulgated, individuals seeking  licensure by reciprocity will pay higher fees in all instances where the  examination fee is greater than $55." 
    Agency Response: The benefit of consolidating the initial  licensure fee and the licensure by reciprocity fee will be that the regulations  will be clearer and more easily understood by the regulants and the general  public. These two fees are the same amount and serve the same purpose, but  listing them separately in the regulations causes confusion for applicants.  This regulatory change is meant solely to simplify language in the fees  sections by reducing two separate fee entries with the same content into one  entry. Many of the board's under the Department of Professional and  Occupational Regulation successfully utilize this model.
    The EIA states that this change is cost neutral, then proceeds  to analyze a separate regulatory action, even linking to the other action.  While the EIA does not explicitly state the costs outweigh the benefits of this  action, it claims that individuals seeking licensure by reciprocity will likely  pay higher fees. In actuality, this regulatory action does not change fees at  all and uses simplified language to maintain the same fee for all applicants  for licensure, whether applying by reciprocity or not. Further, the board  believes this regulatory change will be beneficial to the regulants and public,  independent of the separate action referenced by the EIA. In fact, this is the  reason the board brought separate actions, because this simplification is  necessary regardless of the actual amount of the fee.
    2. Summary Item #5: The proposed regulations would remove the  examination fee (and other language pertaining to the fee) from the schedule of  fees and insert language that allows the exam fee to be set by agreement  between a vendor, so long as the vendor is chosen in compliance with the  Virginia Public Procurement Act. 
    EIA Position: "This change will increase uncertainty for  these groups and will also likely lead to higher costs for licensees which may  then be passed on to members of the public who use hearing aid services." 
    Agency Response: The current regulations set the examination  fee at $110. By setting the exam fee in the regulations, the board is  effectively unable to modernize its exam. When the exam fee is set in  regulations, the process to update the exam, or change the exam, is extremely  limited. Any desired change must go through the standardized regulatory review  process. This also means that if the administration costs of the exam increase,  whether through inflation, or other reasonable causes, and the board is unable  to adjust the examination fee capped at $110, the board will have to absorb  that cost, increasing its expenses and thus expedite the requirement for a fee  increase action to maintain the budget balancing requirements of the Callahan  Act. Removing the exam fee from the regulations frees the board from having to  seek regulatory changes every time it needs to update the exam, or exam  expenses change. Further, this change brings the regulation in line with most  of the boards under the Department of Professional and Occupational Regulations  (DPOR), including the optician regulations.
    As noted in the NOIRA and Agency Background Document, the  board's current written examination is a proprietary paper and pencil exam and  is being phased out by the exam owner. The company that owns the exam has  transitioned to a computer-based exam, and the board would like to be able to  explore procuring a modernized exam, in compliance with the Virginia Public  Procurement Act (PPA). By eliminating the reference to a specific fee and  authorizing setting the fees based on an exam vendor negotiated in compliance  with the PPA, the board will be able to adapt more quickly if it loses access  to its current exam or if it is able to acquire a new, modernized exam. This  allows the board to more ably fulfill its statutory mission to protect the  health, safety, and welfare of the public through ensuring licensed  professionals are minimally competent.
    The EIA's claim that this will likely lead to higher costs for  the licensees is unsupported. While the board may need to seek a change in its  exam in the future, the competitive bidding process implemented under the PPA  may result in a lower or equivalent exam fee.
    Projected Impact on Employment. 
    EIA Position: "Likely increased licensure fees will likely  lead to at least a marginal decrease in the number of individuals who are  employed as hearing aid specialists."
    Agency Response: This regulatory action does not propose a fee  increase. The EIA position on the projected impact on employment appears to be  directed at a separate regulatory action. The EIA does not identify how any of  the proposed changes in this regulatory action would impact employment. The  changes proposed in this regulatory action simplify and modernize the  regulations and are not anticipated to have a negative impact on employment. 
    Effects on the Use and Value  of Private Property. 
    EIA Position: "To the extent that professional licenses  are private property of value to licensees, increasing the cost of licenses  will commensurately decrease their value."
    Agency Response: As noted above, this regulatory action does  not propose a fee increase. The EIA position on the Effects on the Use and  Value of Private Property appears to be directed at a separate regulatory  action and does not reference any of the proposed changes in this regulatory  action. 
    Regardless of the EIA response's relation to a separate action,  the board disagrees with the characterization of an occupational license as  private property. The board, in consultation with the Attorney General's  office, maintains that an occupational license is a legal status conferred by  the state granting special privileges to the licensee, not private property.
    Further, it is not clear how increasing the cost of the license  decreases its value. Changing the cost of the license does not affect its  function, characteristics, or the usability of the license, factors that would  normally determine its value. In this sense, it is not clear how a fee change  alone can change the value of a license. The EIA takes the position that a fee  increase leads to a decrease in the number licensees. If this is the case, then  the license would be more scarce. A decrease in supply would likely result in  increased value. So if the license is more scarce due to the fee increase, its  value would increase, not decrease as the EIA indicates.
    Small Businesses: Costs and Other Effects. 
    EIA Position: "To the extent that increasing licensure  fees leads to a decrease in the number of individuals licensed as hearing aid  specialists, the cost of hiring the services of the remaining, smaller pool of  licensees may marginally increase for the small businesses that hire  them."
    Agency Response: As noted above, this regulatory action does  not propose a fee increase. The EIA position on the Small Businesses: Costs and  Other Effects appears to be directed at a separate regulatory action, and does  not reference any of the proposed changes in this regulatory action. 
    Further, the changes made by this regulatory action are not  anticipated to have any negative effect on small business costs. The changes in  this action are clarifying changes, updates to reflect current business  practices, and a consolidation and simplification of the categories of application  fees. This simplification should reduce the regulatory burden on licensees,  including small businesses. In fact, the board takes the position that by  streamlining and simplifying its regulations, small businesses will experience  reduced costs, as owners and employees will have to spend less time and  resources reading and understanding the regulations.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. 
    EIA Position: "The Board could likely mitigate adverse  impacts for licensees and the public by leaving fees structured as they  currently are."
    Agency Response: These regulatory changes are clarifying and  simplifying in nature and are meant to have a positive impact on the licensee  population. Further, to the extent the EIA is referring to the fee increase as  fee structure, this regulatory action does not propose a fee increase. 
    Summary:
    The proposed amendments (i) modify the definitions of  "hearing aid specialist" and "licensee" and other  provisions to align them with statutory definitions found in § 54.1-1500  of the Code of Virginia, (ii) exempt correspondence protected by law from the  requirement that correspondence be sent to both the permit holder and sponsor,  (iii) eliminate the examination fee cap and authorize examination fees to be  set by agreement between the Department of Professional and Occupational  Regulation and the examination vendor provided that the vendor is chosen in  accordance with Virginia Procurement Act, (iv) eliminate fees for wall  certificates and consolidate the licensure fee for reciprocity with the initial  license fee, (v) require a hearing aid specialist to disclose nonrefundable  fees and prohibit the fees from being a percentage of the purchase price of the  hearing aid, (vi) expand the standard testing frequencies to include 6000 –  8000 hertz, (vii) expand the grounds for disciplinary action to include  probation and refusal to renew, (viii) clarify that temporary permit holders  are subject to discipline by the board, and (ix) make other clarifying changes.
    CHAPTER 20 
  BOARD FOR HEARING AID SPECIALISTS REGULATIONS 
    Part I 
  Definitions 
    18VAC80-20-10. Definitions. 
    The following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise: 
    "Audiologist" means any person who engages in the  practice of audiology as defined by § 54.1-2600 of the Code of Virginia. 
    "Board" means Board for Hearing Aid Specialists and  Opticians. 
    "Department" means Department of Professional and  Occupational Regulation. 
    "Hearing aid specialist" means a person who engages  in the practice of fitting and or dealing in hearing aids or who  advertises or displays a sign or represents himself as a person who practices  the fitting or and dealing of in hearing aids. 
    "Licensed sponsor" means a licensed hearing aid  specialist who is responsible for training one or more individuals holding a  temporary permit. 
    "Licensee" means any person holding a valid license  issued by the Board for Hearing Aid Specialists and Opticians for the  practice of fitting and or dealing in hearing aids, as defined in  § 54.1-1500 of the Code of Virginia. 
    "Otolaryngologist" means a licensed physician  specializing in ear, nose, and throat disorders. 
    "Reciprocity" means an agreement between two or  more states to recognize and accept one another's regulations and laws. 
    "Reinstatement" means having a license restored to  effectiveness after the expiration date has passed. 
    "Renewal" means continuing the effectiveness of a  license for another period of time. 
    "Temporary permit holder" means any person who  holds a valid temporary permit under this chapter. 
    Part II 
  Entry Requirements 
    18VAC80-20-30. Basic qualifications for licensure. 
    A. Every applicant for a license shall provide information on  his application establishing that: 
    1. The applicant is at least 18 years of age. 
    2. The applicant has successfully completed high school or a  high school equivalency course. 
    3. The applicant has training and experience that covers the  following subjects as they pertain to hearing aid fitting and the sale of  hearing aids, accessories, and services: 
    a. Basic physics of sound; 
    b. Basic maintenance and repair of hearing aids; 
    c. The anatomy and physiology of the ear; 
    d. Introduction to psychological aspects of hearing loss; 
    e. The function of hearing aids and amplification; 
    f. Visible disorders of the ear requiring medical referrals; 
    g. Practical tests utilized for selection or modification of  hearing aids; 
    h. Pure tone audiometry, including air conduction, bone  conduction, and related tests; 
    i. Live voice or recorded voice speech audiometry, including  speech reception threshold testing and speech discrimination testing; 
    j. Masking when indicated; 
    k. Recording and evaluating audiograms and speech audiometry  to determine the proper selection and adaptation of hearing aids; 
    l. Taking earmold impressions; 
    m. Proper earmold selection; 
    n. Adequate instruction in proper hearing aid orientation; 
    o. Necessity of proper procedures in after-fitting checkup;  and 
    p. Availability of social service resources and other special  resources for the hearing impaired. 
    4. The applicant has provided one of the following as  verification of completion of training and experience as described in  subdivision 3 of this subsection: 
    a. A statement on a form provided by the board signed by the  licensed sponsor certifying that the requirements have been met; or 
    b. A certified true copy of a transcript of courses completed  at an accredited college or university, or other notarized documentation of  completion of the required experience and training. 
    5. The applicant shall has not have been  convicted or found guilty of any crime directly related to the practice of  fitting and or dealing in hearing aids, regardless of the manner  of adjudication, in any jurisdiction of the United States. Except for  misdemeanor convictions that occurred five or more years prior to the date of  application, with no subsequent convictions, all criminal convictions shall be  considered as part of the totality of the circumstances of each applicant. The  applicant review of prior convictions shall be subject to the requirements of § 54.1-204 of the Code of Virginia. Any plea of nolo contendere shall be  considered a conviction for purposes of this subdivision. The record of a conviction  authenticated in such form as to be admissible in evidence under the laws of  the jurisdiction where convicted shall be admissible as prima facie evidence of  such conviction or guilt. 
    6. The applicant is in good standing as a licensed hearing aid  specialist in every jurisdiction where licensed. The applicant must disclose if  he has had a license as a hearing aid specialist that was suspended, revoked,  or surrendered in connection with a disciplinary action or that has been the  subject of discipline in any jurisdiction prior to applying for licensure in  Virginia. At the time of application for licensure, the applicant must also  disclose any disciplinary action taken in another jurisdiction in connection  with the applicant's practice as a hearing aid specialist. The applicant must  also disclose whether he has been previously licensed in Virginia as a hearing  aid specialist. 
    7. The applicant has disclosed his physical address. A post  office box is not acceptable. 
    8. The nonresident applicant for a license has filed and  maintained with the department an irrevocable consent for the department to  serve as service agent for all actions filed in any court in Virginia. 
    9. The applicant has submitted the required application with  the proper fee as referenced in 18VAC80-20-70 and signed, as part of the  application, a statement that the applicant has read and understands Chapter 15  (§ 54.1-1500 et seq.) of Title 54.1 of the Code of Virginia and the  regulations of the board this chapter. 
    B. The board may make further inquiries and investigations  with respect to the qualifications of the applicant or require a personal  interview or both. The board may refuse initial licensure due to the  applicant's failure to comply with entry requirements. The licensee is entitled  to a review of such action. Appeals from such actions shall be in accordance  with the provisions of the Administrative Process Act, Chapter 40 (§ 2.2-4000  et seq.) of Title 2.2 of the Code of Virginia. 
    18VAC80-20-40. Qualifications for a temporary Temporary  permit. 
    A. Any individual may apply for a temporary permit, which is  to be used solely for the purpose of gaining the training and experience  required to become a licensed hearing aid specialist in Virginia. The licensed  sponsor shall be identified on the application for a temporary permit and the  licensed sponsor shall comply strictly with the provisions of subdivision 2  of this subsection B of this section. 
    1. A temporary permit shall be issued for a period of 12  months and may be extended once for not longer than six months. After a period  of 18 months an extension is no longer possible and the former temporary permit  holder shall sit for the examination in accordance with this section. 
    2. The board may, at its discretion, extend the  temporary permit for a temporary permit holder who suffers serious personal  illness or injury, or death in his immediate family, or obligation of military  service or service in the Peace Corps, or for other good cause of similar  magnitude approved by the board. Documentation of these circumstances must be  received by the board no later than 12 months after the date of the expiration  of the temporary permit or within six months of the completion of military or  Peace Corps service, whichever is later. 
    2. B. Every applicant for a temporary permit  shall provide information on upon application establishing that: 
    a. 1. The applicant for a temporary permit is at  least 18 years of age. 
    b. 2. The applicant for a temporary permit has  successfully completed high school or a high school equivalency course. 
    3. The applicant shall has not have been  convicted or found guilty of any crime directly related to the practice of  fitting and or dealing in hearing aids, regardless of the manner  of adjudication, in any jurisdiction of the United States. Except for  misdemeanor convictions that occurred five or more years prior to the date of  application, with no subsequent convictions, all criminal convictions shall be  considered as part of the totality of the circumstances of each applicant.  Review of prior convictions shall be subject to the requirements of § 54.1-204  of the Code of Virginia. Any plea of nolo contendere shall be considered a  conviction for purposes of this subdivision. The record of a conviction  authenticated in such form as to be admissible in evidence under the laws of  the jurisdiction where convicted shall be admissible as prima facie evidence of  such conviction or guilt. 
    4. The applicant for a temporary permit is in good standing as  a licensed hearing aid specialist in every jurisdiction where licensed. The  applicant for a temporary permit must disclose if he has had a license as a  hearing aid specialist that was suspended, revoked, or surrendered in  connection with a disciplinary action or that has been the subject of  discipline in any jurisdiction prior to applying for licensure in Virginia. At  the time of application, the applicant for a temporary permit must also  disclose any disciplinary action taken in another jurisdiction in connection  with the applicant's practice as a hearing aid specialist. The applicant for a  temporary permit must also disclose whether he has been licensed previously in  Virginia as a hearing aid specialist. 
    5. The applicant for a temporary permit has disclosed his  physical address. A post office box is not acceptable. 
    6. The applicant for a temporary permit has submitted the  required application with the proper fee referenced in 18VAC80-20-70 and has  signed, as part of the application, a statement that the applicant has  read and understands Chapter 15 (§ 54.1-1500 et seq.) of Title 54.1 of the Code  of Virginia and the regulations of the board this chapter. 
    B. C. The licensed hearing aid specialist who  agrees to sponsor the applicant for a temporary permit shall certify on the  application that as sponsor, he: 
    1. Assumes full responsibility for the competence and proper  conduct of the temporary permit holder with regard to all acts performed  pursuant to the acquisition of training and experience in the fitting and  or dealing of hearing aids; 
    2. Will not assign the temporary permit holder to carry out  independent field work without on-site direct supervision by the sponsor until  the temporary permit holder is adequately trained for such activity; 
    3. Will personally provide and make available documentation,  upon request by the board or its representative, showing the number of hours  that direct supervision has occurred throughout the period of the temporary  permit; and 
    4. Will return the temporary permit to the department should  the training program be discontinued for any reason. 
    C. D. The licensed sponsor shall provide  training and shall ensure that the temporary permit holder under his  supervision gains experience that covers the following subjects as they pertain  to hearing aid fitting and the sale of hearing aids, accessories, and  services: 
    1. Basic physics of sound; 
    2. Basic maintenance and repair of hearing aids; 
    3. The anatomy and physiology of the ear; 
    4. Introduction to psychological aspects of hearing loss; 
    5. The function of hearing aids and amplification; 
    6. Visible disorders of the ear requiring medical referrals; 
    7. Practical tests utilized for selection or modification of  hearing aids; 
    8. Pure tone audiometry, including air conduction, bone  conduction, and related tests; 
    9. Live voice or recorded voice speech audiometry, including  speech reception threshold testing and speech discrimination testing; 
    10. Masking when indicated; 
    11. Recording and evaluating audiograms and speech audiometry  to determine the proper selection and adaptation of hearing aids; 
    12. Taking earmold impressions; 
    13. Proper earmold selection; 
    14. Adequate instruction in proper hearing aid orientation; 
    15. Necessity of proper procedures in after-fitting checkup;  and 
    16. Availability of social service resources and other special  resources for the hearing impaired. 
    D. E. The board may make further inquiries and  investigations with respect to the qualifications of the applicant for a  temporary permit or require a personal interview, or both. 
    E. F. All correspondence from the board to the  temporary permit holder not otherwise exempt from disclosure, shall be  addressed to both the temporary permit holder and the licensed sponsor and  shall be sent to the business address of the licensed sponsor. 
    18VAC80-20-70. Fees. 
    A. All fees are nonrefundable and shall not be prorated. The  date of receipt by the board or its agent is the date which that  be used to determine whether or not it is on time. 
    B. Application and examination fees must be submitted with  the application for licensure. 
    C. In the event that a check, money draft, or similar  instrument for payment of a fee required by statute or regulation is not  honored by the bank or financial institution named, the applicant or regulant  shall be required to remit fees sufficient to cover the original fee, plus the  additional processing charge established by the department. 
    The following fees apply: 
           | Application Fee | $30 | to be paid by all applicants for initial licensure except    reciprocal applicants | 
       | Examination Fee
 | $110
 |   | 
       | Licensure Fee for Reciprocity
 | $140
 | includes exam fee
 | 
       | Temporary Permit Fee | $30 |   | 
       | Re-examination Fee
 | $95
 | per written or practical part 
 | 
       | Renewal | $20 |   | 
       | Reinstatement | $50 |   | 
       | Duplicate Wall Certificate
 | $25
 |   | 
  
    D. The written examination fee shall be established in  compliance with the Virginia Public Procurement Act (§ 2.2-4300 et seq. of  the Code of Virginia). The practical examination fee shall be established by  the department that is sufficient to cover expenses for the administration of  the examination in compliance with subdivision A 4 of § 54.1-201 of the  Code of Virginia. 
