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
Unless
exempted by law, an agency wishing to adopt, amend, or repeal regulations must
follow the procedures in the Administrative Process Act (§ 2.2-4000 et
seq. of the Code of Virginia). Typically, this includes first publishing 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 proposed regulation 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 of
Regulations 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 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 the final regulation contains changes made after
publication of the proposed regulation that 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. Pursuant to
§ 2.2-4007.06 of the Code of Virginia, any person may request that the
agency solicit additional public comment on certain changes made after
publication of the proposed regulation. The agency shall suspend the regulatory
process for 30 days upon such request from 25 or more individuals, 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 alternative to the standard
process set forth in the Administrative Process Act for regulations deemed by
the Governor to be noncontroversial. To use this process, the Governor's
concurrence is required and advance notice must be provided to certain
legislative committees. Fast-track regulations become effective on the date
noted in the regulatory action if fewer than 10 persons object to using the
process in accordance with § 2.2-4012.1.
EMERGENCY
REGULATIONS
Pursuant
to § 2.2-4011 of the Code of Virginia, an agency may adopt emergency
regulations if necessitated by an emergency situation or when Virginia
statutory law or the appropriation act or federal law or federal regulation
requires that a regulation be effective in 280 days or fewer from its
enactment. In either situation, approval of the Governor is required. The
emergency regulation is effective upon its filing with the Registrar of
Regulations, unless a later date is specified per § 2.2-4012 of the Code of Virginia. Emergency regulations are
limited to no more than 18 months in duration; however, may be extended for six
months under the circumstances noted in § 2.2-4011 D. Emergency
regulations are published as soon as possible in the Virginia Register
and are on the Register of Regulations website at register.dls.virgina.gov.
During
the time the emergency regulation is in effect, the agency may proceed with the
adoption of permanent regulations in accordance with the Administrative Process
Act. 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. 34:8 VA.R.
763-832 December 11, 2017, refers to Volume 34, Issue 8, pages 763 through
832 of the Virginia Register issued on
December 11, 2017.
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; Jennifer L. McClellan; Ward L. Armstrong; Nicole Cheuk;
Rita Davis; Leslie L. Lilley; Christopher R. Nolen; Don L. Scott, Jr.;
Charles S. Sharp; Marcus B. Simon; Samuel T. Towell; Malfourd W. Trumbo.
Staff
of the Virginia Register: Karen
Perrine, Registrar of Regulations; Anne Bloomsburg, Assistant
Registrar; Nikki Clemons, Regulations Analyst; Rhonda Dyer,
Publications Assistant; Terri Edwards, Senior Operations Staff
Assistant.
PUBLICATION SCHEDULE AND DEADLINES
Vol. 36 Iss. 26 - August 17, 2020
September 2020 through August 2021
Volume: Issue
|
Material Submitted By Noon*
|
Will Be Published On
|
37:2
|
August 26, 2020
|
September 14, 2020
|
37:3
|
September 9, 2020
|
September 28, 2020
|
37:4
|
September 23, 2020
|
October 12, 2020
|
37:5
|
October 7, 2020
|
October 26, 2020
|
37:6
|
October 21, 2020
|
November 9, 2020
|
37:7
|
November 4, 2020
|
November 23, 2020
|
37:8
|
November 16, 2020 (Monday)
|
December 7, 2020
|
37:9
|
December 2, 2020
|
December 21, 2020
|
37:10
|
December 14, 2020 (Monday)
|
January 4, 2021
|
37:11
|
December 28, 2020 (Monday)
|
January 18, 2021
|
37:12
|
January 13, 2021
|
February 1, 2021
|
37:13
|
January 27, 2021
|
February 15, 2021
|
37:14
|
February 10, 2021
|
March 1, 2021
|
37:15
|
February 24, 2021
|
March 15, 2021
|
37:16
|
March 10, 2021
|
March 29, 2021
|
37:17
|
March 24, 2021
|
April 12, 2021
|
37:18
|
April 7, 2021
|
April 26, 2021
|
37:19
|
April 21, 2021
|
May 10, 2021
|
37:20
|
May 5, 2021
|
May 24, 2021
|
37:21
|
May 19, 2021
|
June 7, 2021
|
37:22
|
June 2, 2021
|
June 21, 2021
|
37:23
|
June 16, 2021
|
July 5, 2021
|
37:24
|
June 30, 2021
|
July 19, 2021
|
37:25
|
July 14, 2021
|
August 2, 2021
|
37:26
|
July 28, 2021
|
August 16, 2021
|
*Filing deadlines are Wednesdays
unless otherwise specified.
PETITIONS FOR RULEMAKING
Vol. 36 Iss. 26 - August 17, 2020
TITLE 18. PROFESSIONAL AND
OCCUPATIONAL LICENSING
BOARD OF VETERINARY MEDICINE
Agency Decision
Title of Regulation: 18VAC150-20.
Regulations Governing the Practice of Veterinary Medicine.
Statutory Authority: § 54.1-2400 of the Code of
Virginia.
Name of Petitioner: Jeffree Hudson.
Nature of Petitioner's Request: To amend regulations to
require sedation of an animal to be euthanized.
Agency Decision: Request denied.
Statement of Reason for Decision: At its meeting on July
28, 2020, the board reviewed copies of all comments on the petition, as well as
copies of the directive from the Virginia Department of Agriculture and
Consumer Services (VDACS) and the State Veterinarian on euthanasia and the
guidelines on euthanasia from the American Veterinary Medical Association. The
board acknowledged that veterinarians take very seriously their responsibility
to animals and their owners to reduce suffering as humanely as possible.
Veterinarians are expected to use their professional judgment in such
situations. Owners who are concerned about the process may consult with the
veterinarian about the euthanasia process and the possible need for sedation.
The commenter noted the VDACS directive on euthanasia. According to that agency,
shelters typically do sedate an animal because they use nonveterinarian staff
for euthanasia, so there is no opportunity for professional judgment by a
veterinarian as to whether sedation is advisable.
Agency Contact: Elaine J. Yeatts, 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. R20-25; Filed July 28, 2020, 11:14 a.m.
PERIODIC REVIEWS AND SMALL BUSINESS IMPACT REVIEWS
Vol. 36 Iss. 26 - August 17, 2020
TITLE 2. AGRICULTURE
DEPARTMENT OF AGRICULTURE AND
CONSUMER SERVICES
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulation is undergoing a periodic review and a small business impact review: 2VAC5-11, Public Participation Guidelines. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether this regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to this regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: Kevin Schmidt, Board Secretary, Department of Agriculture and Consumer Services, Oliver Hill Building, 102 Governor Street, Suite 219, Richmond, VA 23219, telephone (804) 786-1346, FAX (804) 371-7679, or email kevin.schmidt@vdacs.virginia.gov.
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulations are undergoing a periodic review and a small business impact review: 2VAC5-61, Regulations Governing Livestock Dealers and Marketing Facilities for the Purpose of Controlling and Eradicating Infectious and Contagious Diseases of Livestock; 2VAC5-70, Health Requirements Governing the Control of Equine Infectious Anemia in Virginia; 2VAC5-80, Requirements Governing the Branding of Cattle in Virginia; 2VAC5-111, Public and Private Animal Shelters; and 2VAC5-190, Rules and Regulations Establishing a Monitoring Program for Avian Influenza and Other Poultry Diseases. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether each regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to each regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: Dr. Carolynn Bissett, Program Manager, Office of Veterinary Services, Department of Agriculture and Consumer Services, P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-2483, FAX (804) 371-2380, TDD (800) 828-1120, or email carolynn.bissett@vdacs.virginia.gov.
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulation is undergoing a periodic review and a small business impact review: 2VAC5-240, Rules and Regulations for Enforcement of the Grain Handlers Law. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether this regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to this regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: Olivia Wilson, Deputy Director, Commodity Services, Department of Agriculture and Consumer Services, P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-2112, FAX (804) 225-4434, TDD (800) 828-1120, or email olivia.wilson@vdacs.virginia.gov.
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulations are undergoing a periodic review and a small business impact review: 2VAC5-319, Best Management Practices for the Operation of Apiaries in Order to Limit Operator Liability; 2VAC5-330, Rules and Regulations for Enforcement of the Virginia Pest Law-Virginia Gypsy Moth Quarantine; 2VAC5-360, Regulations for the Enforcement of the Virginia Commercial Feed Act; and 2VAC5-400, Rules and Regulations for the Enforcement of the Virginia Fertilizer Law. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether each regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to each regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: David Gianino, Program Manager, Office of Plant Industry Services, Department of Agriculture and Consumer Services, P.O. Box 1163, Richmond, VA 23218, telephone (800) 786-3515, FAX (804) 371-7793, TDD (800) 828-1120, or email david.gianino@vdacs.virginia.gov.
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulations are undergoing a periodic review and a small business impact review: 2VAC5-350, Rules and Regulations for the Enforcement of the Virginia Commission Merchant Law, and 2VAC5-480, Regulation Governing the Oxygenation of Gasoline. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether each regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to each regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: Gary Milton, Program Manager, Office of Weights and Measures, Department of Agriculture and Consumer Services, P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-1274, FAX (804) 786-1571, TDD (800) 828-1120, or email gary.milton@vdacs.virginia.gov.
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulations are undergoing a periodic review and a small business impact review: 2VAC5-550, Rules and Regulations Pertaining to Tolerances and Prohibitions Applicable to Sausage; 2VAC5-560, Rules and Regulations Pertaining to Labeling and Sale of Infant Formula; 2VAC5-570, Rules and Regulations Defining Standards for Grades/Sizes of Shell Eggs; and 2VAC5-585, Retail Food Establishment Regulations. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether each regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to each regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: Ryan Davis, Program Manager, Office of Dairy and Foods, Department of Agriculture and Consumer Services, P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-8899, FAX (804) 371-7792, TDD (800) 828-1120, or email ryan.davis@vdacs.virginia.gov.
w –––––––––––––––––– w
TITLE 9. ENVIRONMENT
VIRGINIA WASTE MANAGEMENT BOARD
Report of Findings
Pursuant to § 2.2-4007.1 of the Code of Virginia, the Virginia Waste Management Board conducted a periodic review and small business impact review of 9VAC20-20, Schedule of Fees for Hazardous Waste Facility Site Certification, and determined that this regulation should be retained in its current form. The department is publishing its report of findings dated June 29, 2020, to support this decision.
The regulation is authorized by state law and is necessary to protect public health and welfare. Without this regulation, the Commonwealth would be required to pay all costs associated with processing applications and site certifications for hazardous waste management sites, which would reduce funding of other service areas. The regulation is technical in nature; however, it is clearly written and easily understandable.
The regulation continues to be needed and is being retained without changes.
The board is authorized to adopt a schedule of fees to charge applicants and to collect fees for the cost of processing applications and site certifications, and this regulation complies with the board's statutory authority. These fees defray costs associated with the review of these site certifications.
No public comments were received during the periodic review of this regulation.
This regulation is one regulation in a series all of which are related to hazardous waste facility site certifications. Maintaining multiple regulations each of which address different aspects of hazardous waste facility site certifications removes complexity from the regulatory process and allows users to focus on applicable requirements.
This regulation does not overlap, duplicate, or conflict with any state or federal law. This regulation does interact with three other state regulations. The four separate regulations work together to protect public health and welfare concerning the siting of hazardous waste facility sites.
This regulation last underwent a periodic review in 2016. This regulation was amended in August 2012 to update a mailing address within the regulation.
The department, through examination of the regulation, has determined that the regulatory requirements currently minimize the economic impact of these regulations on small businesses.
Contact Information: Melissa Porterfield, Department of Environmental Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218, telephone (804) 698-4238, FAX (804) 698-4019, or email melissa.porterfield@deq.virginia.gov.
Report of Findings
Pursuant to § 2.2-4007.1 of the Code of Virginia, the Virginia Waste Management Board conducted a periodic review and small business impact review of 9VAC20-30, Technical Assistance Fund Administrative Procedures, and determined that this regulation should be retained in its current form. The department is publishing its report of findings dated June 29, 2020, to support this decision.
This regulation is necessary for the protection of public health, safety, and welfare. This regulation sets forth the process for a community hosting a hazardous waste facility to obtain technical assistance funds for a thorough and efficient review by the host community's local government of the proposed hazardous waste facility's impact on public health, safety, and welfare and on the environment. Without this fund, it is unlikely that the host community's local government would be able to conduct this evaluation.
The regulation is effective and continues to be needed and is being retained.
The regulation continues to be needed to provide a governing body of a community hosting a hazardous waste facility with a process for obtaining technical assistance funds to evaluate the proposed hazardous waste facility's impact on public health, safety, and welfare and on the environment.
No public comments were received during the public comment period.
This regulation has been written to establish the process for a governing body of a community hosting a hazardous waste facility to obtain technical assistance funds. It is clearly written and is consistent with the requirements of statute and other related regulations.
This regulation does not overlap, duplicate, or conflict with any state law or other state regulation. This regulation is part of a set of four related regulations mandated by Virginia statutes that establish a procedure for siting of hazardous waste management facilities including certification of the site, investigation of the site, resolution of issues between the applicant and the host community, and funding the process.
A periodic review was last conducted on this regulation in 2016, and the regulation remains current.
This regulation allows localities a governing body of a community hosting a hazardous waste facility to obtain technical assistance funds. Small businesses are not impacted by this regulation.