    18VAC80-20-220. Purchase agreement. 
    A. Each hearing aid shall be sold through a purchase  agreement which that shall: 
    1. Show the licensee's business address, license number and,  business telephone number, and signature; 
    2. Comply with federal and Virginia laws and regulations, United  States U.S. Food and Drug Administration (FDA) regulations, the  Virginia Home Solicitation Sales Act (Chapter 2.1 (§ 59.1-21.1 et seq.)  of Title 59.1 of the Code of Virginia), and the Virginia Consumer Protection  Act (Chapter 17 (§ 59.1-196 et seq.) of Title 59.1 of the Code of  Virginia); 
    3. Clearly state, if the hearing aid is not new and is sold or  rented, that it is "used" or "reconditioned," whichever is  applicable, including the terms of warranty, if any. The hearing aid container  shall be clearly marked with the same information contained in the purchase  agreement. 
    4. Identify the brand names and model of the hearing aid being  sold, and the serial number of the hearing aid shall be provided, in writing,  to the purchaser or prospective purchaser at the time of delivery of the  hearing aid; 
    5. Disclose the full purchase price; 
    6. Disclose the down payment and periodic payment terms in  cases where the purchase price is not paid in full at delivery; 
    7. Disclose any nonrefundable fees established in  accordance with § 54.1-1505 of the Code of Virginia. Nonrefundable fees  shall not be a percentage of the purchase price of the hearing aid; 
    8. Disclose any warranty; 
    9. Explain the provisions of § 54.1-1505 of the Code of  Virginia, which entitles the purchaser to return the hearing aid, in the  10-point bold face type that is bolder than the type in the remainder of the  purchase agreement; and 
    10. Disclose that the licensee or temporary permit holder is  not a physician licensed to practice medicine in Virginia and that no  examination or representation made shall be regarded as a medical examination,  opinion or advice;.
    B. Subdivision A 10 of this section shall not apply to sales  made by a licensed hearing aid specialist who is a physician licensed to  practice medicine in Virginia. 
    18VAC80-20-230. Fitting and or sale of hearing  aids for children. 
    1. Any person engaging in the fitting and or  sale of hearing aids for a child under 18 years of age shall ascertain whether  such child has been examined by an otolaryngologist or licensed physician  within six months prior to fitting. 
    2. No child under 18 years of age shall be initially fitted  with a hearing aid or hearing aids unless the licensed hearing aid specialist  has been presented with a written statement signed by an otolaryngologist  stating the child's hearing loss has been medically evaluated and the child may  be considered a candidate for a hearing aid. The medical evaluation must have  taken place within the preceding six months. 
    3. No child under 18 years of age shall be subsequently  fitted with a hearing aid or hearing aids unless the licensed hearing aid  specialist has been presented with a written statement signed by a licensed  physician stating the child's hearing loss has been medically evaluated and the  child may be considered a candidate for a hearing aid. The medical evaluation  must have taken place within the preceding six months. 
    18VAC80-20-250. Testing procedures. 
    It shall be the duty of each licensee and holder of a  temporary permit engaged in the fitting and sale of hearing aids to use  appropriate testing procedures for each hearing aid fitting. All tests and case  history information must be retained in the records of the specialist. The  established requirements shall be: 
    1. Air Conduction Tests A.N.S.I. standard frequencies of  500-1000-2000-4000-6000-8000 Hertz. Intermediate frequencies shall be  tested if the threshold difference between octaves exceeds 15dB. Appropriate  masking must be used if the difference between the two ears is 40 dB or more at  any one frequency. 
    2. Bone Conduction Tests are to be made on every  client--A.N.S.I. standards at 500-1000-2000-4000 Hertz. Proper masking is to be  applied if the air conduction and bone conduction readings for the test ear at  any one frequency differ by 15 dB or if lateralization occurs. 
    3. Speech testings shall be made before fittings and shall be  recorded with type of test, method of presentation and the test results. 
    4. The specialist shall check for the following conditions  and, if they are found to exist, shall refer the client to a licensed physician  unless the client can show that his present condition is under treatment or has  been treated: 
    a. Visible congenital or traumatic deformity of the ear. 
    b. History of active drainage from the ear within the previous  90 days. 
    c. History of sudden or rapidly progressive hearing loss  within the previous 90 days. 
    d. Acute or chronic dizziness. 
    e. Unilateral hearing loss. 
    f. Audiometric air bone gap equal to or greater than 15 dB at  500 Hertz, 1000 Hertz, and 2000 Hertz. 
    g. Visible evidence or significant cerumen accumulation or a  foreign body in the ear canal. 
    h. Tinnitus as a primary symptom. 
    i. Pain or discomfort in the ear. 
    5. All tests shall have been conducted no more than six months  prior to the fitting. 
    6. Post-fitting testing shall be made and recorded with type  of test, method of presentation and the test results. 
    18VAC80-20-270. Grounds for discipline. 
    The board may, in considering the totality of the  circumstances, fine any temporary permit holder or licensee or,  and suspend, place on probation, or revoke, or refuse to renew  any temporary permit or license or deny any license application  issued under the provisions of Chapter 15 (§ 54.1-1500 et seq.) of Title  54.1 of the Code of Virginia and the regulations of the board this  chapter. Disciplinary procedures are governed by the Administrative Process  Act, Chapter 40 (§ 2.2-4000 et seq.) of Title 2.2 of the Code of Virginia.  In exercising its disciplinary function, the board will consider the totality  of the circumstances of each case. Any licensee is subject to board discipline  for any of the following: 
    1. Improper conduct, including but not limited to: 
    a. Obtaining or, renewing, or attempting to  obtain a license by false or fraudulent representation; 
    b. Obtaining any fee or making any sale by fraud or  misrepresentation; 
    c. Employing to fit and or sell hearing aids a  person who does not hold a valid license or a temporary permit, or whose  license or temporary permit is suspended; 
    d. Using, causing, or promoting the use of any misleading,  deceptive, or untruthful advertising matter, promotional literature,  testimonial, guarantee, warranty, label, brand, insignia, or any other  representation, whether disseminated orally or published; 
    e. Advertising a particular model or type of hearing aid for  sale when purchasers or prospective purchasers responding to the advertisement  cannot purchase the advertised model or type; 
    f. Representing that the service or advice of a person  licensed to practice medicine or audiology will be used in the selection,  fitting, adjustment, maintenance, or repair of hearing aids when that is not  true;, or using the words "physician,"  "audiologist," "clinic," "hearing service,"  "hearing center," or similar description of the services and products  provided when such use is not accurate; 
    g. Directly or indirectly giving, or offering to give,  favors, paid referrals, or anything of value to any person who in his  professional capacity uses his position to influence third parties to purchase  products offered for sale by a hearing aid specialist; or 
    h. Failing to provide expedient, reliable and, or  dependable services when requested by a client or client's guardian. 
    2. Failure to include on the purchase agreement a statement  regarding home solicitation when required by federal and state law. 
    3. Incompetence or negligence, as those terms are generally  understood in the profession, in fitting or selling hearing aids. 
    4. Failure to provide required or appropriate training  resulting in incompetence or negligence, as those terms are generally  understood in the profession, by a temporary permit holder under the licensee's  sponsorship. 
    5. Violating or cooperating with others in violating any  provisions of Chapters 1 (§ 54.1-100 et seq.), 2 (§ 54.1-200  et seq.), 3 (§ 54.1-300 et seq.), and 15 (§ 54.1-1500  et seq.) of Title 54.1 of the Code of Virginia or any regulation of the  board this chapter. 
    6. The licensee, temporary permit holder, or applicant shall  not have has been convicted or found guilty of any crime directly  related to the practice of fitting and or dealing in hearing  aids, regardless of the manner of adjudication, in any jurisdiction of the  United States. Except for misdemeanor convictions that occurred five or more  years prior to the date of application, with no subsequent convictions, all  criminal convictions shall be considered as part of the totality of the  circumstances of each applicant. Review of prior convictions shall be subject  to the requirements of § 54.1-204 of the Code of Virginia. Any pleas of nolo  contendere shall be considered a conviction for the purpose of this  subdivision. The record of a conviction authenticated in such form as to be  admissible in evidence of the law of the jurisdiction where convicted shall be  admissible as prima facie evidence of such conviction or guilt. 
    18VAC80-20-280. Accountability of licensee. (Repealed.)
    A licensee shall be responsible for the acts or omissions  of his staff in the performance of the fitting and dispensing of hearing aid  services. 
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (18VAC80-20) 
    License Application, 21LIC (rev. 10/03). 
    Temporary Permit Application, 21TPER (eff. 10/03). 
    Reinstatement Application, 21REI (rev. 10/03). 
    Reexamination Application, 21REEX (rev. 12/00). 
    Hearing  Aid Specialist License Application, A440-2101LIC-v3 (rev. 3/2016)
    Hearing  Aid Specialist Temporary Permit Application, A440-2102TP_PKG-v4 (rev. 3/2016)
    Hearing  Aid Specialist License Reinstatement Application, A440-2101REI-v3 (rev. 3/2016)
    Hearing  Aid Specialist Re-examination Application, A440-2101REEX-v2 (rev. 9/2013)
    Hearing  Aid Specialist Training & Experience Form, A440-21TREXP-v2 (eff. 9/2013)
    VA.R. Doc. No. R14-3984; Filed September 25, 2015, 9:26 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR HEARING AID SPECIALISTS AND OPTICIANS
Proposed Regulation
    Title of Regulation: 18VAC80-30. Opticians  Regulations (amending 18VAC80-30-50). 
    Statutory Authority: § 54.1-201 of the Code of Virginia.
    Public Hearing Information:
    December 16, 2015 - 2 p.m. - Department of Professional  and Occupational Regulation, 9960 Mayland Drive, Suite 200, Board Room 1,  Richmond, VA 23233
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Demetrios J. Melis, Executive Director,  Board for Hearing Aid Specialists and Opticians, 9960 Mayland Drive, Suite 400,  Richmond, VA 23233, telephone (804) 367-8590, FAX (804) 527-4295, or email  hearingaidspec@dpor.virginia.gov.
    Basis: The proposed regulatory action is mandated by  several sections of the Code of Virginia. To comply with these statutes, the  board evaluates its current and projected financial position and determines the  type of fees and amounts to be established for each fee that will provide  revenue sufficient to cover its expenses. The sections are:
    § 54.1-113 (commonly known as the Callahan Act), which  states that following the close of any biennium, when the account for any  regulatory board within the Department of Professional and Occupational  Regulation or the Department of Health Professions maintained under § 54.1-308  or 54.1-2505 of the Code of Virginia shows expenses allocated to it for the  past biennium to be more than 10% greater or less than moneys collected on  behalf of the board, it shall revise the fees levied by it for certification or  licensure and renewal thereof so that the fees are sufficient but not excessive  to cover expenses.
    § 54.1-201.4, which describes each regulatory board's  power and duty to "levy and collect fees for the certification or  licensure and renewal that are sufficient to cover all expenses for the  administration and operation of the regulatory board and a proportionate share  of the expenses of the Department." 
    § 54.1-304.3, which describes the power and duty of the  director to "collect and account for all fees prescribed to be paid into  each board and account for and deposit the moneys so collected into a special  fund from which the expenses of the board, regulatory boards, and the  department shall be paid." 
    § 54.1-308, which provides for compensation of the  director, employees, and board members to be paid out of the total funds  collected. This section also requires the director to maintain a separate  account for each board showing moneys collected on its behalf and expenses  allocated to the board. 
    The above sections of the Code of Virginia mandate that the  board manage and periodically review and adjust fees. The referenced sections  require the department to (i) pay expenses of each board and the department  from revenues collected; (ii) establish fees adequate to provide sufficient  revenue to pay expenses; (iii) account for the revenues collected and expenses  charged to each board; and (iv) adjust fees as necessary to ensure that revenue  is sufficient but not excessive to cover all expenses.
    To comply with these requirements, the department (i)  distinctly accounts for the revenue collected for each board; (ii) accounts for  direct board expenses for each board and allocates a proportionate share of  agency operating expenses to each board; (iii) reviews the actual and projected  financial position of each board biennially to determine whether revenues are  adequate, but not excessive, to cover reasonable and authorized expenses for  upcoming operating cycles; and (iv) recommends adjustments to fees to respond  to changes and projections in revenue trends and operating expenses. If  projected revenue collections are expected to be more than sufficient to cover  expenses for upcoming operating cycles, decreases in fees are recommended. If  projected revenue collections are expected to be inadequate to cover operating  expenses for upcoming operating cycles, increases in fees are recommended.
    Fee adjustments are mandatory in accordance with the cited Code  of Virginia sections. The board exercises discretion on how the fees are  adjusted by determining the amount of adjustment for each type of fee. The  board makes its determination based on the adequacy of the fees to provide  sufficient revenue for upcoming operating cycles.
    Purpose: The intent of the proposed changes in the  regulation is to increase licensing fees for applicants and regulants of the  board. The board must establish fees adequate to support the costs of board  operations and a proportionate share of the department's operations. 
    The board provides protection for the health, safety, and  welfare of the citizens of the Commonwealth by ensuring that only individuals  who meet specific criteria set forth in statute and regulations receive  licensure as opticians, by ensuring its regulants meet standards of practice  and conduct set forth in the regulation, and by imposing penalties for not  complying with the governing statutes and regulations. Without adequate  funding, complaints against regulants brought to the attention of the board by  citizens cannot be investigated and processed in a timely manner. Ensuring that  opticians have at least the minimal competencies to perform work protects the  health, safety, and welfare of Virginia citizens.
    The department receives no general fund money, instead it is  funded almost entirely from revenue collected through applications for  certification, licensure, renewals, examination fees, and other certification  and licensing fees. The department is self-supporting and must collect adequate  revenue to support its mandated and approved activities and operations. Fees  must be established at amounts that will provide adequate revenue. Fee revenues  collected on behalf of the boards fund the department's authorized special  revenue appropriation.
    The board has no other source of revenue from which to funds  its operations. 
    Substance: The existing regulations are being amended to  adjust the fees related to obtaining and maintaining licensure as an optician  in the following ways:
    1) The optician licensure new applicant fee is adjusted from  $100 to $85.
    2) The optician licensure renewal fee is adjusted from $100 to  $115.
    3) The optician licensure late renewal fee is adjusted from $25  to $35.
    4) The optician licensure reinstatement fee is adjusted from  $100 to $85.
    Issues: The Code of Virginia establishes the board as  the state agency that oversees licensure of opticians providing services in  Virginia. The board's primary mission is to protect the citizens of the  Commonwealth by prescribing requirements for minimal competencies, by  prescribing standards of conduct and practice, and by imposing penalties for  not complying with the regulations. Further, the Code of Virginia requires the  department to comply with the Callahan Act. The proposed fee adjustments will  ensure that the board has sufficient revenues to fund its operating expenses.
    There are no disadvantages to the public or the Commonwealth in  raising the board's fees as proposed in this action.
    Department of Planning and  Budget's Economic Impact Analysis:
    Summary of the Proposed Amendments to Regulation. The Board for  Hearing Aid Specialists and Opticians (Board) proposes to amend fees for  optician licensure. Specifically, the Board proposes to decrease fees for  initial application and for contact lens certification and to increase fees for  license renewal (renewal with the 30-day grace period after license  expiration), late renewal (between 30 and 60 days of license expiration) and  reinstatement (more than 60 days after license expiration). 
    Result of Analysis. There is insufficient information to  ascertain whether benefits will outweigh costs for these proposed changes. 
    Estimated Economic Impact. Under current regulations,  applicants for initial licensure as optician pay $100 and pay an additional  $100 for contact lens certification; licensees currently pay a biennial renewal  fee of $100 and, when necessary, pay a late renewal fee of $125 or a  reinstatement fee of $225 (depending on how late they are in renewing their  licenses). The Board now proposes to decrease fees for initial licensure  application and contact lens certification and to increase fees for license  renewal, late renewal and reinstatement of licensure. 
    Below is a comparison table for current and proposed fees:
           | FEE TYPE | CURRENT FEE | PROPOSED FEE | % change | 
       | Initial Application for Licensure | $100 | $85 | -15% | 
       | Contact Lens Certification | $100  | $85 | -15% | 
       | License Renewal | $100 | $115 | +15% | 
       | License Late Renewal | $125 | $150 | +20% | 
       | License Reinstatement | $225   | $235 | +4.44% | 
  
    Board staff reports that, although revenues have fallen short  of being able to pay for all expenditures in this and the last biennium, the  Board had excess balances that covered budget shortfalls. Absent some fee  increase, Board staff reports that the Board will run a deficit by the end of  the 2016-18 biennium. Even though historical revenue and expenditure numbers  support that the Board would eventually have to increase fees, an assumption  used to forecast a decrease in revenues seems dubious. Board staff reports that  forecasted revenues for the current biennium and the next two biennia are less  than revenues over the last two biennia because they assumed that renewals  would follow historical patterns (in that approximately 92% of current  licensees would choose to renew) but they also assumed that revenues for  initial licensure applications would be lower than they have been historically  over the last two biennia. In short, Board staff assumes that fewer new  individuals will choose to be licensed over this or the next two biennia in  order to forecast a decrease in revenues. While revenue increased from $288,840  for the 2010-12 biennium to $289,704 for the 2012-14 biennium, the Board is  forecasting the revenue will fall to $276,485 for the current biennium and will  be the same for the next two biennia (absent fee increases). 
    An assumption used to forecast increased costs (that the  Department of Professional and Occupational Regulation (DPOR) will fill empty  positions that the Board would then be responsible for partially covering the  cost of) also may not happen and may not be in the best interests of current or  future licensees if it does happen. Specifically, if neither licensee services  nor investigations of complaints for this Board have suffered a significant lag  on account of DPOR's lower staffing levels, neither licensees of this Board nor  the public who uses their services are likely to experience a significant  benefit on account of DPOR's anticipated hiring of additional staff. 
    In addition to anticipated staffing increases at DPOR, Board  staff also reports that they expect expenditures to increase because of rising  cost of health insurance for DPOR staff. On a per employee basis these costs  are entirely outside of the power of the Board (and DPOR) to control. To the  extent that health care costs are anticipated to increase because DPOR plans to  hire more staff, the analysis in the paragraph above would also apply here.
    Increasing fees will likely increase the cost of being licensed  or registered and, so, will likely slightly decrease the number of people who  choose to be remain in these jobs or businesses. To the extent that the public  benefits from the Board regulating these professional populations, they will  also likely benefit from the Board's proposed action that will increase fees to  support Board activities. There is insufficient information to ascertain  whether benefits will outweigh costs.