Contact Information: Melissa Porterfield, Department of Environmental Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218, telephone (804) 698-4238, FAX (804) 698-4019, or email melissa.porterfield@deq.virginia.gov.
Report of Findings
Pursuant to § 2.2-4007.1 of the Code of Virginia, the Virginia Waste Management Board conducted a periodic review and small business impact review of 9VAC20-40, Administrative Procedures for Hazardous Waste Facility Site Certification, and determined that this regulation should be retained in its current form. The department is publishing its report of findings dated June 29, 2020, to support this decision.
This regulation is necessary for the protection of public health, safety, and welfare. This regulation establishes administrative procedures for the submission and evaluation of applications for certification of hazardous waste facility sites, including the processing of applications and public notice requirements. This regulation is technical in nature and is clearly written and easily understandable.
The regulation is effective and continues to be needed and is being retained.
The regulation continues to be needed to establish administrative procedures for the submission and evaluation of applications for certification of hazardous waste facility sites, including the processing of applications and public notice requirements.
No public comments were received during the public comment period.
This regulation establishes administrative procedures for the submission and evaluation of applications for certification of hazardous waste facility sites, including the processing of applications and public notice requirements. It is clearly written and is consistent with the requirements of statute and other related regulations.
This regulation does not overlap, duplicate, or conflict with any state law or other state regulation. This regulation is part of a set of four related regulations mandated by Virginia statutes that establish a procedure for siting of hazardous waste management facilities including certification of the site, investigation of the site, resolution of issues between the applicant and the host community, and funding the process.
A periodic review was last conducted on this regulation in 2016, and the regulation remains current.
The department has determined that the regulatory requirements currently minimize the economic impact of these regulations on small businesses while meeting the requirements of state law.
Contact Information: Melissa Porterfield, Department of Environmental Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218, telephone (804) 698-4238, FAX (804) 698-4019, or email melissa.porterfield@deq.virginia.gov.
Report of Findings
Pursuant to § 2.2-4007.1 of the Code of Virginia, the Virginia Waste Management Board conducted a periodic review and small business impact review of 9VAC20-50, Hazardous Waste Facility Siting Criteria, and determined that this regulation should be retained in its current form. The department is publishing its report of findings dated June 29, 2020, to support this decision.
This regulation establishes the siting criteria for hazardous waste facilities and is protective of human health and the environment. The regulation is clearly written and easily understandable.
The regulation is effective and continues to be needed and is being retained.
The regulation continues to be needed to establish siting criteria for hazardous waste facilities.
No public comments were received during the public comment period.
This regulation establishes siting criteria for hazardous waste facility sites. It is clearly written and is consistent with the requirements of statute and other related regulations.
This regulation does not overlap, duplicate, or conflict with any state law or other state regulation. This regulation is part of a set of four related regulations mandated by Virginia statutes that establish a procedure for siting of hazardous waste management facilities including certification of the site, investigation of the site, resolution of issues between the applicant and the host community, and funding the process.
A periodic review was last conducted on this regulation in 2016, and the regulation remains current.
The department has determined that the regulatory requirements currently minimize the economic impact of these regulations on small businesses while meeting the requirements of state law.
Contact Information: Melissa Porterfield, Department of Environmental Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218, telephone (804) 698-4238, FAX (804) 698-4019, or email melissa.porterfield@deq.virginia.gov.
STATE WATER CONTROL BOARD
Agency Notice
Pursuant to Executive Order 14 (as amended July 16, 2018) and §§ 2.2-4007.1 and 2.2-4017 of the Code of Virginia, the following regulations are undergoing a periodic review and a small business impact review: 9VAC25-210, Virginia Water Protection Permit Program Regulation; 9VAC25-660, Virginia Water Protection General Permit for Impacts Less Than One-Half Acre; 9VAC25-670, Virginia Water Protection General Permit for Facilities and Activities of Utility and Public Service Companies Regulated by the Federal Energy Regulatory Commission or the State Corporation Commission and Other Utility Line Activities; 9VAC25-680, Virginia Water Protection General Permit for Linear Transportation Projects; and 9VAC25-690, Virginia Water Protection General Permit for Impacts from Development and Certain Mining Activities. The review will be guided by the principles in Executive Order 14 (as amended July 16, 2018).
The purpose of this review is to determine whether each regulation should be repealed, amended, or retained in its current form. Public comment is sought on the review of any issue relating to each regulation, including whether the regulation (i) is necessary for the protection of public health, safety, and welfare or for the economical performance of important governmental functions; (ii) minimizes the economic impact on small businesses in a manner consistent with the stated objectives of applicable law; and (iii) is clearly written and easily understandable.
Public comment period begins August 17, 2020, and ends September 7, 2020.
Comments must include the commenter's name and address (physical or email) information in order to receive a response to the comment from the agency.
Following the close of the public comment period, a report of both reviews will be posted on the Virginia Regulatory Town Hall and published in the Virginia Register of Regulations.
Contact Information: Melissa Porterfield, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218, telephone (804) 698-4238, FAX (804) 698-4178, or email melissa.porterfield@deq.virginia.gov.
REGULATIONS
Vol. 36 Iss. 26 - August 17, 2020
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: 4VAC20-252. Pertaining to the
Taking of Striped Bass (amending 4VAC20-252-20, 4VAC20-252-30,
4VAC20-252-50, 4VAC20-252-80 through 4VAC20-252-110, 4VAC20-252-130,
4VAC20-252-140, 4VAC20-252-150, 4VAC20-252-155, 4VAC20-252-160, 4VAC20-252-200,
4VAC20-252-210; repealing 4VAC20-252-115).
Statutory Authority: § 28.2-201 of the Code of Virginia.
Effective Date: August 1, 2020.
Agency Contact: Jennifer Farmer, Regulatory Coordinator,
Marine Resources Commission, 380 Fenwick Road, Fort Monroe, VA 23651, telephone
(757) 247-2248, or email jennifer.farmer@mrc.virginia.gov.
Summary:
The amendments (i) require the use of non-offset,
non-stainless steel circle hooks when fishing for striped bass recreationally
with bait; (ii) clarify that the captain or operator of any recreational boat
or vessel shall be responsible for any minimum or maximum size limits; and
(iii) repeal exemptions from size limits and closed fishing seasons for
recreational striped bass fishing tournaments.
4VAC20-252-20. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Chesapeake Bay area" means the commercial
fishing area that includes the Chesapeake Bay and its tributaries and the
Potomac River tributaries.
"Chesapeake Bay and its tributaries" means all
tidal waters of the Chesapeake Bay and its tributaries within Virginia,
westward of the shoreward boundary of the Territorial Sea, excluding the
coastal area and the Potomac River tributaries as defined by in
this section.
"Circle hook" means a non-offset,
non-stainless steel hook with the point turned sharply and straight back
toward the shank.
"Coastal area" means the area that includes
Virginia's portion of the Territorial Sea, plus all of the creeks, bays,
inlets, and tributaries on the seaside of Accomack County, Northampton County
(including areas east of the causeway from Fisherman Island to the mainland),
and the City of Virginia Beach (including federal areas and state parks,
fronting on the Atlantic Ocean and east and south of the point where the
shoreward boundary of the Territorial Sea joins the mainland at Cape Henry).
"Commercial fishing," or
"fishing commercially," or "commercial fishery"
means fishing by any person where the catch is for sale, barter, trade, or
any commercial purpose, or is intended for sale, barter, trade, or any
commercial purpose.
"Commission" means the Marine Resources
Commission.
"Great Wicomico-Tangier Striped Bass Management
Area" means the area that includes the Great Wicomico River and those
Virginia waters bounded by a line beginning at Dameron Marsh at NAD 83 North
Latitude 37-46.9535, West Longitude 76-17.1294; thence
extending to the southernmost point of Tangier Island, and thence north
to a point on the Virginia-Maryland state boundary at NAD 83 North Latitude 37-57.0407,
West Longitude 75-58.5043, thence and then westerly along
the Virginia-Maryland state boundary to Smith Point.
"Potomac River tributaries" means all the
tributaries of the Potomac River that are within Virginia's jurisdiction
beginning with, and including, Flag Pond thence extending
upstream to the District of Columbia boundary.
"Recreational fishing," or
"fishing recreationally," or "recreational fishery"
means fishing by any person, whether licensed or exempted from licensing, where
the catch is not or is not intended for sale, barter, trade, or any
commercial purpose, or is not intended for sale, barter, trade, or any
commercial purpose.
"Recreational vessel" means any vessel, kayak,
charter vessel, or headboat participating in the recreational striped bass
fishery.
"Share" means a percentage of the striped bass
commercial harvest quota.
"Snout" means the most forward projection from a
fish's head that includes the upper and lower jaw.
"Spawning reaches" means sections within the
spawning rivers as follows:
1. James River from a line connecting Dancing Point and New
Sunken Meadow Creek upstream to a line connecting City Point and Packs Point.
2. Pamunkey River from the Route 33 Bridge at West Point
upstream to a line connecting Liberty Hall and the opposite shore.
3. Mattaponi River from the Route 33 Bridge at West Point
upstream to the Route 360 bridge at Aylett.
4. Rappahannock River from the Route 360 Bridge at
Tappahannock upstream to the Route 1 Falmouth Bridge.
"Spear" or "spearing" means to fish while
the person is fully submerged under the water's surface with a mechanically
aided device designed to accelerate a barbed spear.
"Striped bass" means any fish of the species
Morone saxatilis, including or any hybrid of the species Morone
saxatilis.
"Total length" means the length of a fish measured
from the most forward projection of the snout, with the mouth closed, to the
tip of the longer lobe of the tail (caudal) fin, measured with the tail
compressed along the midline, using a straight-line measure, not measured over
the curve of the body.
4VAC20-252-30. General prohibitions and requirements.
A. It shall be unlawful for any person to possess any
striped bass taken from the tidal waters of Virginia, including Virginia's
portion of the Territorial Sea, except in accord with the provisions of Title
28.2 of the Code of Virginia and in accord with the provisions of this chapter.
B. It shall be unlawful for any person to possess any
striped bass taken from the tidal waters of Virginia, including Virginia's
portion of the Territorial Sea, during a time, from an area, and with a gear
type when there is no open season set forth in this chapter for such time,
area, and gear type.
C. Except for those persons permitted in accordance with
4VAC20-252-170, it shall be unlawful for any person to possess any striped bass
less than 18 inches total length at any time.
D. It shall be unlawful for any person to possess any
striped bass that measures less than the minimum size or more than the maximum
size applicable to the open season when fishing occurs, except as described in
4VAC20-252-115.
E. A. It shall be unlawful for any person while
aboard any boat or vessel or while fishing from shore or pier to alter any
striped bass or to possess any altered striped bass such that its total length
cannot be determined.
F. B. It shall be unlawful for any person to
gaff or attempt to gaff any striped bass at any time.
G. It shall be unlawful for any person to use a commercial
hook and line within 300 feet of any bridge, bridge-tunnel, jetty, or pier
during Thanksgiving Day and the following day or during any open recreational
striped bass season in the Chesapeake Bay and its tributaries, except during
the period midnight Sunday through 6 a.m. Friday.
H. Unless specified differently in other regulations, it
C. It shall be unlawful to place, set, or fish any gill net within 300
feet of any bridge, bridge-tunnel, jetty, or pier during any open recreational
striped bass season in the Chesapeake Bay and its tributaries, except during
the period midnight Sunday through midnight Wednesday.
I. D. During the period April 1 through May 31,
inclusive, it shall be unlawful for any person to set or fish any anchored gill
net or staked gill net, for any purpose, within the spawning reaches of the
James, Pamunkey, Mattaponi, and Rappahannock Rivers. Drift or float gill nets
may be set and fished within the spawning reaches of these rivers during this
period, provided that the person setting and fishing the net remains with the
net during the time it is fishing and all striped bass that are caught shall be
returned to the water immediately.
J. Holding any E. Any license or permit issued
by the commission to fish for striped bass, recreationally or commercially,
shall authorize any commission personnel or their designees to inspect,
measure, weigh, or take biological samples from any striped bass in possession
of the permit holder licensee or permittee.
K. F. Nothing in this chapter shall preclude
any person, who is legally eligible to fish, from possessing any striped bass
tagged with a Virginia Institute of Marine Science (VIMS) fluorescent green
tag. Possession of these VIMS-tagged striped bass shall not count
towards the personal recreational possession limit, and permitted. Permitted
commercial striped bass individual transferable quota (ITQ) holders shall not
be required to apply a tamper evident, numbered tag provided by the commission,
in order to possess any striped bass tagged with a VIMS-inscribed green
fluorescent tag. It shall be unlawful for any person to retain any of
these VIMS-tagged striped bass for a period of time that is longer than
necessary except to provide the VIMS-tagged striped bass to a VIMS
representative. Under no circumstance shall any VIMS-tagged striped bass be
stored for future use or sale or delivered to any person who is not a VIMS
representative.
4VAC20-252-50. Concerning recreational fishing: general.
A. It shall be unlawful for any person fishing recreationally
to take, catch, or attempt to take or catch any striped bass by any gear or
method other than hook and line hook-and-line, rod and reel, hand
line, or spearing.
B. It shall be unlawful for any person fishing recreationally
to possess any striped bass while fishing in an area where or at a time when
there is no open recreational striped bass season, except as described in
4VAC20-252-115. Striped bass caught contrary to this provision shall be
returned to the water immediately.
C. It shall be unlawful for any person fishing
recreationally to possess, land, and retain any striped bass in excess of the
possession limit applicable for the area and season being fished within the
24-hour period of 12 a.m. through 11:59 p.m. Striped bass taken in excess of
the possession limit shall be returned to the water immediately.