    Businesses and Entities Affected. This proposed regulation will  affect all current and future optician licensees. Board staff reports that  there are currently 1,965 opticians who are licensed in the Commonwealth.
    Localities Particularly Affected. No localities will likely be  disproportionately affected by this proposed regulatory change.
    Projected Impact on Employment. Marginally decreased initial  licensure fees may lead to a likely very marginal increase in the number of  individuals seeking initial licensure as opticians. This effect will likely be  partially or fully offset by a marginal decrease in the number individuals who  choose to renew their licenses because renewal fees are higher. On the whole,  this action will likely have little net effect on employment in the  Commonwealth. 
    Effects on the Use and Value of Private Property. To the extent  that professional licenses are private property of value to licensees, Board  proposed changes will marginally increase the initial value of an optician's  license and will marginally decrease the value of licenses more than two years  old.
    Small Businesses: Costs and Other Effects. Given that these  proposed changes will have little to no net effect on employment in the  Commonwealth, small businesses that employ opticians are unlikely to incur any  additional costs. Opticians who own their own businesses will incur slightly  higher renewal fees on account of these regulations.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. There are actions that the Board could take that might mitigate the  necessity of raising fees at this time. If licensees and the public have not  thus far been harmed by decreased staffing levels, licensees would likely  benefit from DPOR reconsidering its decision to hire more staff who would need  to be funded through licensure fees.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General: 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 Code of Virginia and Executive Order Number 17 (2014).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses: If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a finding  that a proposed regulation may have an adverse impact on small business, the  Joint Commission on Administrative Rules is notified at the time the proposed  regulation is submitted to the Virginia Register of Regulations for  publication. This analysis shall represent DPB's best estimate for the purposes  of public review and comment on the proposed regulation.
    Agency's Response to Economic Impact Analysis: The Board  for Hearing Aid Specialists and Opticians concurs with the approval. However,  the board would like to address certain statements regarding the board's projected  revenues and expenditures.
    Estimated Economic Impact. 
    1. Economic Impact Analysis (EIA) position: "Absent  some fee increase, Board staff reports that the Board will run a deficit by the  2016-18 biennium. Even though historical revenue and expenditure numbers  support that the Board would eventually have to increase fees, an assumption  used to forecast a decrease in revenues seems dubious." 
    Agency Response: The board concurs with the EIA's conclusion  that revenue and expenditure numbers support that the board must increase fees.  The board disagrees with the EIA's characterization that its revenue forecast  is dubious. Revenue projections for applicants are based on historical averages  for the past eight years for opticians. This method has been proven successful  when considering that the number of applicants vary from year to year. The  projection methodology used for renewals has also shown to be historically  fairly accurate, with a typical variance of less than 5.0%. This revenue  projection method has been reviewed by Department of Professional and  Occupational Regulation (DPOR) management, external budget analysts, and an  external auditor; and the method is considered sound and reasonable. This  revenue projection methodology is used across all professions under DPOR, and  has been in place for over a decade. These specific revenue projections are the  same used for all budgeting purposes, including the annual executive branch six  year budget projections. It is of note that the board projects the cash deficit  to occur in the first part of 2017, under the current fee structure.
    2. EIA position: "Specifically, if neither licensee  services nor investigations of complaints for this Board have suffered a  significant lag on account of DPOR's lower staffing levels, neither licensees  of this Board nor the public who uses their services are likely to experience a  significant benefit on account of DPOR's anticipated hiring of additional  staff." 
    Agency Response: DPOR utilizes a specific staffing model, honed  over several decades, to keep costs at a minimum while maintaining its charge  of protecting the health, safety, and welfare of the public by ensuring minimal  competency of licensed professionals. Boards are staffed with licensing  professionals who are generalists in licensing and board-specific functions.  Functions that are not board specific, some of which include accounting,  investigations, examinations, information services, and recordkeeping, are  staffed by professionals in those fields who perform these functions for all of  the boards at DPOR. So, for example, the DPOR finance section staffs  accountants who split their time performing accounting for each of the boards.  The board is then charged a portion of the accountant's costs based on the  percentage of the accountant's workload that was spent on the board's  accounting. This model saves the board the expense of hiring a staff accountant  to perform this function. The board simply does not have the funds to staff  professionals to perform all of the incidental or specialized services  performed by DPOR staff. Neither can the board afford the loss of productivity  by having generalists attempt to perform these functions in addition to their  other duties for the board. The board receives the benefits of economies of  scale when sharing the cost of services provided by DPOR staff. When DPOR is  adequately staffed, all of the boards, including this board, operate at minimal  costs by receiving the benefits of specialization and economies of scale.
    Filling vacant positions is only one aspect of the projected  increased expenditures. The increases in health insurance and retirement costs  to DPOR that are already in effect as of Fiscal Year 2015 total nearly $2  million per biennium, with the board's allocated portion estimated at about  $18,000 per biennium.
    Effects on the Use and Value of Private Property.
    EIA position: "To the extent that professional licenses  are private property of value to licensees, Board proposed changes will  marginally increase the initial value of an optician's license and will  marginally decrease the value of licenses more than two years old."
    Agency Response: Regardless of the EIA response's relation to a  separate action, the board disagrees with the characterization of an  occupational license as private property. The board, in consultation with the  Attorney General's office, maintains that an occupational license is a legal  status conferred by the state granting special privileges to the licensee, not  private property.
    Further, it is not clear how increasing the cost of the license  decreases its value. Changing the cost of the license does not affect its  function, characteristics, or the usability of the license, factors that would  normally determine its value. In this sense, it is not clear how a fee change  alone can change the value of a license. The EIA takes the position that a fee  increase will lead to a decrease in the number licensees making the license  more scarce. A decrease in supply would likely result in increased value. So if  the license is more scarce due to the fee increase, its value would increase,  not decrease as the EIA indicates.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact.
    EIA position: "There are actions that the Board could take  that might mitigate the necessity of raising fees at this time. If licensees  and the public have not thus far been harmed by decreased staffing levels,  licensees would likely benefit from DPOR reconsidering its decision to hire  more staff that would need to be funded through licensure fees."
    Agency Response: As indicated above, licensees and the public  benefit when DPOR maintains adequate staffing levels. 
    DPOR utilizes a specific staffing model, honed over several  decades, to keep costs at a minimum while maintaining its charge of protecting  the health, safety, and welfare of the public by ensuring minimal competency of  licensed professionals. Boards are staffed with licensing professionals who are  generalists in licensing and board-specific functions. Functions that are not  board specific, some of which include accounting, investigations, examinations,  information services, and recordkeeping, are staffed by professionals in those  fields who perform these functions for all of the boards at DPOR. So, for  example, the DPOR finance section staffs accountants who split their time  performing accounting for each of the boards. The board is then charged a  portion of the accountant's costs based on the percentage of the accountant's  workload that was spent on the board's accounting. This model saves the board  the expense of hiring a staff accountant to perform this function. The board  simply does not have the funds to staff professionals to perform all of the  incidental or specialized services performed by DPOR staff. Neither can the  board afford the loss of productivity by having generalists attempt to perform  these functions in addition to their other duties for the board. The board  receives the benefits of economies of scale when sharing the cost of services  provided by DPOR staff. When DPOR is adequately staffed, all of the boards,  including this board, operate at minimal costs by receiving the benefits of  specialization and economies of scale.
    Summary:
    The proposed amendments (i) decrease the application fee  for licensure and for contact lens endorsement and (ii) increase the license  fees for renewal, late renewal, and reinstatement. 
    18VAC80-30-50. Fees. 
    A. The fee for examination or examinations shall consist of  the combination of an administrative charge of $25 (spectacle), $25 (contact  lens), and the appropriate contract charges. Examination service contracts  shall be established in compliance with the Virginia Public Procurement Act  (§ 2.2-4300 et seq. of the Code of Virginia). The total examination fee  shall not exceed a cost of $1,000 to the applicant. 
    B. All application fees for licenses are nonrefundable and  the date of receipt by the board or its agent is the date which that  will be used to determine whether it is on time. 
    C. Application and examination fees must be submitted with  the application for licensure. 
    D. The following fees  shall apply: 
           |   | FEE TYPE | AMOUNT DUE | WHEN DUE | 
       |   | Application for licensure | $100$85
 | With application | 
       |   | Application for contact lens certificationendorsement | $100$85
 | With application | 
       |   | Renewal | $100$115
 | Up to the expiration date on the license with a 30-day grace    period | 
       |   | Late renewal (includes renewal fee) | $125$150
 | Between 30 and 60 days after the expiration date on the    license | 
       |   | Reinstatement (includes renewal and late renewal fees) | $225$235
 | After 60 days following the expiration date on the license | 
  
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (18VAC80-30) 
    License and Examination Application, 11LIC (rev. 2004). 
    Contact Lens Endorsement Application, 11CLEND (rev. 2004).  
    Opticians  Examination & License Application, A448-11EXLIC-v6 (rev. 3/2016)
    Contact  Lens Endorsement Application, A448-11CLEND-v4 (rev. 3/2016)
    Reciprocity Application, 11REC (eff. 2004). 
    Reinstatement Application, 11REI (rev. 2004). 
    Opticians  License Reinstatement Application, A448-11REI-v3 (rev. 3/2016)
    Voluntary Practice Registration Application, 11VOLREG (eff.  7/03). 
    Sponsor Certification for Voluntary Practice Registration,  11VRSPCERT (eff. 7/03). 
    VA.R. Doc. No. R14-3948; Filed September 25, 2015, 9:24 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Final Regulation
    Title of Regulation: 18VAC90-20. Regulations  Governing the Practice of Nursing (amending 18VAC90-20-10, 18VAC90-20-35,  18VAC90-20-40, 18VAC90-20-70, 18VAC90-20-80, 18VAC90-20-90, 18VAC90-20-100  through 18VAC90-20-170; adding 18VAC90-20-121, 18VAC90-20-122, 18VAC90-20-131  through 18VAC90-20-137, 18VAC90-20-161; repealing 18VAC90-20-50, 18VAC90-20-60,  18VAC90-20-95, 18VAC90-20-96). 
    Statutory Authority: §§ 54.1-2400 and 54.1-3005 of the  Code of Virginia.
    Effective Date: November 18, 2015. 
    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.
    Summary:
    The amendments reorganize provisions for approval of  nursing education programs to clarify all criteria that must be met to obtain  initial approval, full approval, and continued full approval. The amendments  (i) incorporate current guidance on observational experiences and simulation  into the regulation; (ii) provide processes and procedures for granting initial  or full approval, for placing a program on conditional approval, and for denial  or withdrawal of approval of a program; (iii) require entities that are  applying for approval as nursing schools to submit the results of a community  assessment or market analysis; and (iv) require 80% of clinical hours to be  conducted in Virginia.
    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. 
    Part I 
  General Provisions 
    18VAC90-20-10. Definitions.
    In addition to words and terms defined in § 54.1-3030 of the  Code of Virginia, the following words and terms when used in this chapter shall  have the following meanings unless the context clearly indicates otherwise:
    "Accreditation" means having been accredited by the  Accreditation Commission for Education in Nursing [ (ACEN) or by, ]  the Commission on Collegiate Nursing Education (CCNE) [ , or a national  nursing accrediting organization recognized by the board ].
    "Active practice" means activities performed,  whether or not for compensation, for which an active license to practice  nursing is required.
    "Advisory committee" means a group of persons  from a nursing education program and the health care community who [ meet  meets ] regularly to advise the nursing education program on the  quality of its graduates and the needs of the community.
    "Approval" means the process by which the board or  a governmental agency in another state or foreign country evaluates and grants  official recognition to nursing education programs that meet established  standards not inconsistent with Virginia law.
    "Associate degree nursing program" means a nursing  education program preparing for registered nurse licensure, offered by a  Virginia college or other institution and designed to lead to an associate  degree in nursing, provided that the institution is authorized to confer such  degree by the State Council of Higher Education for Virginia.
    "Baccalaureate degree nursing program" or  "prelicensure graduate degree program" means a nursing education  program preparing for registered nurse licensure, offered by a Virginia college  or university and designed to lead to a baccalaureate or a graduate  degree with a major in nursing, provided that the institution is authorized to  confer such degree by the State Council of Higher Education for Virginia.
    "Board" means the Board of Nursing.
    "CGFNS" means the Commission on Graduates of  Foreign Nursing Schools.
    "Clinical setting" means any location in which the  clinical practice of nursing occurs as specified in an agreement between the  cooperating agency and the school of nursing.
    "Conditional approval" means a time-limited status which  that results when an approved nursing education program has failed to  maintain requirements as set forth in Article 2 (18VAC90-20-70 et seq.) of  Part II of this chapter.
    "Contact hour" means 50 minutes of continuing  education coursework or activity.
    "Cooperating agency" means an agency or institution  that enters into a written agreement to provide learning clinical or  observational experiences for a nursing education program.
    "Diploma nursing program" means a nursing education  program preparing for registered nurse licensure, offered by a hospital and  designed to lead to a diploma in nursing, provided the hospital is licensed in  this state.
    "FERPA" means the Family Educational Rights and  Privacy Act (20 USC § 1232g).
    "Initial approval" means the status granted to a  nursing education program that allows the admission of students.
    "NCLEX" means the National Council Licensure  Examination.
    "NCSBN" means the National Council of State Boards  of Nursing.
    "National certifying organization" means an  organization that has as one of its purposes the certification of a specialty  in nursing based on an examination attesting to the knowledge of the nurse for  practice in the specialty area.
    "Nursing education program" means an entity  offering a basic course of study preparing persons for licensure as registered  nurses or as licensed practical nurses. A basic course of study shall include  all courses required for the degree, diploma or certificate.
    "Nursing faculty" means registered nurses who teach  the practice of nursing in nursing education programs.
    "Practical nursing program" means a nursing  education program preparing for practical nurse licensure that leads to a  diploma or certificate in practical nursing, provided the school is authorized  by the Virginia State Board Department of Education or the  appropriate governmental credentialing agency by an accrediting agency  recognized by the U.S. Department of Education.
    "Preceptor" means a licensed health care  provider nurse who is employed in the clinical setting, serves as a  resource person and role model, and is present with the nursing student in that  setting providing clinical supervision.
    "Primary state of residence" means the state of a  person's declared fixed permanent and principal home or domicile for legal  purposes.
    "Program director" means a registered nurse who  holds a current, unrestricted license in Virginia or a multistate licensure  privilege and who has been designated by the controlling authority to  administer the nursing education program.
    "Provisional approval" means the initial status  granted to a nursing education program which shall continue until the first  class has graduated and the board has taken final action on the application for  approval.
    "Recommendation" means a guide to actions that will  assist an institution to improve and develop its nursing education program.
    "Requirement" means a mandatory condition that a  nursing education program must meet to be approved or maintain approval.
    "Site visit" means a focused on-site review of  the nursing program by board staff, usually completed within one day for the  purpose of evaluating program components such as the physical location (skills  lab, classrooms, learning resources) for obtaining initial program approval, in  response to a complaint, compliance with NCLEX plan of correction, change of  location, or verification of noncompliance with this chapter.
    "Survey visit" means a comprehensive on-site  review of the nursing program by board staff, usually completed within two days  (depending on the number of programs or campuses being reviewed) for the  purpose of obtaining and maintaining full program approval. The survey visit  includes the program's completion of a self-evaluation report prior to the  visit, as well as a board staff review of all program resources (including  skills lab, classrooms, learning resources, and clinical facilities) and other  components to ensure compliance with this chapter. Meetings with faculty,  administration, students, and clinical facility staff will occur.
    18VAC90-20-35. Identification; accuracy of records.
    A. Any person regulated by this chapter who provides direct patient  client care shall, while on duty, wear identification that is clearly  visible and indicates the person's first and last name and the appropriate  title for the license, certification, or registration issued to such  person by the board, or student status under which he is practicing  in that setting. Any person practicing in hospital emergency departments,  psychiatric and mental health units and programs, or in health care facilities  units offering treatment for patients clients in custody of state  or local law-enforcement agencies may use identification badges of first name  and first letter only of last name and appropriate title.
    B. A licensee who has changed his name shall submit as legal  proof to the board a copy of the marriage certificate, a certificate of  naturalization, or court order evidencing the change. A duplicate license shall  be issued by the board upon receipt of such evidence and the required fee.
    C. Each licensee shall maintain an address of record with the  board. Any change in the address of record or in the public address, if  different from the address of record, shall be submitted by a licensee  electronically or in writing to the board within 30 days of such change. All  notices required by law and by this chapter to be mailed by the board to any  licensee shall be validly given when mailed to the latest address of record on  file with the board.
    Part II 
  Nursing Education Programs 
    Article 1 
  Establishing Initial Approval of a Nursing Education Program 
    18VAC90-20-40. Application for initial approval. 
    A. An institution wishing to establish a nursing  education program shall:
    1. Provide documentation of attendance by the program  director at a board orientation on establishment of a nursing education program  prior to submission of an application and fee.
    2. Submit to the board, at least 12 months in  advance of expected opening date, a statement of intent an application  to establish a nursing education program along with an a  nonrefundable application fee as prescribed in 18VAC90-20-30.
    a. The application shall be effective for 12 months from  the date the application was received by the board.
    b. If the program does not meet the board's requirements  for approval within 12 months, it shall file a new application and fee.
    3. Submit the following information on the organization and  operation of a nursing education program:
    a. A copy of a business license and zoning permit to  operate a school in a Virginia location, a certificate of operation from the  State Corporation Commission, evidence of approval from the Virginia Department  of Education, and documentation of accreditation, if applicable;
    b. The organizational structure of the institution and its  relationship to the nursing education program therein;
    c. The type of nursing program, as defined in  18VAC90-20-10;
    d. An enrollment plan specifying the beginning dates and  number of students for each class for a two-year period from the date of  initial approval including (i) the planned number of students in the first  class and in all subsequent classes and (ii) the planned frequency of  admissions. Any increase in admissions that is not stated in the enrollment  plan must be approved by the board. Also, transfer students are not authorized  until full approval has been granted to the nursing education program; and
    e. A tentative time schedule for planning and initiating  the program through graduation of the first class and the program's receipt of  results of the NCLEX examination.