B. Any person fishing recreationally shall use non-offset,
corrodible, non-stainless steel circle hooks when fishing with bait, live or
chunk.
C. When fishing from a boat or vessel where the entire
catch is held in a common hold or container, the possession limit shall be for
the boat or vessel and shall be equal to the number of persons on board legally
eligible to fish multiplied by the applicable personal possession limit. The
captain or operator of the boat or vessel shall be responsible for any boat or
vessel possession limit.
D. When fishing from a boat or vessel where the entire
catch is held in a common hold or container, the captain or operator of the
boat or vessel shall be responsible for any minimum or maximum size limits.
D. E. It shall be unlawful to combine
possession limits when there is more than one area or season open at the same
time.
E. F. It shall be unlawful for any person while
actively fishing pursuant to a recreational fishery to possess any striped bass
that are smaller than the minimum size limit or larger than the maximum size
limit for the area and season then open and being fished, except as
described in 4VAC20-252-115. Any striped bass caught that does not meet the
applicable size limit shall be returned to the water immediately.
F. It shall be unlawful for any person to sell, offer for
sale, trade, or barter any striped bass taken by hook and line, rod and reel,
hand line, or spearing provided, however, this provision shall not apply to
persons possessing a commercial hook-and-line license and a striped bass permit
and meeting the other requirements of this chapter.
G. It shall be unlawful for any person fishing recreationally
to transfer any striped bass to another person, while on the water or while
fishing from a pier or shore.
4VAC20-252-80. Chesapeake Bay and its tributaries
spring/summer striped bass recreational fishery.
A. The open season for the Chesapeake Bay and its tributaries
spring/summer striped bass recreational fishery shall be May 16 through June 15
inclusive.
B. The area open for this fishery shall be the Chesapeake
Bay and its tributaries.
C. B. The minimum size limit for this
fishery shall be 20 inches total length, and the maximum size limit for
this fishery shall be 28 inches total length.
C. The maximum size limit shall be 28 inches total length.
D. The daily possession limit for this fishery
shall be one fish per person.
4VAC20-252-90. Chesapeake Bay and its tributaries
fall striped bass recreational fishery.
A. The open season for the bay Chesapeake Bay and
its tributaries fall striped bass recreational fishery shall be October 4
through December 31, inclusive.
B. The area open for this fishery shall be the Chesapeake
Bay and its tributaries.
C. B. The minimum size limit for this
fishery shall be 20 inches total length.
D. C. The maximum size limit for this
fishery shall be 36 inches total length.
E. D. The daily possession limit for
this fishery shall be one fish per person.
4VAC20-252-100. Potomac River tributaries summer/fall striped
bass recreational fishery.
A. The open season for the Potomac River tributaries
summer/fall striped bass recreational fishery shall correspond to the
open summer/fall season as established by the Potomac River Fisheries
Commission for the mainstem Potomac River.
B. The area open for this fishery shall be the Potomac
River tributaries.
C. B. The minimum size limit for this
fishery shall be 20 inches total length.
D. C. From May 16 through June 15 the maximum
size limit for this fishery shall be 28 inches total length.
E. D. From June 16 through December 31 the
maximum size limit for this fishery shall be 36 inches total length.
F. E. The daily possession limit for
this fishery shall be one fish per person.
4VAC20-252-110. Coastal area striped bass recreational
fishery.
A. The open seasons for the coastal area striped bass
recreational fishery shall be January 1 through March 31 and May 16 through
December 31, inclusive.
B. The area open for this fishery shall be the coastal
area as defined in this chapter.
C. B. The minimum size limit for this
fishery shall be 28 inches total length.
D. C. The maximum size limit for this
fishery shall be 36 inches total length.
E. D. The daily possession limit for
this fishery shall be one fish per person per day.
4VAC20-252-115. Exemptions from size limits and closed
fishing seasons for recreational striped bass fishing tournaments. (Repealed.)
A. The commissioner or his designee may grant exemptions
for any recreational fishing tournament from size and season limitations
described in 4VAC20-252-80, 4VAC-20-252-90, 4VAC20-252-100 and 4VAC20-252-110
provided that the tournament meets all of the following conditions:
1. The tournament operates for a limited duration, with a
maximum of three consecutive days.
2. The tournament format provides for the live release of
all fish and significant penalties for entrants bringing in or weighing in dead
striped bass.
3. The tournament director submits a written proposal to
the commissioner detailing the measures the tournament will use to ensure the
survivability of fish entered in the tournament, to include capture, handling
and storage of fish by tournament entrants on the water during the competition,
by tournament officials at the weigh-in, by tournament officials when
transporting and returning the fish to the water, and any penalties that will
apply to entrants bringing in or weighing dead fish. Such proposal must be
submitted no later than 120 days prior to the tournament, and the proposal must
be determined by the commissioner to adequately address potential mortality
issues.
4. Tournament officials must agree to provide any or all
fish entered in the tournament to the Marine Resources Commission, or to any
designee of the Marine Resources Commission, upon written request, and
tournament officials agree to allow Marine Resources Commission staff access to
all tournament areas during the event for the purposes of observation and
assessment, upon request.
B. Any determination by the commissioner or his designee
that approval of any requested recreational striped bass tournament could
jeopardize the status of the striped bass stock or prove to be an issue of
compliance with the interstate fishery management plan will result in
disapproval of that request.
4VAC20-252-130. Entry limits, permits, and reports.
A. There is established a special permit for engaging in
either the Chesapeake Bay area commercial fishery for striped bass or
the coastal area commercial fishery for striped bass, and it. It
shall be unlawful for any person to engage in either commercial fishery for
striped bass without first having obtained the permit from the commission and
meeting the following conditions:
1. The person shall be a licensed registered commercial
fisherman.
2. The person shall have reported all prior fishing activity
in accordance with 4VAC20-610 and shall not be under any sanction by the Marine
Resources Commission for noncompliance with the regulation.
B. Permits for the commercial harvest of striped bass in the
Chesapeake Bay area or coastal area shall be issued to any registered
commercial fishermen holding striped bass quota shares issued under the
provisions of 4VAC20-252-150 and 4VAC20-252-160.
C. Permits shall be in the possession of the permittee while
catching, harvesting, selling, or possessing striped bass. Failure to
have the appropriate permit in possession shall be a violation of this chapter.
D. It shall be unlawful for any person, business, or
corporation, except for licensed restaurants, to purchase from the harvester
any quantity of striped bass greater than 10 pounds in total weight taken from
Virginia's tidal waters for the purpose of resale without first obtaining a
striped bass buyer's permit from the commission, except as described in
subsection E of this section. Such permit shall be completed in full by the
permittee and kept in possession of the permittee while selling or possessing
striped bass. Failure to have the appropriate permit in possession shall be a
violation of this chapter.