    2. 4. Submit to the board evidence documenting  adequate resources for the projected number of students and the ability to  provide a program that can meet the requirements of Article 2 (18VAC90-20-70  et seq.) of this part to include the following information:
    a. Organizational structure of the institution and  relationship of nursing program therein The results of a community  assessment or market analysis that demonstrates the need for the nursing  education program in the geographic area for the proposed school. The  assessment or analysis shall include employment opportunities of nurses in the  community, the number of clinical facilities or employers available for the  size of the community to support the number of graduates, and the number and  types of other nursing education programs in the area;
    b. Purpose and type of program;
    c. Availability b. A projection of the availability  of qualified faculty sufficient to provide classroom instruction and clinical  supervision for the number of students specified by the program;
    d. c. Budgeted faculty positions sufficient in  number to provide classroom instruction and clinical supervision;
    e. d. Availability of clinical training  facilities for the program as evidenced by copies of contracts or letters of  agreement specifying the responsibilities of the respective parties and  indicating sufficient availability of clinical experiences for the number of  students in the program, the number of students, and clinical hours  permitted at each clinical site and on each nursing unit;
    e. Documentation that at least 80% of all clinical  experiences are to be conducted in Virginia, unless an exception is granted by  the board. There shall be documentation of written approval for any clinical  experience conducted outside of Virginia by the agency that has authority to  approve clinical placement of students in that state. The use of any clinical  site in Virginia located 50 miles or more from the school shall require board  approval;
    f. Availability A diagram or blueprint showing the  availability of academic facilities for the program, including classrooms, skills  laboratory, and library learning resource center. This information  shall include the number of restrooms for the student and faculty population,  classroom and skills laboratory space large enough to accommodate the number of  the student body, and sufficient faculty office space that meets FERPA  requirements; and
    g. Evidence of financial resources for the planning,  implementation, and continuation of the program with line-item  budget projections for the first three years; of operations  beginning with the admission of students.
    h. Tentative time schedule for planning and initiating the  program; and
    i. An enrollment plan specifying the beginning dates and  number of students for each class for a two-year period from the date of  initial approval.
    3. 5. Respond to the board's request for  additional information within a time frame established by the board.
    B. A site visit may be conducted by a representative of  the board.
    C. The Education Special Conference Committee (the  "committee"), composed of not less than two members of the board,  shall, in accordance with § 2.2-4019 of the Code of Virginia, receive and  review applications and the report of the site visit and shall make  recommendations to the board regarding the granting or denial of approval of  the program application.
    1. If the board accepts the recommendation to approve the  program application, the institution may apply for provisional approval of the  nursing education program as set forth in this chapter.
    2. If the committee recommendation is to deny approval of  the program application, no further action will be required of the board unless  the program requests a hearing before the board or a panel thereof in  accordance with § 2.2-4020 and subdivision 9 of § 54.1-2400 of the Code of  Virginia.
    18VAC90-20-50. Provisional approval. (Repealed.) 
    A. The application for provisional approval shall be  complete when the following conditions are met: 
    1. A program director has been appointed, and there are  sufficient faculty to initiate the program as required in 18VAC90-20-90; and 
    2. A written curriculum plan developed in accordance with  18VAC90-20-120 has been submitted. 
    B. The committee shall, in accordance with § 2.2-4019 of  the Code of Virginia, make recommendations to the board to grant or deny  provisional approval.
    1. If provisional approval is granted:
    a. The admission of students is authorized; and
    b. The program director shall submit quarterly progress  reports to the board which shall include evidence of progress toward program  approval and other information as required by the board.
    2. If the committee recommendation is to deny provisional  approval, no further action will be required of the board unless the program  requests a hearing before the board or a panel thereof in accordance with § 2.2-4020 and subdivision 9 of § 54.1-2400 of the Code of Virginia.
    18VAC90-20-60. Program approval. (Repealed.) 
    A. The application for approval shall be complete when:
    1. A self-evaluation report of compliance with Article 2  (18VAC90-20-70 et seq.) of this part has been submitted along with the fee for  a survey visit as required by 18VAC90-20-30;
    2. The first graduating class has taken the licensure  examination, and the cumulative passing rate for the program's first-time test  takers taking the NCLEX over the first four quarters following graduation of  the first class is not less than 80%; and
    3. A satisfactory survey visit and report has been made by  a representative of the board verifying that the program is in compliance with  all requirements for program approval.
    B. The committee shall, in accordance with § 2.2-4019 of  the Code of Virginia, receive and review the self-evaluation, the NCLEX results  and survey reports and shall make a recommendation to the board for the  granting or denial of approval or for continuance of provisional approval.
    C. If the committee's recommendation is to deny approval,  no further action will be required of the board unless the program requests a  hearing before the board or a panel thereof in accordance with § 2.2-4020 of  the Code of Virginia. 
    Article 2 
  Requirements for Initial and Continued Approval 
    18VAC90-20-70. Organization and administration. 
    A. The governing or parent institution offering Virginia  nursing education programs shall be approved or accredited by the  appropriate state agencies by the Virginia Department of Education  or accredited by an accrediting agency recognized by the United  States U.S. Department of Education. 
    B. Any agency or institution used for clinical experience by  a nursing education program shall be in good standing with its licensing body. 
    C. The program director of the nursing education  program shall hold an unencumbered:
    1. Hold a current license or multistate licensure  privilege to practice as a registered nurse or a multistate licensure  privilege to practice nursing in the Commonwealth, with the without  any disciplinary action that currently restricts practice;
    2. Have additional education and experience necessary  to administer, plan, implement, and evaluate the nursing education  program.;
    3. Ensure that faculty are qualified by education and  experience to teach in the program or to supervise the clinical practice of  students in the program;
    4. Maintain a current faculty roster, a current clinical  agency form, and current clinical contracts available for board review and  subject to an audit; and
    5. Only serve as program director at one location or campus  [ for the program ]. 
    D. The program shall provide evidence that the  director has authority to:
    1. Implement the program and curriculum; 
    2. Oversee the admission, academic progression and graduation  of students;
    3. Hire and evaluate faculty; and
    4. Recommend and administer the program budget, consistent  with established policies of the controlling agency.
    D. E. An organizational plan shall indicate the  lines of authority and communication of the nursing education program to the  controlling body; to other departments within the controlling institution; to  the cooperating agencies; and to the advisory committee, if one exists for  the nursing education program.
    E. F. There shall be evidence of financial  support and resources sufficient to meet the goals of the nursing education  program as evidenced by a copy of the current annual budget or a signed statement  from administration specifically detailing its financial support and resources.  
    18VAC90-20-80. Philosophy and objectives. 
    Written statements of philosophy and objectives shall be the  foundation of the curriculum and shall be: 
    1. Formulated and accepted by the faculty and the program  director; 
    2. Descriptive of the practitioner to be prepared; and 
    3. The basis for planning, implementing, and evaluating  the total program through the implementation of a systematic plan of  evaluation that is documented in faculty or committee meeting minutes. 
    18VAC90-20-90. Faculty. 
    A. Qualifications for all faculty. 
    1. Every member of the nursing faculty, including the program  director, shall hold a current, unencumbered license as a registered  nurse or a multistate licensure privilege to practice nursing in Virginia as  a registered nurse without any disciplinary action that currently restricts  practice and have had at least two years of direct client care experience as a  registered nurse prior to employment by the program. Persons providing  instruction in topics other than nursing shall not be required to hold a  license as a registered nurse. 
    2. Every member of a nursing faculty supervising the clinical  practice of students shall meet the licensure requirements of the jurisdiction  in which that practice occurs. Faculty shall provide evidence of education  or experience in the specialty area in which they supervise students' clinical  experience for quality and safety. Prior to supervision of students, the  faculty providing supervision shall have completed a clinical orientation to  the  [ unit site ]  in which  supervision is being provided. 
    3. The program director and each member of the nursing faculty  shall maintain documentation of professional competence through such  activities as nursing practice, continuing education programs, conferences,  workshops, seminars, academic courses, research projects and professional  writing. Documentation of annual professional development shall be maintained  in employee files for the director and each faculty member until the next  survey visit and shall be available for board review.
    4. For baccalaureate degree and prelicensure graduate  degree programs: 
    a. The program director shall hold a doctoral degree with a  graduate degree in nursing. 
    b. Every member of the nursing faculty shall hold a graduate  degree; the majority of the faculty shall have a graduate degree in nursing.  Faculty members with a graduate degree with a major other than in nursing shall  have a baccalaureate degree with a major in nursing. 
    5. For associate degree and diploma programs: 
    a. The program director shall hold a graduate degree,  preferably with a major in nursing. 
    b. The majority of the members of the nursing faculty shall  hold a graduate degree, preferably with a major in nursing. 
    c. Other All members of the nursing faculty  shall hold a baccalaureate or graduate degree, preferably with a  major in nursing. 
    6. For practical nursing  programs: 
    a. The program director shall hold a baccalaureate degree,  preferably with a major in nursing. 
    b. The majority of the members of the nursing faculty shall  hold a baccalaureate degree, preferably with a major in nursing. 
    7. Exceptions to provisions of subdivisions 4, 5, and 6 of  this subsection shall be by board approval. 
    a. Initial request for exception. 
    (1) The program director shall submit a request for initial  exception in writing for consideration prior to the academic year during which  the nursing faculty member is scheduled to teach or whenever an unexpected  vacancy has occurred.
    (2) A description of teaching assignment, a curriculum  vitae, and a statement of intent from the prospective faculty member to pursue  the required degree shall accompany each request.
    b. Request for continuing exception.
    (1) Continuing exception will be based on the progress of  the nursing faculty member toward meeting the degree required by this chapter  during each year for which the exception is requested.
    (2) The program director shall submit the request for  continuing exception in writing prior to the next academic year during which  the nursing faculty member is scheduled to teach.
    (3) A list of courses required for the degree being pursued  and college transcripts showing successful completion of a minimum of two of  the courses during the past academic year shall accompany each request.
    (4) Any request for continuing exception shall be  considered by the committee, which shall make a recommendation to the board.
    c. The executive director of the board shall be authorized  to make the initial decision on requests for exceptions. Any appeal of that  decision shall be in accordance with the provisions of the Administrative  Process Act (§ 2.2-4000 et seq. of the Code of Virginia)
    B. Number of faculty. 
    1. The number of faculty shall be sufficient to prepare the  students to achieve the objectives of the educational program and to ensure  safety for patients clients to whom students provide care. 
    2. When students are giving direct care to patients clients,  the ratio of students to faculty shall not exceed 10 students to one faculty  member, and the faculty shall be on site solely to supervise students. 
    3. When preceptors are utilized for specified learning  experiences in clinical settings, the faculty member may supervise up to 15  students. 
    C. Functions. The principal functions of the faculty shall be  to: 
    1. Develop, implement and evaluate the philosophy and  objectives of the nursing education program; 
    2. Design, implement, teach, evaluate and revise the curriculum.  Faculty shall provide evidence of education and experience necessary to  indicate that they are competent to teach a given course; 
    3. Develop and evaluate student admission, progression,  retention and graduation policies within the framework of the controlling  institution; 
    4. Participate in academic advisement and counseling of  students in accordance with FERPA requirements; 
    5. Provide opportunities for and evidence of student  and graduate evaluation of curriculum and teaching and program effectiveness;  and 
    6. Document actions taken in faculty and committee meetings using  a systematic plan of evaluation for total program review. 
    18VAC90-20-95. Preceptorships. (Repealed.)
    A. Clinical preceptors may be used to augment the faculty  and enhance the clinical learning experience. The clinical preceptor shall be  licensed at or above the level for which the student is preparing. 
    B. When giving direct care to patients, students shall be  supervised by faculty or preceptors as designated by faculty. In utilizing  preceptors to supervise students, the ratio shall not exceed two students to  one preceptor at any given time. 
    C. Faculty shall be responsible for the designation of a  preceptor for each student and shall communicate such assignment with the  preceptor. A preceptor may not further delegate the duties of the  preceptorship.
    D. Preceptorships shall include: 
    1. Written objectives, methodology, and evaluation  procedures for a specified period of time; 
    2. An orientation program for faculty, preceptors, and  students; 
    3. The performance of skills for which the student has had  faculty-supervised clinical and didactic preparation; and 
    4. The overall coordination by faculty who assume ultimate  responsibility for implementation, periodic monitoring, and evaluation. 
    18VAC90-20-96. Clinical practice of students. (Repealed.)
    A. In accordance with § 54.1-3001 of the Code of Virginia,  a nursing student, while enrolled in an approved nursing program, may perform  tasks that would constitute the practice of nursing. The student shall be  responsible and accountable for the safe performance of those direct patient  care tasks to which he has been assigned.
    B. Faculty members or preceptors providing supervision in  the clinical care of patients shall be responsible and accountable for the  assignment of patients and tasks based on their assessment and evaluation of  the student's clinical knowledge and skills. Supervisors shall also monitor  clinical performance and intervene if necessary for the safety and protection  of the patients. 
    18VAC90-20-100. Admission, promotion and graduation of  students. 
    A. Requirements for admission to the a registered  nursing education program shall not be less than the requirements of § 54.1-3017 A 1 of the Code of Virginia that will permit the graduate to be  admitted to the appropriate licensing examination. The equivalent of a  four-year high school course of study as required pursuant to § 54.1-3017 shall  be considered to be: 
    1. A General Educational Development (GED) certificate for  high school equivalence; or 
    2. Satisfactory completion of the college courses required  by the nursing education program. 
    B. The equivalent of a four-year high school course of  study is considered to be: 
    1. A General Educational Development (GED) certificate for  high school equivalence; or 
    2. Satisfactory completion of the college courses required  by the nursing education program. 
    B. Requirements for admission to a practical nursing education  program shall not be less than the requirements of [ subdivision  1 of ] § 54.1-3020 [ A 1 ] of the Code  of Virginia that will permit the graduate to be admitted to the appropriate  licensing examination.
    C. Requirements for admission, readmission, advanced  standing, progression, retention, dismissal and graduation shall be available  to the students in written form. 
    D. A criminal background check shall be required for  admission to a nursing education program [ with the exception of  high school students ].
    E. Transfer students may not be admitted until a nursing  education program has received full approval from the board.
    18VAC90-20-110. School records; student records; school  bulletin or catalogue Resources, facilities, publications, and services.
    A. A system of records shall be maintained and be made  available to the board representative and shall include: 
    1. Data relating to accreditation by any agency or body. 
    2. Course outlines. 
    3. Minutes of faculty and committee meetings. 
    B. A file shall be maintained for each student. Each file  shall be available to the board representative and shall include the student's:  
    1. Application; 
    2. High school transcript or copy of high school  equivalence certificate; and 
    3. Current record of achievement. 
    A final transcript shall be retained in the permanent file  of the institution. 
    Provision shall be made for the protection of student and  graduate records against loss, destruction and unauthorized use. 
    C. Current information about the nursing education program  shall be published periodically and distributed to students, applicants for  admission and the board. Such information shall include: 
    1. Description of the program. 
    2. Philosophy and objectives of the controlling institution  and of the nursing program. 
    3. Admission and graduation requirements. 
    4. Fees. 
    5. Expenses. 
    6. Financial aid. 
    7. Tuition refund policy. 
    8. Education facilities. 
    9. Student activities and services. 
    10. Curriculum plan. 
    11. Course descriptions. 
    12. Faculty-staff roster. 
    13. School calendar. 
    14. Annual passage rates on NCLEX for the past five years.
    A. Classrooms, conference rooms, laboratories, clinical  facilities, and offices shall be sufficient to meet the objectives of the  nursing education program and the needs of the students, faculty,  administration, and staff and shall include private areas for faculty-student  conferences. The nursing education program shall provide facilities that meet  federal and state requirements including: 
    1. Comfortable temperatures; 
    2. Clean and safe conditions; 
    3. Adequate lighting; 
    4. Adequate space to accommodate all students; and
    5. Instructional technology and equipment needed for  simulating client care.
    B. The program shall have learning resources and  technology that are current, pertinent, and accessible to students and faculty,  and sufficient to meet the needs of the students and faculty. 
    C. Current information about the nursing education program  shall be published and distributed to applicants for admission and shall be  made available to the board. Such information shall include: 
    1. Description of the program [ to include  whether the program is accredited by a nursing education accrediting body ];  
    2. Philosophy and objectives of the controlling institution  and of the nursing program; 
    3. Admission and graduation requirements, including the  policy on the use of a final comprehensive exam; 
    4. Fees and expenses; 
    5. Availability of financial aid; 
    6. Tuition refund policy; 
    7. Education facilities; 
    8. Availability of student activities and services; 
    9. Curriculum plan to include course progression from  admission to graduation, the name of each course, theory hours, skills lab  hours, simulation hours (if used in lieu of direct client care hours), and  clinical hours; 
    10. Course descriptions to include a complete overview of  what is taught in each course; 
    11. Faculty-staff roster; 
    12. School calendar; 
    13. Student grievance policy; and
    14. Information about implication of criminal convictions.
    D. Administrative support services shall be provided.
    E. There shall be written agreements with cooperating  agencies that: 
    1. Ensure full control of student education by the faculty  of the nursing education program, including the selection and supervision of  learning experiences to include the dismissal of students from the clinical  site if client safety is or may be compromised by the acts of the student;
    2. Provide that faculty members or preceptors are present  in the clinical setting when students are providing direct client care; 
    3. Provide for cooperative planning with designated agency  personnel to ensure safe client care; 
    4. Provide that faculty be readily available to students  and preceptors while students are involved in preceptorship experiences; and
    5. State the number of students allowed on each nursing  unit from the nursing education program.
    F. Cooperating agencies shall be approved by the  appropriate accreditation, evaluation, or licensing bodies, if such exist.
    18VAC90-20-120. Curriculum. 
    A. Curriculum Both classroom and online curricula  shall reflect the philosophy and objectives of the nursing education program  and shall be consistent with the law governing the practice of nursing. 
    B. Nursing education programs preparing for nursing  licensure as a registered or practical nurse shall include:
    1. Didactic Evidence-based didactic content and  supervised clinical experience in nursing encompassing the attainment and  maintenance of physical and mental health and the prevention of illness for  individuals and groups throughout the life cycle and in a variety of acute,  nonacute, [ community-based, ] and long-term care  clinical settings and experiences to include adult medical/surgical nursing,  geriatric nursing, maternal/infant (obstetrics, gynecology, neonatal) nursing,  mental health/psychiatric nursing, nursing fundamentals, and pediatric nursing;
    2. Concepts of the nursing process that include conducting a  focused nursing assessment of the client status that includes decision making  about who and when to inform, identifying client needs, planning for episodic  nursing care, implementing appropriate aspects of client care, and  contributing to data collection and the evaluation of client outcomes, and  the appropriate reporting and documentation of collected data and care rendered;
    3. Concepts of anatomy, physiology, chemistry, microbiology,  and the behavioral sciences;
    4. Concepts of communication, growth and development, nurse-client  interpersonal relations, and patient client education, including:
    a. Development of professional socialization that includes  working in interdisciplinary teams; and
    b. Conflict resolution;
    5. Concepts of ethics and the vocational and legal aspects of  nursing, including:
    a. Regulations and sections of the Code of Virginia related to  nursing;
    b. Patient Client rights, privacy, and  confidentiality; 
    c. Prevention of patient client abuse, neglect,  and abandonment throughout the life cycle, including instruction in the recognition,  intervention, and reporting by the nurse of evidence of child or elder abuse;  
    d. Professional responsibility to include the role of the  practical and professional nurse; and
    e. Professional boundaries to include appropriate use of  social media and electronic technology; and
    e. f. History and trends in nursing and health  care;
    6. Concepts of pharmacology, dosage calculation, medication  administration, nutrition, and diet therapy;
    7. Concepts of client-centered care, including:
    a. Respect for cultural differences, values, and  preferences and expressed needs;
    b. Promotion of healthy life styles for clients and  populations;
    c. Promotion of a safe client environment; and
    d. Prevention and appropriate response to situations of  bioterrorism, natural and man-made disasters, and domestic intimate  partner and family violence; and
    e. Use of critical thinking and clinical judgment in the  implementation of safe client care; and
    f. Care of clients with multiple, chronic conditions; and
    8. Development of management and supervisory skills.,  including:
    a. The use of technology in medication administration and  documentation of client care; 
    b. Participation in quality improvement processes and  systems to measure client outcomes and identify hazards and errors; and
    c. Supervision of certified nurse aides, registered  medication aides and unlicensed assistive personnel.
    C. In addition to meeting curriculum requirements set forth  in subsection B of this section, registered nursing education programs  preparing for registered nurse licensure shall also include:
    1. Didactic Evidence-based didactic content and  supervised clinical experiences in conducting a comprehensive nursing  assessment that includes:
    a. Extensive data collection, both initial and ongoing, for  individuals, families, groups, and communities addressing anticipated changes  in client conditions as well as emerging changes in a client's health status; 
    b. Recognition of alterations to previous client conditions; 
    c. Synthesizing the biological, psychological and social  aspects of the client's condition; 
    d. Evaluation of the effectiveness and impact of nursing care;  
    e. Planning for nursing interventions and evaluating the need  for different interventions for individuals, groups and communities;
    f. Evaluation and implementation of the need to communicate  and consult with other health team members; and 
    g. Use of a broad and complete analysis to make independent  decisions and nursing diagnoses;
    2. Didactic Evidence-based didactic content and  supervised experiences in:
    a. Development of clinical judgment; 
    b. Development of leadership skills and knowledge unit  management;
    c. Knowledge of the rules and principles for delegation  of nursing tasks to unlicensed persons;
    d. Supervision of licensed practical nurses;
    c. e. Involvement of clients in decision making  and a plan of care; and
    d. Participation in quality improvement processes to  measure client outcomes and identify hazards and errors;
    3. f. Concepts of pathophysiology; and.
    4. Principles of delegation of nursing tasks to unlicensed  persons. 
    D. On and after July 1, 2007, all nursing education  programs shall provide instruction in child abuse recognition and intervention.
    E. A nursing education program preparing for licensure as  a practical nurse shall provide a minimum of 400 hours of direct client care  supervised by qualified faculty. A nursing education program preparing for  licensure as a registered nurse shall provide a minimum of 500 hours of direct  client care supervised by qualified faculty. 
    18VAC90-20-121. Curriculum for direct client care.
    A. A nursing education program preparing a student for  licensure as a registered nurse shall provide a minimum of 500 hours of direct  client care supervised by qualified faculty. A nursing education program  preparing a student for licensure as a practical nurse shall provide a minimum  of 400 hours of direct client care supervised by qualified faculty. Direct  client care hours shall include experiences and settings as set forth in  18VAC90-20-120 B 1. 
    B. Licensed practical nurses transitioning into  prelicensure registered nursing programs may be awarded no more than 150  clinical hours of the 400 clinical hours received in a practical nursing  program. In a practical nursing to registered nursing transitional program, the  remainder of the clinical hours shall include registered nursing clinical  experience across the life cycle in adult medical/surgical nursing,  maternal/infant (obstetrics, gynecology, neonatal) nursing, mental  health/psychiatric nursing, and pediatric nursing.
    C. Any observational experiences shall be planned in  cooperation with the agency involved to meet stated course objectives.  Observational experiences shall not be accepted toward the 400 or 500 minimum  clinical hours required. Observational objectives shall be available to  students, the clinical unit, and the board.
    D. Simulation for direct client clinical hours.
    1. No more than [ 20% 25% ]  of direct client contact hours may be simulation. For prelicensure  registered nursing programs, the total of simulated client care hours cannot  exceed [ 100 125 ] hours [ (20%  (25% ] of the required 500 hours). For prelicensure practical  nursing programs, the total of simulated client care hours cannot exceed  [ 80 100 ] hours [ (20%  (25% ] of the required 400 hours).
    2. No more than 50% of the total clinical hours for any  course may be used as simulation.
    3. Skills acquisition and task training alone, as in the  traditional use of a skills laboratory, do not qualify as simulated client care  and therefore do not meet the requirements for direct client care hours.
    4. Clinical simulation must be led by faculty who meet the  qualifications specified in 18VAC90-20-90. 
    5. Documentation of the following shall be available for  all simulated experiences: 
    a. Course description and objectives; 
    b. Type of simulation and location of simulated experience;  
    c. Number of simulated hours;
    d. Faculty qualifications; and 
    e. Methods of debriefing.
    18VAC90-20-122. Clinical practice of students.
    A. In accordance with § 54.1-3001 of the Code of Virginia,  a nursing student, while enrolled in an approved nursing program, may perform  tasks that would constitute the practice of nursing. The student shall be  responsible and accountable for the safe performance of those direct client  care tasks to which he has been assigned.
    B. Faculty shall be responsible for ensuring that students  perform only skills or services in direct client care for which they have  received instruction and have been found proficient by the instructor. Skills  checklists shall be maintained for each student.
    C. Faculty members or preceptors providing on-site  supervision in the clinical care of clients shall be responsible and  accountable for the assignment of clients and tasks based on their assessment  and evaluation of the student's clinical knowledge and skills. Supervisors  shall also monitor clinical performance and intervene if necessary for the  safety and protection of the clients. 
    D. Clinical preceptors may be used to augment the faculty  and enhance the clinical learning experience. Faculty shall be responsible for  the designation of a preceptor for each student and shall communicate such  assignment with the preceptor. A preceptor may not further delegate the duties  of the preceptorship. 
    E. Preceptors shall provide to the nursing education  program evidence of competence to supervise students' clinical experience for  quality and safety in each specialty area where they supervise students. The  clinical preceptor shall be licensed as a nurse at or above the level for which  the student is preparing. 
    F. Supervision of students.
    1. When faculty are supervising direct client care by  students, the ratio of students to faculty shall not exceed 10 students to one  faculty member. The faculty member shall be on site in the clinical setting  solely to supervise students.
    2. When preceptors are utilized for specified learning  experiences in clinical settings, the faculty member may supervise up to 15  students. In utilizing preceptors to supervise students in the clinical  setting, the ratio shall not exceed two students to one preceptor at any given  time. During the period in which students are in the clinical setting with a  preceptor, the faculty member shall be available for communication and  consultation with the preceptor.
    G. Prior to beginning any preceptorship, the following  shall be required:
    1. Written objectives, methodology, and evaluation  procedures for a specified period of time to include the dates of each  experience; 
    2. An orientation program for faculty, preceptors, and  students; 
    3. A skills checklist detailing the performance of skills  for which the student has had faculty-supervised clinical and didactic  preparation; and 
    4. The overall coordination by faculty who assume ultimate  responsibility for implementation, periodic monitoring, and evaluation. 
    18VAC90-20-130. Resources, facilities and services. Granting  of initial program approval.
    A. Periodic evaluations of resources, facilities and  services shall be conducted by the administration, faculty, students and  graduates of the nursing education program. 
    B. Secretarial and other support services shall be  provided. 
    C. Classrooms, conference rooms, laboratories, clinical  facilities and offices shall be sufficient to meet the objectives of the  nursing education program and the needs of the students, faculty,  administration and staff. 
    D. The program shall have learning resources that are  current, pertinent and accessible to students and faculty, and sufficient to  meet the needs of the students and faculty. 
    E. Written agreements with cooperating agencies shall be  developed, maintained and periodically reviewed. The agreement shall: 
    1. Ensure full control of student education by the faculty  of the nursing education program, including the selection and supervision of  learning experiences. 
    2. Provide that faculty members or preceptors be present in  the clinical setting when students are assigned for direct patient care. 
    3. Provide for cooperative planning with designated agency  personnel to ensure safe patient care. 
    4. Provide that faculty be available to students and  preceptors while students are involved in preceptorship experiences. 
    F. Any observational experiences shall be planned in  cooperation with the agency involved to meet stated course objectives. 
    G. Cooperating agencies shall be approved by the  appropriate accreditation, evaluation or licensing bodies, if such exist. 
    A. Initial approval may be granted when all documentation  required in 18VAC90-20-40 has been submitted and is deemed satisfactory to the  board and when the following conditions are met: 
    1. There is evidence that the requirements for organization  and administration and the philosophy and objectives of the program, as set  forth in 18VAC90-20-70 and 18VAC90-20-80, have been met;
    2. A program director who meets board requirements has been  appointed, and there are sufficient faculty to initiate the program as required  in 18VAC90-20-90; 
    3. A written curriculum plan developed in accordance with  18VAC90-20-120 has been submitted and approved by the board;
    4. A written systematic plan of evaluation has been  developed and approved by the board; and
    5. The program is in compliance with requirements of  18VAC90-20-110 for resources, facilities, publications, and services as  verified by a satisfactory site visit conducted by a representative of the  board.
    B. If initial approval is granted:
    1. The advertisement of the nursing program is authorized.
    2. The admission of students is authorized, except that  transfer students are not authorized to be admitted until the program has  received full program approval.
    3. The program director shall submit quarterly progress  reports to the board that shall include evidence of progress toward full  program approval and other information as required by the board.
    18VAC90-20-131. Denying or withdrawing initial program  approval.
    A. Denial of initial program approval. 
    1. Initial approval may be denied for causes enumerated in  18VAC90-20-132.
    2. If the initial approval is denied:
    a. The program shall be given an option of correcting the  deficiencies cited by the board during the time remaining in its initial  12-month period following receipt of the application. 
    b. No further action regarding the application shall be  required of the board unless the program requests, within 30 days of the  mailing of the decision, an informal conference pursuant to §§ 2.2-4019  and 54.1-109 of the Code of Virginia.
    3. If denial is recommended following the informal  conference, the recommendation shall be presented to the board or a panel  thereof for review and action.
    4. If the recommendation of the informal conference committee  to deny initial approval is accepted by the board or a panel thereof, the  decision shall be reflected in a board order and no further action by the board  is required. The program may request a formal hearing within 30 days from entry  of the order, in accordance with § 2.2-4020 of the Code of Virginia.
    5. If the decision of the board or a panel thereof,  following a formal hearing, is to deny initial approval, the program shall be  advised of the right to appeal the decision to the appropriate circuit court in  accordance with § 2.2-4026 [ of the Code of Virginia ]  and Part 2A of the Rules of the Supreme Court of Virginia.
    B. Withdrawal of initial program approval.
    1. Initial approval shall be withdrawn and the program  closed if:
    a. The program has not admitted students within six months  of approval of its application;
    b. The program fails to submit evidence of progression  toward full program approval; or 
    c. For any of the causes enumerated in 18VAC90-20-132.
    2. If a decision is made to withdraw initial approval, no  further action shall be required by the board unless the program, within 30  days of the mailing of the decision, requests an informal conference pursuant  to §§ 2.2-4019 and 54.1-109 of the Code of Virginia. 
    3. If withdrawal of initial approval is recommended  following the informal conference, the recommendation shall be presented to the  board or a panel thereof for review and action. 
    4. If the recommendation of the informal conference  committee to withdraw initial approval is accepted by the board or a panel  thereof, the decision shall be reflected in a board order and no further action  by the board is required unless the program requests a formal hearing within 30  days from entry of the order, in accordance with § 2.2-4020 of the Code of  Virginia.
    5. If the decision of the board or a panel thereof  following a formal hearing is to withdraw initial approval, the program shall  be advised of the right to appeal the decision to the appropriate circuit court  in accordance with § 2.2-4026 of the Code of Virginia and Part 2A of the  Rules of the Supreme Court of Virginia.
    18VAC90-20-132. Causes for denial or withdrawal of nursing  education program approval.
    A. Denial or withdrawal of program approval may be based  upon the following:
    1. Failing to demonstrate compliance with program  requirements in Article 1 (18VAC90-20-40 et seq.), Article 2 (18VAC90-20-133 et  seq.), or Article 3 (18VAC90-20-151 et seq.) of this part.
    2. Failing to comply with terms and conditions placed on a  program by the board.
    3. Advertising for or admitting students without authority,  board approval, or contrary to a board restriction.
    4. Failing to progress students through the program in  accordance with an approved time frame. 
    5. Failing to provide evidence of progression toward  initial program approval within a time frame established by the board.
    6. Failing to provide evidence of progression toward full  program approval within a time frame established by the board.
    7. Failing to respond to requests for information required  from board representatives.
    8. Fraudulent submission of documents or statements to the  board or its representatives.
    9. Having had past actions taken by the board, other  states, or accrediting entities regarding the same nursing education program  operating in another jurisdiction.
    10. Failing to maintain a pass rate of 80% on the NCLEX for  graduates of the program as required by 18VAC90-20-151. 
    11. Failing to comply with an order of the board or with  any terms and conditions placed upon it by the board for continued approval. 
    12. Having the program director, owner, or operator of the  program convicted of a felony or a misdemeanor involving moral turpitude or his  professional license disciplined by a licensing body or regulatory authority. 
    13. Failing to pay the required fee for a survey or site  visit. 
    B. Withdrawal of nursing education program approval may  occur at any stage in the application or approval process pursuant to  procedures enumerated in 18VAC90-20-131, 18VAC90-20-134, and 18VAC90-20-161. 
    C. Programs with approval denied or withdrawn may not  accept or admit additional students into the program effective upon the date of  entry of the board's final order to deny or withdraw approval. Further, the  program shall submit quarterly reports until the program is closed, and the  program shall comply with board requirements regarding closure of a program as  stated in 18VAC90-20-170. 
    Article 2
  Full Approval for a Nursing Education Program
    18VAC90-20-133. Granting full program approval.
    A. Full approval may be granted when:
    1. A self-evaluation report of compliance with Articles 1  (18VAC90-20-40 et seq.) and 2 (18VAC90-20-133 et seq.) of this part and a  survey visit fee as specified in 18VAC90-20-30 have been submitted and received  by the board; 
    2. The program has achieved a passage rate of not less than  80% for the program's first-time test takers taking the NCLEX based on at least  20 graduates within a two-year period; and
    3. A satisfactory survey visit and report have been made by  a representative of the board verifying that the program is in compliance with  all requirements for program approval.
    B. If full approval is granted, the program shall continue  to comply with all requirements in Articles 1, 2, and 3 (18VAC90-20-151 et  seq.) of this part, and admission of transfer students is authorized.
    18VAC90-20-134. Denying full program approval.
    A. Denial of full program approval may occur for causes  enumerated in 18VAC90-20-132.
    B. If full program approval is denied, the board shall  also be authorized to do one of the following:
    1. The board may continue the program on initial program  approval with terms and conditions to be met within the time frame specified by  the board; or
    2. The board may withdraw initial program approval.
    C. If the board takes one of the actions specified in  subsection B of this section, the following shall apply:
    1. No further action will be required of the board unless  the program, within 30 days of the mailing of the decision, requests an informal  conference pursuant to §§ 2.2-4019 and 54.1-109 of the Code of Virginia.
    2. If continued initial program approval with terms and  conditions or withdrawal of initial approval is recommended following the  informal conference, the recommendation shall be presented to the board or a  panel thereof for review and action.
    3. If the recommendation of the informal conference  committee is accepted by the board or a panel thereof, the decision shall be  reflected in a board order and no further action by the board regarding the  application is required. The program may request a formal hearing within 30  days from entry of the order, in accordance with § 2.2-4020 and  subdivision 11 of § 54.1-2400 of the Code of Virginia.
    4. If the decision of the board or a panel thereof  following a formal hearing is to deny full and/or withdraw or continue on  initial approval with terms or conditions, the program shall be advised of the  right to appeal the decision to the appropriate circuit court in accordance  with § 2.2-4026 of the Code of Virginia and Part 2A of the Rules of the  Supreme Court of Virginia.
    D. If a program is denied full approval and initial  approval withdrawn, no additional students may be accepted into the program,  effective upon the date of entry of the board's final order to deny or withdraw  approval. Further, the program shall submit quarterly reports until the program  is closed, and the program shall comply with board requirements regarding  closure of a program as stated in 18VAC90-20-170.
    18VAC90-20-135. Requests for exceptions or requirements for  faculty.
    After full approval has been granted, a program may  request board approval for exceptions to requirements of 18VAC90-20-90 for  faculty as follows: 
    1. Initial request for exception. 
    a. The program director shall submit a request for initial  exception in writing to the board for consideration prior to the academic year  during which the nursing faculty member is scheduled to teach or whenever an  unexpected vacancy has occurred.
    b. A description of teaching assignment, a curriculum  vitae, and a statement of intent from the prospective faculty member to pursue  the required degree shall accompany each request.
    c. The executive director of the board shall be authorized  to make the initial decision on requests for exceptions. Any appeal of that  decision shall be in accordance with the provisions of the Administrative  Process Act (§ 2.2-4000 et seq. of the Code of Virginia).
    2. Request for continuing exception.
    a. Continuing exception will be based on the progress of the  nursing faculty member toward meeting the degree required by this chapter  during each year for which the exception is requested.
    b. The program director shall submit the request for  continuing exception in writing prior to the next academic year during which  the nursing faculty member is scheduled to teach.
    c. A list of courses required for the degree being pursued  and college transcripts showing successful completion of a minimum of two of  the courses during the past academic year shall accompany each request.
    d. Any request for continuing exception shall be considered  by the committee, which shall make a recommendation to the board.
    18VAC90-20-136. Records and provision of information.
    A. Requirements for admission, readmission, advanced  standing, progression, retention, dismissal, and graduation shall be readily  available to the students in written form.
    B. A system of records shall be maintained and be made  available to the board representative and shall include: 
    1. Data relating to accreditation by any agency or body. 
    2. Course outlines. 
    3. Minutes of faculty and committee meetings including  documentation of the use of a systematic plan of evaluation for total program  review and including those faculty members in attendance. 