E. Restaurants shall not be required to obtain a striped bass
buyer's permit from the commission but shall be required to certify and
maintain a record of any striped bass purchased from any harvester for a period
of not less than one year.
F. All permitted commercial harvesters of striped bass shall
report to the commission in accordance with 4VAC20-610. In addition to the
reporting requirements of 4VAC20-610, all permitted commercial harvesters of
striped bass shall record and report daily striped bass harvest by specifying
the number of tags used on striped bass harvested for each day in either the
Chesapeake Bay area or coastal area and reporting the daily total whole
weight of striped bass harvested in either the Chesapeake Bay area or
coastal area. Daily striped bass tag use on harvested striped bass and daily
total whole weight of harvested striped bass from either the Chesapeake Bay
area or coastal area, within any month, shall be recorded on forms provided by
the commission and shall accompany the monthly catch report submitted no later
than the fifth day of the following month.
G. Any permitted commercial harvester of striped bass who
self markets his striped bass to a restaurant, individual person,
or out-of-state market shall be required to prepare a receipt describing each
sale greater than 10 pounds in total weight. Each receipt shall be a record and
report of the date of transaction, name and signature of buyer, address and
phone number of buyer, number and total weight of striped bass sold, and name
and signature of harvester. Copies of each receipt shall be forwarded to the
commission in accordance with 4VAC20-610.
H. Any buyer permitted to purchase striped bass harvested
from Virginia tidal waters shall provide written reports to the commission of
daily purchases and harvest information on forms provided by the Marine
Resources Commission. Such information shall include the date of the purchase,
buyer's name, and harvester's Commercial Fisherman Registration License number.
In addition, for each different purchase of striped bass harvested from
Virginia waters, the buyer shall record the weight of whole fish and number and
type of tags (Chesapeake Bay area or coastal area) that applies to that
harvest. These reports shall be completed in full and submitted monthly to the
Marine Resources Commission no later than the fifth day of the following month.
I. Failure of any person permitted to harvest, buy, or sell
striped bass, to submit the required written report for any fishing day shall
constitute a violation of this chapter.
4VAC20-252-140. Commercial seasons, areas, and size limits.
Except as may be adjusted pursuant to 4VAC20-252-150, the
open commercial striped bass fishing seasons, areas, and applicable size limits
shall be as follows:
1. In the Chesapeake Bay area, the open commercial
season shall be from January 16 through December 31, inclusive. The minimum
size limit shall be 18 inches total length during the periods of January 16
through December 31. The maximum size limit shall be 28 inches from March 15
through June 15.
2. In the coastal area, the open commercial season shall be
January 16 through December 31, inclusive, and the. The minimum
size limit shall be 28 inches total length.
4VAC20-252-150. Individual commercial harvest quota.
A. The commercial harvest quota for the Chesapeake Bay
area shall be determined annually by the Marine Resources Commission. The total
allowable level of all commercial harvest of striped bass from the Chesapeake
Bay and its tributaries and the Potomac River tributaries of Virginia for all
open seasons and for all legal gear shall be 983,393 pounds of whole fish. At
such time as the total commercial harvest of striped bass from the Chesapeake Bay
area is projected to reach 983,393 pounds, and announced as such, it shall be
unlawful for any person to land or possess striped bass caught for commercial
purposes from the Chesapeake Bay area.
B. The commercial harvest quota for the coastal area of
Virginia shall be determined annually by the Marine Resources Commission. The
total allowable level of all commercial harvest of striped bass from the coastal
area for all open seasons and for all legal gear shall be 125,034 pounds of
whole fish. At such time as the total commercial harvest of striped bass from
the coastal area is projected to reach 125,034 pounds, and announced as such,
it shall be unlawful for any person to land or possess striped bass caught for
commercial purposes from the coastal area.
C. For the purposes of assigning tags to an individual
a person for commercial harvests in the Chesapeake Bay area as
described in 4VAC20-252-160, the individual commercial harvest quota of striped
bass in pounds shall be converted to an estimate in numbers of fish per
individual harvest quota based on the average weight of striped bass harvested
by the permitted individual person during the previous fishing
year. The number of striped bass tags issued to each individual person
will equal the estimated number of fish to be landed by that individual harvest
quota, plus a number of striped bass tags equal to 10% of the total allotment
determined for each individual person.
D. For the purposes of assigning tags to an individual
a person for commercial harvests in the coastal area of Virginia as
described in 4VAC20-252-160, the individual commercial harvest quota of striped
bass in pounds shall be converted to a quota in numbers of fish per individual
commercial harvest quota, based on the reported average coastal area harvest
weight of striped bass harvested by the permitted individual person
during the previous fishing year, except as described in subsection E of this
section. The number of striped bass tags issued to each individual person
will equal the estimated number of fish to be landed by that individual harvest
quota, plus a number of striped bass tags equal to 10% of the total allotment
determined for each individual person.
E. For any individual person whose reported
average coastal area harvest weight of striped bass in the previous fishing
year was less than 12 pounds, a 12-pound minimum weight shall be used to
convert that individual's person's harvest quota of striped bass,
in pounds of fish, to harvest quota in number of fish.
4VAC20-252-155. Individual transferable shares monitoring and
penalties.
A. Any initial overage by any person of an individual
commercial harvest quota during any calendar year shall be considered a first
offense, with penalties prescribed according to the severity of the overage as
described in subdivisions 1 through 5 of this subsection.
1. Any overages that are less than 76 pounds shall result in a
warning being issued.
2. Any overages that range from 76 to 250 pounds shall result
in a one year one-year deduction of that overage from that
individual commercial harvest quota during the following calendar year.
3. Any overages that range from 251 to 475 pounds shall result
in a one year one-year deduction of two times that overage from
that individual commercial harvest quota during the following calendar year.
4. Any overages that range from 476 to 725 pounds shall result
in that overage being permanently deducted from that individual commercial
harvest quota and a one year one-year suspension of that individual
person from the commercial fishery for striped bass.
5. Any overages that are greater than 725 pounds shall result
in the revocation of that individual striped bass permit, and that person shall
not be eligible to apply for a like permit for a period of two years from the
date of revocation.
B. Any second overage by any person of an individual
commercial harvest quota within five years of a previous offense shall result
in penalties prescribed according to the severity of the overage as described
in subdivisions 1 through 4 of this subsection.
1. Any overages that are less than 76 pounds shall result in a
one year one-year deduction of the overage from that individual
commercial harvest quota during the following calendar year.
2. Any overages that range from 76 to 250 pounds shall result
in a one year one-year deduction of two times the overage from
that individual commercial harvest quota during the following calendar year.
3. Any overages that range from 251 to 475 pounds shall result
in the overage being permanently deducted from the individual commercial
harvest quota and a one year one-year suspension of that individual
person from the commercial fishery for striped bass.