    4. Record of and disposition of complaints.
    C. A file shall be maintained for each student. Provision  shall be made for the protection of student and graduate files against loss,  destruction, and unauthorized use. Each file shall be available to the board  representative and shall include the student's: 
    1. Application, including the date of its submission and  the date of admission into the program; 
    2. High school transcript or copy of high school  equivalence certificate, and if the student is a foreign graduate, a transcript  translated into English [ and the results of passage of an  examination of English proficiency as determined by the board ];
    3. Current record of achievement to include classroom  grades, skills checklists, and clinical hours for each course; and 
    4. A final transcript retained in the permanent file of the  institution to include dates of admission and completion of coursework,  graduation date, name and address of graduate, the dates of each semester or  term, number of clinical hours for each clinical course, course grades, and  authorized signature.
    D. Current information about the nursing education program  shall be published and distributed to students and applicants for admission and  shall be made available to the board. In addition to information specified in 18VAC90-20-110  C, the following information shall be included: 
    1. Annual passage rates on NCLEX for the past five years;  and
    2. Accreditation status.
    18VAC90-20-137. Evaluation of resources; written agreements  with cooperating agencies.
    A. Periodic evaluations of resources, facilities, and  services shall be conducted by the administration, faculty, students, and  graduates of the nursing education program including an employer evaluation for  graduates of the nursing education program. Such evaluation shall include  assurance that at least 80% of all clinical experiences are conducted in  Virginia unless an exception has been granted by the board. 
    B. Current written agreements with cooperating agencies  shall be maintained and reviewed annually and shall be in accordance with of  18VAC90-20-110 E. 
    C. Upon request, a program shall provide a clinical agency  summary on a form provided by the board. 
    D. Upon request and if applicable, the program shall  provide (i) documentation of board approval for use of clinical sites located  50 or more miles from the school; and (ii) for use of clinical experiences  conducted outside of Virginia, documented approval from the agency that has  authority to approve clinical placement of students in that state.
    18VAC90-20-140. Program changes. 
    A. The following shall be reported to the board within 10  days of the change or receipt of a report from an accrediting body: 
    1. Change in the program director, governing body, or  parent institution; 
    2. Adverse action taken by a licensing authority against  the program director, governing body, or parent institution; 
    3. Conviction of a felony or misdemeanor involving moral  turpitude against the program director, owner, or operator of the program; 
    2. 4. Change in accreditation status the  physical location of the program; 
    3. 5. Change in content of curriculum,  faculty or method of delivery that affects 25% or more of the hours of  instruction the availability of clinical sites;
    4. 6. Change in financial resources that could  substantively affect the nursing education program; 
    7. Change in content of curriculum, faculty, or method of  delivery that affects 25% or more of the [ total ] hours  of [ didactic and clinical ] instruction;
    5. 8. Change in the physical location of the  program accreditation status; and
    6. 9. A final report with findings and  recommendations from the accrediting body.
    B. Other curriculum or faculty changes shall be reported to  the board with the annual report required in 18VAC90-20-160 A. 
    Article 3
  Continued Approval of Nursing Education Programs
    18VAC90-20-151. Passage rate on national examination.
    A. For the purpose of continued approval by the board, a  nursing education program shall maintain a passage rate for first-time test  takers on the NCLEX that is not less than 80%, calculated on the cumulative  results of the past four quarters of all graduates in each calendar  year regardless of where the graduate is seeking licensure.
    B. If an approved program falls below 80% for one year, it  shall submit a plan of correction to the board. If a an approved  program falls below 80% for two consecutive years, the board shall place the  program on conditional approval with terms and conditions, require the program  to submit a plan of correction, and conduct a site visit and place the  program on conditional approval. Prior to the conduct of such a visit, the  program shall submit the fee for a site visit pursuant to the NCLEX passage  rate as required by 18VAC90-20-30. If a program falls below 80% for three  consecutive years, the board may withdraw program approval.
    C. For the purpose of program evaluation, the board may  provide to the program the NCLEX examination results of its graduates.  However, further release of such information by the program shall not be  authorized without written authorization from the candidate.
    Article 3 
  Maintaining or Closing an Approved Nursing Education Program 
    18VAC90-20-160. Maintaining an approved nursing education  program. 
    A. The program director of each nursing education program  shall submit an annual report to the board. 
    B. Each nursing education program shall be reevaluated as  follows: 
    1. A Every nursing education program that has  not achieved accreditation as defined in 18VAC90-20-10 shall be reevaluated at  least every eight five years for a practical nursing program  and every six years for a registered nursing program by submission of a  comprehensive self-evaluation report based on Article Articles 1  (18VAC90-20-40 et seq.) and 2 (18VAC90-20-70 (18VAC90-20-133  et seq.) of this part, and a survey visit by a representative(s) representative  or representatives of the board on dates mutually acceptable to the  institution and the board.
    2. A program that has maintained accreditation as defined in  18VAC90-20-10 shall be reevaluated at least every 10 years by submission of a  comprehensive self-evaluation report as provided by the board. As evidence of  compliance with specific requirements of this chapter, the board may accept the  most recent study report, site visit report, and final decision letter  from the accrediting body. The board may require additional information or a  site visit to ensure compliance with requirements of this chapter. If  accreditation has been withdrawn or a program has been placed on probation by  the accrediting body, the board shall conduct an on-site may  require a survey visit within one year of such action. If a program  fails to submit the documentation required in this subdivision, the  requirements of subdivision 1 of this subsection shall apply.
    C. The Education Special Conference Committee (the  "committee"), composed of not less than two members of the board,  shall, in accordance with § 2.2-4019 of the Code of Virginia, receive and  review the self-evaluation and survey reports and shall make a recommendation  to the board to grant continued approval, place the program on conditional  approval or withdraw approval.
    1. A nursing education program shall continue to be  approved provided the requirements set forth in Article 2 of this part are  attained and maintained.
    2. If the committee determines that a nursing education  program is not maintaining the requirements of Article 2 of this part, the  committee shall recommend to the board that the program be placed on  conditional approval and the governing institution shall be given a reasonable  period of time to correct the identified deficiencies.
    a. The committee shall receive and review reports of  progress toward correcting identified deficiencies and, when a final report is  received at the end of the specified time showing correction of deficiencies,  make a recommendation to the board to grant continued approval, continue the  program on conditional approval or withdraw approval.
    b. If the nursing education program fails to correct the  identified deficiencies within the time specified by an order of the board, the  board may withdraw the approval following a formal hearing.
    c. The governing institution may request a formal hearing  before the board or a panel thereof pursuant to § 2.2-4020 and subdivision 9 of  § 54.1-2400 of the Code of Virginia if it objects to any action of the board  relating to conditional approval.
    D. C. Interim site or survey visits  shall be made to the institution by board representatives at any time within  the initial approval period or full approval period either by request  or as deemed necessary by the board. Prior to the conduct of such a visit,  the program shall submit the fee for a survey visit as required by  18VAC90-20-30.
    E. D. Failure to submit the required fee for a  survey or site visit may subject an education program to board action or  withdrawal of board approval.
    18VAC90-20-161. Continuing and withdrawing full approval.
    A. The board shall receive and review the self-evaluation  and survey reports pursuant to 18VAC90-20-160 B or complaints relating to  program compliance. Following review, the board may continue the program on  full approval so long as it remains in compliance with all requirements in  Articles 1 (18VAC90-20-40 et seq.), 2 (18VAC90-20-133 et seq.) and 3  (18VAC90-20-151 et seq.) of this part.
    B. If the board determines that a program is not  maintaining the requirements of Articles 1, 2, and 3, or for causes enumerated  in 18VAC90-20-132, it may:
    1. Place the program on conditional approval with terms and  conditions to be met within the time frame specified by the board; or 
    2. Withdraw program approval.
    C. If the board either places a program on conditional  approval with terms and conditions to be met within a time frame specified by  the board or withdraws approval, the following shall apply:
    1. No further action will be required of the board unless  the program requests an informal conference pursuant to §§ 2.2-4019 and 54.1-109 of the Code of Virginia.
    2. If withdrawal or continued program approval with terms  and conditions is recommended following the informal conference, the  recommendation shall be presented to the board or a panel thereof for review  and action.
    3. If the recommendation of the informal conference committee  is accepted by the board or a panel thereof, the decision shall be reflected in  a board order and no further action by the board is required unless the program  requests a formal hearing within 30 days from entry of the order in accordance  with § 2.2-4020 of the Code of Virginia.
    4. If the decision of the board or a panel thereof  following a formal hearing is to withdraw approval or continue on conditional  approval with terms or conditions, the program shall be advised of the right to  appeal the decision to the appropriate circuit court in accordance with  § 2.2-4026 of the Code of Virginia and Part 2A of the Rules of the Supreme  Court of Virginia.
    D. If a program approval is withdrawn, no additional  students may be admitted into the program effective upon the date of entry of  the board's final order to withdraw approval. Further, the program shall submit  quarterly reports until the program is closed, and the program must comply with  board requirements regarding closure of a program as stated in 18VAC90-20-170.
    18VAC90-20-170. Closing of an approved nursing education  program; custody of records. 
    A. When the governing institution anticipates the closing of  a nursing education program, it shall notify the board in writing, stating the  reason, plan, and date of intended closing. 
    The governing institution shall assist in the transfer of  students to other approved programs with the following conditions: 
    1. The program shall continue to meet the standards required  for approval until all students are transferred and shall submit a quarterly  report to the board regarding progress toward closure. 
    2. A The program shall provide to the board a  list of the names of students who have been transferred to approved programs,  and the date on which the last student was transferred shall be submitted to  the board by the governing institution. 
    3. The date on which the last student was transferred shall be  the closing date of the program. 
    B. When the board denies or withdraws approval of a program,  the governing institution shall comply with the following procedures: 
    1. The program shall be closed according to a time frame  established by the board. 
    2. A The program shall provide to the board a  list of the names of students who have transferred to approved programs and the  date on which the last student was transferred shall be submitted to the board  by the governing institution. 
    3. The program shall provide quarterly reports to the board  regarding progress toward closure.
    C. Provision shall be made for custody of records as follows:  
    1. If the governing institution continues to function, it  shall assume responsibility for the records of the students and the graduates.  The institution shall inform the board of the arrangements made to safeguard  the records. 
    2. If the governing institution ceases to exist, the academic  transcript of each student and graduate shall be transferred by the institution  to the board for safekeeping. 
    VA.R. Doc. No. R10-2513; Filed September 18, 2015, 11:30 a.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
DEPARTMENT OF PROFESSIONAL AND OCCUPATIONAL REGULATION
Proposed Regulation
    Title of Regulation: 18VAC120-50. Regulations  Governing Natural Gas Automobile Mechanics and Technicians (adding 18VAC120-50-10 through  18VAC120-50-230). 
    Statutory Authority: §§ 54.1-201 and 54.1-2356 of the  Code of Virginia.
    Public Hearing Information:
    November 17, 2015 - 11 a.m. - Department of Professional  and Occupational Regulations, 9960 Mayland Drive, Suite 400, 2nd Floor,  Training Room 2, Richmond, Virginia 23233.
    Public Comment Deadline: December 18, 2015.
    Agency Contact: Eric L. Olson, Executive Director,  Department of Professional and Occupational Regulation, 9960 Mayland Drive,  Suite 400, Richmond, VA 23233, telephone (804) 367-2785, FAX (866) 430-1033, or  email Cngmech@dpor.virginia.gov.
    Basis: Chapter 763 of the 2014 Acts of the General  Assembly created Chapter 23.4 (§ 54.1-2355 et seq.) of Title 54.1 of the Code  of Virginia. Section 54.1-2356 of this newly created chapter, effective July 1,  2014, requires the Department of Professional and Occupation Regulation to  promulgate regulations that create a certification program for certified  natural gas automobile mechanics and technicians.
    Purpose: The department seeks to create initial  regulations for this newly created regulatory program. The number of natural  gas vehicles has continued to increase steadily since their inception in the  late 1970s. The General Assembly has determined that this program is  necessary to ensure that the public be protected against incompetent,  unqualified, unscrupulous, or unfit persons engaging in the activities  regulated by this newly created chapter.
    Substance: As these would be newly created regulations,  there would be no changes to existing regulations. These new regulations would  include provisions for an advisory board to provide technical guidance to the  department with regards to the industry, initial certification requirements,  renewal and reinstatement requirements, standards of conduct, and education  provider requirements for training programs.
    Issues: In creating these regulations, the department is  complying with the provisions of legislation signed into the law this year  establishing a program to certify natural gas automobile mechanics and  technicians. After studying data relative to accident rates, inspection reports  and the licensing/education requirements in other states, the General Assembly  determined a need for this level of regulation in order to protect the public.  The primary advantage of the program is to ensure that the work done on natural  gas powered vehicles is performed by individuals who have received sufficient  training and demonstrated enough experience to reasonably assume competency in  the repairs, maintenance and conversions they will be completing. This is a  voluntary certification and is not a required certification therefore there are  no foreseen disadvantages to the public. 
    This program is predicted to have a moderate impact on the  department and its licensing staff. The initial licensing of approximately 100  certificate holders in the first year should not require significant staff  training or modifications to existing software. The creation of the examination  for certification may be challenging as there are only a few jurisdictions that  currently regulate this type of work. 
    The development of this program, through the legislative  process, was supported by industry representatives, localities and other  interested parties, all of whom were in the workgroup created by the  department. Testimony provided and information gathered by the work group  indicated that the majority of those individuals currently employed as natural  gas automobile mechanics and technicians would welcome a certificate that would  recognize the individuals performing this type of work meet industry standards  for minimum competency.
    Department of Planning and Budget's Economic Impact  Analysis: 
    Summary of the Proposed Amendments to Regulation. Pursuant to  Chapter 763 of the 2014 Acts of the Assembly, the Department of Professional  and Occupational Regulation (DPOR) proposes to create a new certification  program for individuals who convert vehicles so that they use natural gas for  fuel or who repair or maintain such vehicles. This regulation will require that  individuals seeking certification:
    1. Be at least 18 years old,
    2. Have attained one of the combinations of education and  experience listed in this regulation,
    3. Disclose (and provide documentation for) any misdemeanor  convictions within the three years immediately preceding application for  certification and any felony convictions at any time,
    4. Pay for and take the certification exam written by or  contracted for by DPOR, and 
    5. Pay the applicable application fee.
    This proposed regulation also sets renewal, reinstatement and  other fees, rules for certification by reciprocity or substantial equivalency  and sets rules for vocational training programs and providers. This  certification program is voluntary but, as mandated in Chapter 763, individuals  will not be able to call themselves certified natural gas mechanics or  technicians without obtaining DPOR certification even if they have obtained  private certification in this field.
    Result of Analysis. There is insufficient information to  ascertain whether the benefits of this certification program will outweigh its  costs. Costs might be decreased for applicants if DPOR promulgates into  regulation its offence matrix so that applicants would only have to provide  documentation for convictions that have the potential to disqualify them from  obtaining certification.
    Estimated Economic Impact. In 2014, the General assembly passed  legislation that requires DPOR to set up a voluntary certification program for  natural gas automobile mechanics and technicians and applies title protection  which mandates that only individuals who are certified through DPOR use the  title certified NG automobile mechanic or technician. DPOR now proposes this  regulation to establish a certification program.
    DPOR proposes to require that individuals who are applying for  certification to first either: 1) have one year of practical experience working  on natural gas vehicles and have successfully completed a training program  approved by the Director of DPOR, 2) have a current license as a professional  engineer and one year of practical experience working on natural gas vehicles,  3) have successfully completed an approved apprenticeship program which  includes at least one year of practical experience working on natural gas  vehicles OR 4) have three years of practical experience working on natural gas  vehicles. DPOR staff estimates that training required for option 1) above will  cost between $1,000 and $1,500 depending on how much prior experience the trainee  has in the field already. 
    DPOR also proposes to require applicants for certification to  disclose any misdemeanor convictions within the three years immediately  preceding application for certification and any felony convictions at any time.  In practice, DPOR staff reports that applicants will have to provide  documentation for all offences that they are required to disclose. DPOR staff  also reports, however, that many disclosed offences would not have any impact  on whether an applicant is approved for certification and that DPOR has a  matrix of crimes that would not be disqualifying. Applicants for certification  would very likely benefit from that matrix being promulgated into this  regulation because it will limit their documentation costs in cases where those  costs would not be beneficial for DPOR's decision making process. Documentation  costs for applicants can be considerable and can include per page copying costs  imposed by courts and travel costs to get records that must be obtained from  courthouses (including courthouses that may be in another state or country) in  person. 
    In addition to costs for obtaining qualifications and  disclosing convictions, DPOR proposes fees for this program. These fees include  a fee for the licensure examination that is yet to be determined, a $150 fee  for initial certification ($250 if expedited review1 is requested),  a $100 for biennial certificate renewal and a $150 fee for reinstatement for  individuals who seek certificate renewal after the certificate expires but  within one year of the expiration date. DPOR also proposes a $190 training  provider fee and a $190 training course approval fee to be paid by training  providers. Certificate holders will also be charged a $40 fee if they want a  wall certificate and will be charged an increasing fee if they need to replace  their certification pocket card. There will be no cost for the first  replacement within a certification cycle (two years) but the second replacement  card will cost $25 and the third replacement card will cost $50.
    All of these costs must be weighed against any increased safety  that may be experienced by certificate holders and their customers on account  of this certification program.
    Businesses and Entities Affected. This proposed regulation will  affect all individuals who apply for natural gas automobile mechanics and  technicians certification as well as entities that apply to provide vocational  training required for certification. DPOR staff estimates that initially 100 or  fewer individuals will apply for certification, and 10 or fewer entities will  apply for vocational trainer approval, once this regulation is promulgated.
    Localities Particularly Affected. No localities will likely be  disproportionately affected by this proposed regulatory change.
    Projected Impact on Employment. This regulatory action will  likely have little initial impact on employment in the Commonwealth. If public  or private action leads to certification being required to work as a natural  gas mechanic or technician, either through further action of the General  Assembly or by insurance companies requiring certification as a condition of  insurance, the pool of individuals working in this field would likely become  smaller and prices for their services may rise.
    Effects on the Use and Value of Private Property. This  regulatory action will likely have no impact on the use or value of private  property.
    Small Businesses: Costs and Other Effects. No small businesses  are likely to incur costs on account of this proposed regulation.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. No small businesses are likely to incur costs on account of this  proposed regulation.
    Real Estate Development Costs. This regulatory action will  likely have no effect on real estate development costs in the Commonwealth.
    Legal Mandate.
    General:  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 Code of Virginia and Executive Order Number 17 (2014).  Section 2.2-4007.04 requires that such economic impact analyses determine the  public benefits and costs of the proposed amendments. Further the report should  include but not be limited to:
    • the projected number of businesses or other entities to whom  the proposed 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. 
    Small Businesses:  If the proposed regulation will have an  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include:
    • an identification and estimate of the number of small  businesses subject to the proposed regulation,
    • the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the proposed  regulation, including the type of professional skills necessary for preparing  required reports and other documents,
    • a statement of the probable effect of the proposed regulation  on affected small businesses, and 
    • a description of any less intrusive or less costly  alternative methods of achieving the purpose of the proposed regulation. 
    Additionally, pursuant to § 2.2-4007.1, if there is a  finding that a proposed regulation may have an adverse impact on small  business, the Joint Commission on Administrative Rules is notified at the time  the proposed regulation is submitted to the Virginia Register of Regulations  for publication. This analysis shall represent DPB's best estimate for the  purposes of public review and comment on the proposed regulation.
    _______________________________________________
    1Expedited review is performed within two business days  of receipt of application
    Agency's Response to Economic Impact Analysis: The  Department of Professional and Occupational Regulations concurs with the  economic impact analysis provided by the Department of Planning and Budget.
    Summary:
    The proposed action establishes a regulatory program for  the voluntary certification of natural gas automobile mechanics and technicians  in accordance with Chapter 763 of the 2014 Acts of Assembly. The new chapter  will include establishment of (i) certification, renewal, and reinstatement  requirements; (ii) standards of practice and conduct; (iii) grounds for  disciplinary actions; (iv) education provider requirements for training  programs; (v) fees; and (vi) an advisory board.
    CHAPTER 50
  REGULATIONS GOVERNING NATURAL GAS AUTOMOBILE MECHANICS AND TECHNICIANS
    Part I
    Definitions
    18VAC120-50-10. Definitions.
    A. Section 54.1-2355 of the Code of Virginia provides  definitions of other terms and phrases as used in this chapter.
    B. The following words and terms when used in this chapter  shall have the following meanings unless the context clearly indicates  otherwise:
    "Address of record" means the mailing address  designated by the certificate holder to receive notices and correspondence from  the board or the board's agent.
    "Advisory board" or "board" means the  Natural Gas Automobile Mechanics and Technicians Advisory Board.
    "Applicant" means an individual seeking  certification who has submitted a fully executed application.
    "Application" means a board prescribed form  submitted with the appropriate fee and other required documentation, including,  but not limited to, verification of formal vocational training, verification of  experience, and documentation of other certifications and examinations.
    "Department" means the Virginia Department of  Professional and Occupational Regulation.
    "Director" means the Director of the Virginia  Department of Professional and Occupational Regulation.
    "Formal vocational training" means courses in  the trade administered at an accredited educational facility or formal  training, approved by the director or his designee, conducted by trade  associations, businesses, the military, correspondence schools, or other  similar training organizations.
    "Reciprocity" means a mutual agreement between  the director and any other regulating body that accepts one or more of the  eligibility criteria from that regulating body as having met the requirements  of this chapter.
    "Regulant" means a licensee, certificate holder,  or registrant of any other regulatory programs in the Commonwealth of Virginia  or any other jurisdiction.
    "Reinstatement" means the process and  requirements through which an expired certificate can be restored to  effectiveness after the expiration date has passed.
    "Renewal" means the process and requirement for  periodically approving a certification for another period of time.
    18VAC120-50-20. Advisory board.
    A. The Natural Gas Automobile Mechanics and Technicians  Advisory Board shall exercise the authority delegated by the director  consistent with subsection A of § 2.2-2100 of the Code of Virginia and shall  advise the department on any matters relating to the certification of natural  gas automobile mechanics and technicians in the Commonwealth of Virginia. 
    B. The advisory board shall consist of eight members  appointed by the director as follows: two representatives of private businesses  that utilize natural gas powered vehicles, one representative of a local  government that utilizes natural gas vehicles, one representative of a  municipal transit agency that uses natural gas vehicles, one certified natural  gas automobile mechanic or technician, one representative of an approved  natural gas automobile mechanic or technician training provider, and two  citizen members. All members must be residents of the Commonwealth of Virginia.  After the original appointments, all appointments shall be for terms of four  years, except that appointments to fill vacancies shall be for the unexpired  terms.
    C. Each member shall serve a four-year term. No member  shall serve more than two consecutive four-year terms.
    D. The advisory board shall meet upon the call of the  director, but at least once per year. 
    Part II
  Application Procedures and Entry Requirements
    18VAC120-50-30. Application procedures.
    A. Every applicant seeking certification shall submit an  application with the appropriate fee specified in 18VAC120-50-80. Application  shall be made on forms provided by the department and shall contain the  following information and documentation:
    1. The full legal name of the applicant, a copy of a  government-issued photo identification and verification that the applicant is  at least 18 years old.
    2. The applicant shall disclose his social security number  or a control number issued by the Virginia Department of Motor Vehicles in  accordance with § 54.1-116 of the Code of Virginia.
    3. The physical address of the applicant and, if it is  going to be used as the address of record, a mailing address. A post office  box, private mail box, or other mail service may be used as a mailing address,  but not as the address of record.
    4. Documentation of formal vocational training as required  in 18VAC120-50-50 in a format approved by the director.
    5. Documentation of experience, as required in  18VAC120-50-50 in a format approved by the director.
    6. Each applicant shall disclose the following convictions  in any jurisdiction:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions at any time.
    Any plea of nolo contendere shall be considered a  conviction for the purpose of this subdivision. Individuals convicted in the  Commonwealth of Virginia shall include a copy of their Central Criminal Records  Exchange report that is no more than 90 days old. Individuals convicted outside  of the Commonwealth of Virginia shall include a copy of their Central Criminal  Records Exchange report and documentation of their out-of-state convictions  from a source approved by the department.
    7. Each applicant shall provide certified copies of all  other licenses, certifications, or registrations held in any jurisdiction as a  natural gas or alternative fuel vehicle mechanic or technician. Additionally,  the applicant must provide documentation of any disciplinary action taken  against any other license, certification, or registration.
    B. By signing the application or submitting it  electronically to the department, the applicant certifies that he has read and  understands the statutes and regulations that govern the program.
    C. The receipt of an application and the deposit of fees  by the department does not indicate approval of the application.
    D. Applicants will be notified if their application is  incomplete. Applicants who fail to complete the process within one year of the  date the original application was received by the department must submit a new  application and fee.
    18VAC120-50-40. General qualifications for certification.
    Every applicant for certification as a certified natural  gas automobile mechanic or technician shall meet the requirements and have the  qualifications provided in this section.
    1. The applicant shall be at least 18 years old.
    2. Unless otherwise exempted, the applicant shall meet the  current educational requirements by passing all required courses prior to the  time the applicant sits for the examination and applies for certification.
    3. Unless otherwise exempted, the applicant shall have passed  the examination provided by department or by a testing organization acting on  behalf of the department.
    4. The applicant shall meet the experience requirements in  18VAC120-50-50.
    5. In those instances where the applicant is required to  take the certification examination, the applicant shall follow all rules  established by the department or testing organization with regard to conduct at  the examination. Such rules shall include all written instructions communicated  prior to the examination date and all instructions communicated at the site,  either written or oral, on the date of the examination. Failure to comply with  all rules established by the department or the testing organization with regard  to conduct at the examination shall be grounds for denial of the application  and may result in the voiding of the examination or scores or both.
    6. The applicant shall sign, as part of the application, a  statement certifying that the applicant has read and understands Chapter 23.4  (§ 54.1-2355 et seq.) of Title 54.1 of the Code of Virginia and this chapter.
    7. The department may make further inquiries or  investigations or require a personal interview with the applicant with respect  to the qualification of the applicant to verify information and documentation,  or to clarify information supplied.
    8. In accordance with § 54.1-204 of the Code of Virginia,  each applicant shall disclose the following information:
    a. All misdemeanor convictions within three years of the  date of the application; and
    b. All felony convictions during his lifetime.
    Any plea of nolo contendere shall be considered a  conviction for the purpose of this subdivision. The record of conviction  received from a court shall be accepted as prima facie evidence of a conviction  or finding of guilt. The department, at its discretion, may deny certification  to any applicant in accordance with § 54.1-204 of the Code of Virginia.
    9. The applicant shall report all suspensions, revocations,  or surrender of a certificate or license that is connected with a disciplinary  action or that has been the subject of discipline in any jurisdiction prior to  applying for certification in Virginia. The director, at his discretion, may  deny certification to any applicant based on prior suspensions, revocations, or  surrender of certifications or licenses connected with disciplinary action by  any jurisdiction.
    18VAC120-50-50. Evidence of ability and proficiency.
    A natural gas automobile mechanic or technician  certificate shall be issued to an applicant who fulfills the requirements of  18VAC120-50-40 and one of the following:
    1. One year of practical experience in the performance of  services relating to the repair, conversion, or maintenance of motor vehicles  that use, in whole or in part, natural gas as a fuel and successful completion  of a training program approved by the director; 
    2. A current license as a professional engineer and one  year of practical experience in the performance of services relating to the  repair, conversion, or maintenance of motor vehicles that use, in whole or in  part, natural gas as a fuel; 
    3. Successful completion of an apprenticeship program  approved by the Virginia Apprenticeship Council or the U.S. Department of  Labor, with a Dictionary of Occupational Title or Standard Industrial  Classification identifier approved by the director, which includes a minimum of  one year of practical experience in the performance of services relating to the  repair, conversion, or maintenance of motor vehicles that use, in whole or in  part, natural gas as a fuel; or
    4. Three years of practical experience in the repair,  conversion, or maintenance of motor vehicles that use, in whole or in part,  natural gas as a fuel.
    18VAC120-50-60. Qualifications for licensure by reciprocity  or substantial equivalency.
    Individuals certified or licensed as natural gas  automobile mechanics or technicians by governing bodies located outside the  Commonwealth of Virginia shall be in compliance with this chapter if the  director has determined the certifying or licensing requirements to be substantially  equivalent to the requirements in Virginia. In addition to the requirements set  forth in 18VAC120-50-40, these individuals must meet the following  requirements:
    1. The applicant shall have received the natural gas  automobile mechanic or technician certification by virtue of having passed in  the jurisdiction of original certification or licensing a written or oral  examination deemed to be substantially equivalent to the Virginia examination;  and
    2. The applicant shall be in good standing as a certified or  licensed natural gas automobile mechanic or technician in every jurisdiction  where certified or licensed, and the applicant shall not have had a certificate  or license that has been suspended, revoked, or surrendered in connection with  a disciplinary action or that has been the subject of discipline in any  jurisdiction prior to applying for certification in Virginia.
    18VAC120-50-70. Application denial.
    The director may refuse initial certification due to an  applicant's failure to comply with entry requirements or for any of the reasons  the director may discipline a certified natural gas automobile mechanic or  technician.
    18VAC120-50-80. Application fees.
    A. All fees are nonrefundable and shall not be prorated.  The date on which the fee is received by the department or its agent will  determine whether the fee has been submitted within the time requirements of  this chapter. Checks or money orders shall be made payable to the Treasurer of  Virginia.
    B. Fees are as follows:
           | Fee Type | Fee Amount | When Due | 
       | Original certification    application | $150 | Upon submission of the    application | 
       | Expedited application - application will be reviewed within two    business days | $250 plus application fee | Upon submission of the application | 
  
    C. The fee for examination or re-examination is subject to  contracted charges by an outside vendor. These contracts are competitively  negotiated and bargained for in compliance with the Virginia Public Procurement  Act (§ 2.2-4300 et seq. of the Code of Virginia). The board may adjust the fee  charged to candidates in accordance with these contracts. 
    18VAC120-50-90. Renewal and reinstatement fees.
    A. All fees are nonrefundable and shall not be prorated.  The date on which the fee is received by the department or its agent will  determine whether the fee has been submitted within the time requirements of  this chapter. Checks or money orders shall be made payable to the Treasurer of  Virginia.
    B. Fees are as follows:
           | Fee Type | Fee Amount | When Due | 
       | Certification renewal | $100 | Within 60 days of, but no later    than, the expiration date of the certification | 
       | Certification reinstatement | $150 - includes renewal fee | Within one year of the    expiration date of the certification | 
  
    18VAC120-50-100. Certificate fees.
    A. All fees are nonrefundable and shall not be prorated.  The date on which the fee is received by the department or its agent will  determine whether the fee has been submitted within time requirements set forth  in this chapter. Checks or money orders shall be made payable to the Treasurer  of Virginia.
    B. Fees are as follows:
           | Fee Type | Fee Amount | When Due | 
       | Wall certificate | $40 | Upon submission of the    request for a wall certificate | 
       | Duplicate pocket    certification card | First request within same    licensing period - $0Second request within same licensing period - $25
 Third or subsequent request within five years - $50
 | Upon submission of the    request for a duplicate pocket certification card | 
  
    C. Third and subsequent requests for duplicate  certification pocket cards or wall certificates may result in the director initiating  an investigation to determine if a violation has occurred.
    Part III
  Renewal and Reinstatement
    18VAC120-50-110. Renewal.
    A. Certifications issued under this chapter shall expire  two years from the last day of the month in which they were issued.
    B. The department will mail a renewal notice to the  regulant at the last known mailing address of record. Failure to receive this  notice shall not relieve the regulant of the obligation to renew.
    C. Regulants may renew their certifications up to 60 days  prior to the expiration date by submitting the fee specified in 18VAC120-50-90.  If the regulant fails to receive the renewal notice, a copy of the  certification pocket card or wall certification may be submitted with the  required fee as an application for renewal.
    D. By renewing the certification the regulant is attesting  continued compliance with Part IV (Standards of Conduct and Practice) of this  chapter. 
    E. The director may deny renewal of a certification card  for the same reasons that he may refuse initial issuance or that he may  discipline a regulant. The regulant has a right to appeal any such action by  the director under the Administrative Process Act (§ 2.2-4000 et seq. of the  Code of Virginia).
    F. Failure to timely pay any monetary penalty, reimbursement  of cost, or other fee assessed by consent order or final order shall result in  delaying or withholding services provided by the department, such as, but not  limited to, renewal, reinstatement, processing of a new application, or  examination administration. 
    18VAC120-50-120. Reinstatement.
    A. Should the department fail to receive the renewal  application or fees by the expiration date, the regulant will be required to  apply for reinstatement of the certification. 
    B. The date on which the reinstatement fee is received by  the department or its agent will determine whether the certification is  reinstated or a new application is required. 
    C. In order to ensure that certification holders are  qualified to practice as certified natural gas automobile mechanics and  technicians, no reinstatement will be permitted once one year from the  expiration date has passed. After that date, the applicant must apply for a new  certification and meet the then current entry requirements, including the  successful completion of the examination. 
    D. Any person who holds himself out as a certified natural  gas automobile mechanic or technician, without the appropriate certification,  may be subject to prosecution under Title 54.1 of the Code of Virginia.
    E. The director may deny reinstatement of a certification  for the same reasons that he may refuse initial issuance or that he may  discipline a regulant. The regulant has a right to appeal any such action by  the director under the Virginia Administrative Process Act (§ 2.2-4000 et seq. of  the Code of Virginia).
    F. Failure to timely pay any monetary penalty,  reimbursement of cost, or other fee assessed by consent order or final order  shall result in delaying or withholding services provided by the department,  such as, but not limited to, renewal, reinstatement, processing of a new  application, or examination administration.
    18VAC120-50-130. Status of regulant during the period prior  to reinstatement.
    A. When a regulant is reinstated, the individual shall  continue to have the same certificate number and shall be assigned an  expiration date two years from the previous expiration date. 
    B. A regulant who reinstates his certification shall be  regarded as having been continuously certified without interruption. Therefore,  the regulant shall remain under the disciplinary authority of the board during  this entire period and may be held accountable for activities during this  period. Nothing in this chapter shall divest the director of the authority to  discipline a regulant for a violation of the law or regulations during the  period of certification. 
    Part IV
  Standards of Conduct and Practice
    18VAC120-50-140. Grounds for disciplinary action.
    The director may place a regulant on probation; impose a  monetary penalty; or revoke, suspend, or refuse to renew a certification when  the regulant has been found to have violated or cooperated with others in  violating any provisions of this chapter or Chapter 23.4 (§ 54.1-2355 et seq.)  of Title 54.1 of the Code of Virginia. 
    18VAC120-50-150. Maintenance of certification.
    A. Any change of address shall be reported within 30 days  of the change on a form provided by the department. The department shall not be  responsible for the regulant's failure to receive notices or correspondence due  to the regulant's failure to report a change of address. A post office box,  private mail box, or other mailing service address alone is not acceptable as  an address of record.
    B. Any name change of the regulant shall be reported  within 30 days of the change on a form provided by the department. The  department shall not be responsible for the regulant's failure to receive  notices or correspondence due to the regulant's failure to report a name  change. 
    18VAC120-50-160. Transfer of certification prohibited.
    No certification issued by the director shall be assigned  or otherwise transferred. 
    18VAC120-50-170. Prohibited acts.
    A. All complaints against certified natural gas automobile  mechanics and technicians may be filed with the department at any time during  business hours, pursuant to subdivision A 8 of § 54.1-201 of the Code of  Virginia.
    B. The following acts are prohibited:
    1. Failing in any material way to comply with the  provisions of Chapter 1 (§ 54.1-100 et seq.) or Chapter 23.4 (§ 54.1-2355 et  seq.) of Title 54.1 of the Code of Virginia or the regulations of the  department;
    2. Furnishing substantially inaccurate or incomplete information  to the department in obtaining, renewing, reinstating, or maintaining a  certification;
    3. Negligence or incompetence in the practice of  alternative fuel vehicle repair, conversion, or maintenance;
    4. Misconduct in the practice of alternative fuel vehicle  repair, conversion, or maintenance;
    5. Failing to respond to an agent of the department or  providing false, misleading, or incomplete information to an investigator  seeking information in the investigation of a complaint filed with the  department against the regulant or failing or refusing to claim certified mail  sent to the regulant's address of record shall constitute a violation of this  regulation;
    6. Making any misrepresentation or making a false promise  that might influence, persuade, or induce;
    7. Assisting another to violate any provision of Chapter 1  (§ 54.1-100 et seq.) or Chapter 23.4 (§ 54.1-2355 et seq.) of Title 54.1  of the Code of Virginia or this chapter; or combining or conspiring with or  acting as agent, partner, or associate for another to do so;
    8. Allowing one's certification to be used by another;
    9. After initial certification, being convicted or found  guilty, regardless of adjudication in any jurisdiction, of any felony or of any  misdemeanor, there being no appeal pending therefrom or the time of appeal  having elapsed. Any plea of guilty or nolo contendere shall be considered a  conviction for the purposes of this subdivision. The record of a conviction  received from a court shall be accepted as prima facie evidence of a conviction  or finding of guilt;
    10. Failing to inform the department in writing within 30  days that the regulant has pleaded guilty or nolo contendere or was convicted  and found guilty of any felony or of a misdemeanor; and
    11. Failing to ensure that all work performed on natural  gas fuel vehicles is consistent with the requirements set forth by the  department, the U.S. Environmental Protection Agency, the California Air  Resources Board, the National Fire Protection Agency 52: Vehicular Gaseous Fuel  Systems Code, or other applicable authority as determined by the director.