4. Any overages that are greater than 475 pounds shall result
in the revocation of that individual striped bass permit, and that individual
person shall not be eligible to apply for a like permit for a period of
two years from the date of revocation.
C. Any third overage by any person of an individual
commercial harvest quota within five years of two previous offenses shall
result in penalties prescribed according to the severity of the overage as
described in subdivisions 1 through 3 of this subsection.
1. Any overages that are less than 76 pounds shall result in a
one year one-year deduction of two times the overage from that
individual commercial harvest quota during the following calendar year.
2. Any overages that range from 76 to 250 pounds shall result
in the overage being permanently deducted from that individual commercial
harvest quota and a one year one-year suspension of the individual
person from the commercial fishery for striped bass.
3. Any overages that are greater than 250 pounds shall result
in the revocation of that individual striped bass permit, and that person shall
not be eligible to apply for a like permit for a period of two years from the
date of revocation.
D. Any fourth overage by any person of an individual
commercial harvest quota within five years of three previous offenses shall
result in penalties prescribed according to the severity of the overage as
described in subdivisions 1 and 2 of this subsection.
1. Any overages that are less than 76 pounds shall result in
the overage being permanently deducted from that individual commercial harvest
quota and a one year one-year suspension of the individual
person from the commercial fishery for striped bass.
2. Any overages that are greater than 75 pounds shall result
in the revocation of that individual striped bass permit, and that individual
person shall not be eligible to apply for a like permit for a period of
two years from the date of revocation.
4VAC20-252-160. Individual transferable shares; tagging.
A. For each person permitted under the provisions of
4VAC20-252-130 to harvest striped bass commercially, a weight quota shall be
issued to permitted fishermen in amounts equal to the percentage share of the
Chesapeake Bay area and coastal area striped bass harvest quota they
hold. Tags issued for Chesapeake Bay area harvest quota shall only be
used for striped bass harvests in the Chesapeake Bay area, and tags
issued for the coastal area harvest quota shall only be used for striped bass
harvests in the coastal area.
B. It shall be unlawful for any person onboard any vessel to
possess any striped bass tags in Virginia waters, according to the following
provisions:
1. It shall be unlawful for any person onboard any vessel to
set, place, or fish any gear that can harvest striped bass in the Chesapeake Bay
area when in possession of coastal area striped bass tags issued by the
Virginia Marine Resources Commission or striped bass tagged with coastal area
tags.
2. It shall be unlawful for any person to possess Virginia
coastal area striped bass tags in the Chesapeake Bay area or striped
bass tagged with coastal area tags except when transiting the Chesapeake Bay
area.
3. It shall be unlawful for any person to possess striped bass
tags issued for previous years for the Chesapeake Bay area, coastal
area, or any other jurisdiction.
4. It shall be unlawful for any person to possess Potomac
River Fisheries Commission striped bass tags in Virginia waters, except when
transiting the Virginia tributaries of the Potomac River to land in Virginia
and as provided by subsection C of this section.
5. It shall be unlawful for any person to possess any
non-Virginia jurisdictional striped bass tags in Virginia waters or striped bass
tagged with any non-Virginia jurisdictional striped bass tags, except as
provided by subdivision 4 of this subsection and subsection C of this section.
6. Any violation of this subsection shall result in the
confiscation and impoundment of all striped bass tags or striped bass on the
vessel.
C. It shall be unlawful for any person onboard any vessel to
possess any striped bass tags in the Great Wicomico-Tangier Striped Bass
Management Area except current year striped bass tags issued by the
jurisdictions of the Virginia Marine Resources Commission, State of Maryland,
or Potomac River Fisheries Commission and according to the following
provisions:
1. It shall be unlawful for any person onboard any vessel to
possess more than one jurisdiction's tags or more than one jurisdiction's
tagged striped bass in the Great Wicomico-Tangier Striped Bass Management Area.
2. It shall be unlawful for any person onboard any vessel to
place, set, or fish any gear that can harvest striped bass in the Great
Wicomico-Tangier Striped Bass Management Area when in possession of any striped
bass tags not issued by the Virginia Marine Resources Commission.
3. Any violation of this subsection shall result in the
confiscation and impoundment of all striped bass tags or striped bass on the
vessel.
D. Shares of the commercial striped bass quota held by any
permitted fisherman may be transferred to any other person who is a licensed
registered commercial fisherman; such transfer shall allow the transferee to
harvest striped bass in a quantity equal to the share transferred. Any transfer
of striped bass commercial shares shall be limited by the following conditions:
1. Shares of commercial striped bass quota shall not be
permanently transferred in any quantity less than 500 pounds, or 100% of unused
permanent shares, in any year from February 1 through October 31. Permanent
transfers of shares of commercial striped bass quota shall be prohibited from
November 1 through January 31.
2. Shares of commercial striped bass quota shall not be temporarily
transferred in any quantity less than 500 pounds from February 1 through
October 31 or less than 200 pounds from November 1 through December 15.
Temporary transfers of shares of commercial striped bass quota shall be
prohibited from December 16 through January 31.
3. No licensed registered commercial fisherman shall hold more
than 2.0% of the total annual Chesapeake Bay area commercial striped
bass harvest quota or more than 11% of the total annual coastal area commercial
striped bass harvest quota.
4. No transfer of striped bass commercial harvest quota shall
be authorized by the commission unless transferor and transferee provide
up-to-date records of all commercial landings of striped bass and striped bass
tag use to the commission prior to such transfer.
5. No transfer of striped bass commercial harvest quota shall
be authorized unless such transfer is documented on a form provided by the
Virginia Marine Resources Commission, notarized by a lawful Notary Public, and
approved by the commissioner.
E. Transfers of Chesapeake Bay area or coastal area
striped bass commercial quota from one person to another may be permanent or
temporary. Transferred quota from the Chesapeake Bay area striped bass
commercial quota shall only be used by the transferee for striped bass
harvested from the Chesapeake Bay area, and transferred quota from the
coastal area striped bass commercial quota shall only be used by the transferee
for striped bass harvested from the coastal area. Permanent transfers of
commercial quota shall grant to the transferee that transferred percentage of
the quota for future years, and the transferor loses that same transferred
percentage of the quota in future years. Temporary transfers of individual
striped bass commercial harvest quota shall allow the transferee to harvest
only that transferred percentage of the quota during the year in which the
transfer is approved. Transferors are solely responsible for any overage of the
transferred percentage of the quota by the transferee. Thereafter, any percentage
of the transferred striped bass commercial quota, less any overage incurred by
the transferee, reverts back to the transferor.