    Part V
  Education Providers and Training Requirements
    18VAC120-50-180. Requirements for formal vocational training  providers, instructor qualifications, and course requirements.
    A. The director is responsible for reviewing applications  from education providers seeking board approval. Provider and course  applications must be submitted by the department's established deadlines.
    B. The course provider shall submit an application for  course approval in a format approved by the director. The application shall  include, but is not limited to:
    1. The name of the provider;
    2. Provider contact person, address, and telephone number;
    3. Contact hours for each course submitted for approval;
    4. Schedule of courses, if established, including dates,  time, and locations;
    5. Instructor information, including name, certification  number, if applicable, and a list of other appropriate trade designations;
    6. Course and material fees for each course offered; and
    7. A syllabus for each course submitted for approval.
    C. Each applicant for approval as an instructor for an  approved formal vocational training provider shall have one of the following  qualifications:
    1. A Natural Gas Automobile Mechanic or Technician  Certification issued by the director, or a comparable certification as  determined by the director, and two consecutive years of discipline-free  experience immediately prior to application; or
    2. A minimum of three years of active experience in the  subject matter being taught. Such applicants shall teach only in the area of  their expertise and will be required to furnish proof of their expertise that  is satisfactory to the director. 
    D. Approval of formal vocation training courses shall  expire three years from the year in which the approval was issued, as indicated  on the approval document. At the end of the three years, the course provider  shall submit a new application to be approved by the director.
    E. The course provider must establish and maintain a  record for each student. The record shall include the student's name and  address; social security number or a control number issued by the Virginia  Department of Motor Vehicles; the course name and clock hours attended; and the  course syllabus or outline, the name or names of the instructor, the date of  successful completion, and the board's course code. Records shall be available  for inspection during normal business hours by authorized representatives of  the board. Providers must maintain all student and class records for a minimum  of five years.
    F. The course provider must provide each student with a  certificate of course completion or other documentation that the student may  use as proof of course completion. Such documentation shall contain the hours  of credit completed. Fifty contact minutes shall equal one credit hour. No  credit shall be awarded for partial credit hours or partial completion of the  course.
    G. The course provider certifies that the laws,  regulations, and industry practices that will be taught or utilized in the  course are up-to-date and that subsequent changes in the laws, regulations, or  industry practices will be incorporated into the course curriculum as they  occur.
    18VAC120-50-190. Educational provider and course approval  fees.
    A. All fees are nonrefundable and shall not be prorated.  The date on which the fee is received by the department or its agent will  determine whether the fee has been submitted within the time requirements of  this chapter. Checks or money orders shall be made payable to the Treasurer of  Virginia. 
    B. Fees are as follows:
           |   | Fee Type | Fee Amount | When Due | 
       |   | Formal education provider approval initial application    fee | $190 | Upon submission of the school application | 
       |   | Course approval application fee | $190 | Upon submission of the course application | 
  
    18VAC120-50-200. Posting formal education provider  certificate of approval.
    Copies of formal education provider certificates of  approval must be available at the location a course is taught.
    18VAC120-50-210. Termination of approval.
    The director may withdraw approval of any formal  vocational provider or course for any of the following reasons:
    1. The provider, instructors, courses, or subjects no  longer meet the standards established by the director.
    2. The provider or instructor solicits information from any  person for the purpose of discovering past examination questions or questions  that may be used in future examinations.
    3. The provider or instructor distributes to any person  copies of examination questions or otherwise communicates to any person  examination questions without receiving the prior written approval of the owner  to distribute or communicate those questions.
    4. The provider, through an agent or otherwise, advertises  its services in a fraudulent, deceptive, or misrepresentative manner.
    5. Officials, instructors, or designees of the provider sit  for the natural gas automobile technician or mechanic certification examination  for any purpose other than to obtain a certification. 
    6. The provider or instructor fails to allow any agent of  the board access to facilities or records to conduct a review or audit of the  approved courses, student records, or course materials.
    7. The provider fails to submit an electronic roster of  students completing a course within seven business days in a method and in a  format approved by the department.
    18VAC120-50-220. Course content.
    A. The following shall be included in the course that  shall not have less than 24 classroom hours, of which four hours are hands on  training:
    1. Conversions, repairs, and maintenance.
    2. Safety.
    3. National Fire Protection Agency 52: Vehicular Gaseous  Fuel System Code.
    4. Principles of natural gas.
    5. Natural gas fuel line safety and inspection.
    6. Natural gas fuel container mounting.
    7. Fundamentals of natural gas engines.
    8. Practical lab.
    B. Courses shall be taught in a classroom environment. No  online courses or correspondence courses shall be approved.
    18VAC120-50-230. Reporting changes.
    Any change in the information provided in subsection B of  18VAC120-50-180  must be reported to the director within 30 days of the  change with the exception of changes in the schedule of courses, which must be  reported within 10 days of the change. Failure to report the changes as  required may result in the withdrawal of approval of the course provider by the  director. 
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name of a form with a hyperlink to  access it. The forms are also available from the agency contact or may be  viewed at the Office of the Registrar of Regulations, General Assembly  Building, 2nd Floor, Richmond, Virginia 23219.
         FORMS (18VAC120-50)
    Natural  Gas Automobile Mechanics or Technicians Certification Application,  A505-2310CERT-v1 (rev. 2/2016)
    Natural  Gas Automobile Mechanics or Technicians Experience Verification Form,  A505-2310EXP-v3 (rev. 2/2015)
    Natural  Gas Automobile Mechanics or Technicians Training Provider Approval Application,  A505-2330SCHL-v1 (rev. 2/2015)
    Natural  Gas Automobile Mechanics or Technicians Course Approval Application,  A505-2331CRS-v4 (rev. 2/2016)
    Address  Change Form, A406-ACHG-v5 (rev. 6/2015)
    Name  Change Form, A406-NAMECHG-v4 (rev. 6/2015)
    VA.R. Doc. No. R14-4029; Filed September 16, 2015, 2:14 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
REAL ESTATE APPRAISER BOARD
Final Regulation
        REGISTRAR'S NOTICE: The  following regulatory action is exempt from Article 2 of 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: January 1, 2016. 
    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:
    The amendment updates the edition of the Uniform Standards  of Professional Appraisal Practice incorporated by reference in the regulations  to the 2016-2017 version effective from January 1, 2016, through December 31,  2017.
    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 State Council of Higher Education for Virginia  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 an individual  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 or market value  as defined by the Uniform Standards of Professional Appraisal Practice up to  $250,000, whichever is the lesser. 
    "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,  online 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 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 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 reports 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 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 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 or market value as defined by the  Uniform Standards of Professional Appraisal Practice 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 or market value as defined by the Uniform Standards of Professional Appraisal  Practice up to $250,000, whichever is the lesser. 
    "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" means 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 or certified residential real estate  appraiser who supervises any unlicensed person individual 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 the 2014-2015 2016-2017 edition of 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. 
    DOCUMENTS INCORPORATED BY REFERENCE (18VAC130-20) 
    Uniform Standards of Professional Appraisal Practice,  2014-2015 Edition, Appraisal Standards Board, Appraisal Foundation 
    Uniform  Standards of Professional Appraisal Practice, 2016-2017 Edition, Appraisal  Standards Board, Appraisal Foundation
    VA.R. Doc. No. R16-4512; Filed September 17, 2015, 2:18 p.m. 
 
                                                        Declaration of a State of Emergency  for the Commonwealth of Virginia Due to Severe Weather and the Threat of  Hurricane Joaquin Impacting Virginia
    In order to marshal all public resources and appropriate  preparedness, response, and recovery measures to meet this threat and recover  from its effects, and in accordance with my authority contained in  § 44-146.17 of the Code of Virginia, I hereby order the following  protective and restoration measures:
    A. Implementation by state agencies of the Commonwealth of  Virginia Emergency Operations Plan (COVEOP), as amended, along with other  appropriate state agency plans.
    B. Activation of the Virginia Emergency Operations Center  (VEOC) and the Virginia Emergency Support Team (VEST) to coordinate the  provision of assistance to local governments. I am directing that the VEOC and  VEST coordinate state actions in support of affected localities, other mission  assignments to agencies designated in the COVEOP, and others that may be  identified by the State Coordinator of Emergency Management, in consultation  with the Secretary of Public Safety and Homeland Security, which are needed to  provide for the preservation of life, protection of property, and  implementation of recovery activities.
    C. Authorization to assume control over the Commonwealth's  state-operated telecommunications systems, as required by the State Coordinator  of Emergency Management, in coordination with the Virginia Information  Technologies Agency, and with the consultation of the Secretary of Public  Safety and Homeland Security, making all systems assets available for use in  providing adequate communications, intelligence, and warning capabilities for  the incident, pursuant to § 44-146.18 of the Code of Virginia.
    D. The evacuation of areas threatened or stricken by effects of  the severe weather or hurricane as appropriate. Following a declaration of a  local emergency pursuant to § 44-146.21 of the Code of Virginia, if a  local governing body determines that evacuation is deemed necessary for the  preservation of life or other emergency mitigation, response, or recovery  effort, pursuant to § 44-146.17(1) of the Code of Virginia, I direct the  evacuation of all or part of the populace therein from such areas and upon such  timetable as the local governing body, in coordination with the VEOC, acting on  behalf of the State Coordinator of Emergency Management, shall determine.  Notwithstanding the foregoing, I reserve the right to direct and compel  evacuation from the same and different areas and determine a different  timetable both where local governing bodies have made such a determination and  where local governing bodies have not made such a determination. Also, in those  localities that have declared a local emergency pursuant to § 44-146.21 of  the Code of Virginia, if the local governing body determines that controlling  movement of persons is deemed necessary for the preservation of  life, public safety, or other emergency mitigation, response, or recovery  effort, pursuant to § 44-146.17(1) of the Code of Virginia, I authorize  the control of ingress and egress at an emergency area, including the movement  of persons within the area and the occupancy of premises therein upon such  timetable as the local governing body, in coordination with the State  Coordinator of Emergency Management and the VEOC, shall determine. Violations  of any order to citizens to evacuate shall constitute a violation of this  Executive Order and are punishable as a Class 1 misdemeanor.
    E. The activation, implementation, and coordination of  appropriate mutual aid agreements and compacts, including the Emergency  Management Assistance Compact (EMAC), and the authorization of the State  Coordinator of Emergency Management to enter into any other supplemental  agreements, pursuant to § 44-146.17(5) and § 44-146.28:1 of the Code  of Virginia, to provide for the evacuation and reception of injured and other  persons and the exchange of medical, fire, police, National Guard personnel and  equipment, public utility, reconnaissance, welfare, transportation, and  communications personnel, equipment, and supplies. The State Coordinator of  Emergency Management is hereby designated as Virginia's authorized  representative within the meaning of the Emergency Management Assistance  Compact, § 44-146.28:1 of the Code of Virginia.
    F. The authorization of the Departments of State Police,  Transportation, and Motor Vehicles to grant temporary overweight, over width,  registration, or license exemptions to all carriers transporting essential  emergency relief supplies, livestock or poultry, feed or other critical  supplies for livestock or poultry, heating oil, motor fuels, or propane, or  providing restoration of utilities (electricity, gas, phone, water, wastewater,  and cable) in and through any area of the Commonwealth in order to support the disaster  response and recovery, regardless of their point of origin or destination. Such  exemptions shall not be valid on posted structures for restricted weight.
    All over width loads, up to a maximum of 12 feet, and over  height loads up to a maximum of 14 feet must follow Virginia Department of  Motor Vehicles (DMV) hauling permit and safety guidelines.
    In addition to described overweight/over width transportation  privileges, carriers are also exempt from registration with the Department of  Motor Vehicles. This includes vehicles enroute and returning to their home  base. The above-cited agencies shall communicate this information to all staff  responsible for permit issuance and truck legalization enforcement.
    Authorization of the State Coordinator of Emergency Management  to grant limited exemption of hours of service by any carrier when transporting  essential emergency relief supplies, passengers, property, livestock, poultry,  equipment, food, feed for livestock or poultry, fuel, construction materials,  and other critical supplies to or from any portion of the Commonwealth for  purpose of providing direct relief or assistance as a result of this disaster,  pursuant to § 52-8.4 of the Code of Virginia and Title 49 Code of Federal  Regulations, Section 390.23 and Section 395.3.
    The foregoing overweight/over width transportation privileges  as well as the regulatory exemption provided by § 52-8.4(A) of the Code of  Virginia, and implemented in 19VAC30-20-40(B) of the "Motor Carrier Safety  Regulations," shall remain in effect for 30 days from the onset of the  disaster, or until emergency relief is no longer necessary, as determined by  the Secretary of Public Safety and Homeland Security in consultation with the  Secretary of Transportation, whichever is earlier.
    G. The discontinuance of provisions authorized in paragraph F  above may be implemented and disseminated by publication of administrative  notice to all affected and interested parties. I hereby delegate to the  Secretary of Public Safety and Homeland Security, after consultation with other  affected Cabinet Secretaries, the authority to implement this order as set  forth in § 2.2-104 of the Code of Virginia.
    H. The authorization of a maximum of $2,630,000 in state sum  sufficient funds for state and local governments mission assignments authorized  and coordinated through the Virginia Department of Emergency Management that  are allowable as defined by The Stafford Act. This funding is also available  for state response and recovery operations and incident documentation. Out of  this state disaster sum sufficient, $350,000, or more if available, is  authorized for the Department of Military Affairs for the state's portion of  the eligible disaster related costs incurred for salaries, travel, and meals  during mission assignments authorized and coordinated through the Virginia  Department of Emergency Management.
    I.  The authorization of a maximum of $250,000 for matching  funds for the Individuals and Household Program, authorized by The Stafford Act  (when presidentially authorized), to be paid from state funds.
    J. The implementation by public agencies under my supervision  and control of their emergency assignments as directed in the COVEOP without  regard to normal procedures pertaining to performance of public work, entering  into contracts, incurring of obligations or other logistical and support  measures of the Emergency Services and Disaster Laws, as provided in  § 44-146.28(b) of the Code of Virginia. § 44-146.24 of the Code of  Virginia also applies to the disaster activities of state agencies.
    K. Designation of members and personnel of volunteer,  auxiliary, and reserve groups including Search and Rescue (SAR), Virginia  Associations of Volunteer Rescue Squads (VAVRS), Civil Air Patrol (CAP), member  organizations of the Voluntary Organizations Active in Disaster (VOAD), Radio  Amateur Civil Emergency Services (RACES), volunteer fire fighters, Citizen  Corps Programs such as Medical Reserve Corps (MRCs), Community Emergency  Response Teams (CERTs), and others identified and tasked by the State  Coordinator of Emergency Management for specific disaster related mission  assignments as representatives of the Commonwealth engaged in emergency  services activities within the meaning of the immunity provisions of  § 44-146.23 A and F of the Code of Virginia, in the performance of their  specific disaster-related mission assignments.
    L. The authorization of appropriate oversight boards,  commissions, and agencies to ease building code restrictions and to permit  emergency demolition, hazardous waste disposal, debris removal, emergency  landfill siting, and operations and other activities necessary to address  immediate health and safety needs without regard to time-consuming procedures  or formalities and without regard to application or permit fees or royalties.
    N. The following conditions apply to the deployment of the  Virginia National Guard and the Virginia Defense Force:
    1. The Adjutant General of Virginia, after consultation with the State Coordinator of Emergency Management, shall make available  on state active duty such units and members  of the Virginia  National Guard and  Virginia Defense Force and  such equipment as may be  necessary or desirable to assist in  preparations for  this  incident and in alleviating the human suffering and damage to property.
    2. Pursuant to § 52-6 of the Code of Virginia, I authorize the Superintendent of the Department of State Police to appoint any and  all  such Virginia Army and Air National Guard personnel  called to state active duty as additional police officers as deemed necessary. These police officers shall have  the same powers and  perform the same duties as the State Police officers  appointed by the Superintendent. However, they shall nevertheless remain members of the  Virginia National Guard, subject to military command as members of the State Militia. Any bonds  and/or insurance required by § 52-7 of the Code of Virginia  shall be provided for them  at  the expense of the Commonwealth.
    3. In all instances, members of the Virginia National Guard and  Virginia Defense Force shall remain subject to military command as prescribed by  § 44-78.1 of the Code of Virginia and are not subject to the civilian authorities of county or municipal governments. This shall not be deemed to prohibit working in  close cooperation with members of the Virginia  Departments  of State Police or Emergency Management or local law enforcement or emergency management authorities or receiving  guidance from them in  the performance of their duties.
    4. Should service under this Executive Order result in  the injury or death of any member of the Virginia  National Guard, the following will be  provided to the member and the member's  dependents or survivors:
    a. Workers' Compensation benefits provided to members of the National Guard by the  Virginia Workers' Compensation Act, subject to the requirements and limitations  thereof; and,  in addition, 
    b. The same benefits, or their equivalent, for injury, disability, and/or death, as would be provided by  the federal government if the member were serving on federal active duty at the time of the injury  or death. Any such federal-type benefits due to a member and his or her dependents or survivors during any calendar month  shall be reduced by any  payments due under the Virginia  Workers' Compensation Act during the  same month. If  and when the time period for payment of Workers' Compensation benefits has elapsed, the member and  his or her dependents or survivors shall thereafter receive full federal-type benefits for as long as they would have received such benefits if the member had  been serving on federal active duty at the time of injury or death. Any federal-type  benefits due shall be computed on the  basis of military pay grade E-5 or the member's  military grade at the time of injury or death, whichever produces the greater benefit  amount. Pursuant to § 44-14 of the Code of Virginia, and  subject to the availability of  future appropriations which may be lawfully applied to this purpose, I now approve of future expenditures out of appropriations to the Department of Military Affairs for such federal-type benefits as being manifestly for the benefit of the military service.
    Upon my approval, the costs incurred by state agencies and  other agents in performing mission assignments through the VEOC of the  Commonwealth as defined herein and in § 44-146.28 of the Code of Virginia,  other than costs defined in the paragraphs above pertaining to the Virginia  National Guard and pertaining to the Virginia Defense Force, in performing  these missions shall be paid from state funds.
    This Executive Order shall be effective September 29, 2015, and  continuing unless sooner amended or rescinded by further executive order.  Termination of the Executive Order is not intended to terminate any  federal-type benefits granted or to be granted due to injury or death as a  result of service under this Executive Order.
    Given under my hand and under the Seal of the Commonwealth of  Virginia, this 30th day of September, 2015.
    /s/ Terence R. McAuliffe
  Governor