F. The commission will issue striped bass tags to permitted
striped bass commercial fishermen as follows: those fishermen permitted only
for Chesapeake Bay area or coastal area harvests of striped bass will
receive their allotment of tags prior to the start of the fishing season. Any
permitted fisherman, eligible for both Chesapeake Bay area and
coastal area tags, shall receive only one type of area-specific tag
allotment, of his choosing, prior to the start of the fishing season, and his
other type of area-specific tags will be distributed when it has been
determined from the commission's mandatory harvest reporting program that the
fisherman has used all of his first allotment of tags and has not exceeded his
individual harvest quota. The commissioner may authorize the distribution of
the second allotment of area-specific tags to a fisherman eligible for both
Chesapeake Bay area and Coastal area tags prior to that fisherman's
complete use of his first allotment of tags, provided that fisherman
surrenders any remaining tags of his first allotment of tags.
G. Striped bass tags are valid only for use by the permittee
to whom the tags were allotted. The permittee shall be on board the boat or
vessel when striped bass are harvested and tags are applied. Nothing in this
subsection shall prevent a permitted commercial hook-and-line fisherman from
using three crew members who are not registered commercial fishermen to assist
in the harvest of his allotment of striped bass.
H. At the place of capture, and before leaving that place of
capture, tags shall be passed through the mouth of the fish and one gill
opening, and interlocking ends of the tag shall then be connected such that the
tag may only be removed by breaking. Failure to comply with these provisions
shall be a violation of this chapter.
I. It shall be unlawful to bring to shore any commercially
caught striped bass that has not been tagged at the place of capture by the
fisherman with a tamper evident, numbered tag provided by the commission. It
shall be unlawful to possess striped bass in a quantity greater than the number
of tags in possession. If a permittee violates this section, the entire amount
of untagged striped bass, as well as the number of tags equal to the amount of
striped bass in his possession, shall be confiscated. Any confiscated striped
bass shall be considered as a removal from that permittee's harvest quota. Any
confiscated striped bass tags shall be impounded by the commission. Upon
confiscation, the marine police officer shall inventory the confiscated striped
bass and may redistribute the catch by one or a combination of the following
methods:
1. The marine police officer shall secure a minimum of two
bids for purchase of the confiscated striped bass from approved and licensed
seafood buyers. The confiscated fish will be sold to the highest bidder, and
all funds derived from such sale shall be deposited to the Commonwealth pending
court resolution of the charge of violating the possession limits established
in this chapter. All of the collected funds and confiscated tags will be
returned to the accused upon a finding of innocence or forfeited to the Commonwealth
upon a finding of guilt.
2. The marine police officer shall provide the confiscated
striped bass to commission staff for biological sampling of the catch. Upon
receipt of confiscated striped bass, commission staff will secure a minimum of
two estimates of value per pound for striped bass from approved and licensed
seafood buyers. The confiscated tags and the estimated value of confiscated
striped bass provided for biological sampling will be reimbursed to the accused
upon a finding of innocence or retained by the commission upon a finding of
guilt.
J. Altering or attempting to alter any tag for the purpose of
reuse shall constitute a violation of this chapter.
K. Prior to receiving any commercial season's allotment of
striped bass tags, a permitted commercial harvester shall be required to have
returned all unused tags from the previous commercial season to the commission
within 30 days of harvesting their individual harvest quota, or by the second
Thursday in January, whichever comes first. Any unused tags that cannot be
turned in to the commission shall be accounted for by the harvester submitting
an affidavit to the commission that explains the disposition of the unused tags
that are not able to be turned into the commission. Each individual person
shall be required to pay a processing fee of $25, plus $0.13 per tag, for any
unused tags that are not turned in to the commission.
L. Any individual person with remaining unused
striped bass commercial quota in the current year requesting additional
commercial season striped bass tags shall provide up-to-date records of
landings and account for all previously issued tags prior to receiving an
additional allotment of tags. The harvester shall submit an affidavit to the
commission that explains the disposition of the tags that are not accounted for
and shall be required to pay a processing fee of $25, plus $0.13 per tag, for
such tags to the commission.
M. For the commercial fishing season, one type of tag shall
be distributed to Chesapeake Bay area permittees and one type of tag
shall be distributed to coastal area permittees. For the Chesapeake Bay
area, the tag shall only be used on striped bass 18 inches or greater in total
length. For the coastal area, the tag shall only be used on striped bass 28
inches or greater in total length. The possession of any improperly tagged
striped bass by any permitted striped bass fisherman shall be a violation of
this chapter.
4VAC20-252-200. Inspection of facilities; diseased fish.
A. Inspections. Agents of the commission and the Department
of Game and Inland Fisheries Wildlife Resources are authorized to
make periodic inspection of the facilities and the stock of each operation
permitted under this section. Every person engaged in the business of striped
bass aquaculture shall allow such inspection at any reasonable time.
B. Diseased fish. No person permitted under this chapter
shall maintain in the permitted facility any fish which shows evidence of any
contagious disease listed in the most current list by the United States Fish
and Wildlife Service as "certifiable diseases," except for the period
required for application of standard treatment procedures or for approved disposition.
C. Disposition. No person permitted under this chapter shall
sell or otherwise transfer possession of any striped bass or hybrid striped
bass which shows evidence of a "certifiable disease" to any person,
except that such transfer may be made to a fish pathologist for examination and
diagnosis.
4VAC20-252-210. Sale, records, importation, release.
A. All striped bass or hybrid striped bass except
fingerlings, fry, and eggs, which are the product of an aquaculture facility
permitted under this section shall be packaged with a printed label bearing the
name, address, and permit number of the aquaculture facility. When so packaged
and labeled such fish may be transported and sold at retail or at wholesale for
commercial distribution through normal channels of trade until reaching the
ultimate consumer. Every such sale must be accompanied by a receipt showing the
date of sale, the name, address and permit number of the aquaculture facility,
the numbers and species of fish sold, and the name of the purchaser. Each
subsequent resale must be accompanied by a receipt clearly identifying the
seller by name and address, showing the number and species of the fish sold,
the date sold, the permit number of the aquaculture facility and, if the sale
is to other than the ultimate consumer, the name and address of the purchaser.
The purchaser in possession of such fish must exhibit the receipt on demand of
any law enforcement officer. A duplicate copy of each such receipt must be
retained for one year by the seller as part of the records of each transaction.
B. Each permitted aquaculture facility operator shall
maintain a chronological file of the receipts or copies thereof showing the
dates and sources of acquisitions of striped bass or hybrid striped bass and
quantities thereof, and a chronological file of copies of receipts of his sales
required under subsection A of this section. Such records shall be segregated
as to each permit year, shall be made available for inspection by any
authorized agent of the commission or Department of Game and Inland
Fisheries Wildlife Resources, and shall be retained for at least one
year following the close of the permit year to which they pertain.
C. Striped bass or hybrid striped bass which are the product
of an approved and state permitted aquaculture facility in another state may be
imported into Virginia for the consumer market. Such fish shall be packaged and
labeled in accordance with the provisions contained in subsection A of this
section. Any sale of such fish also shall be accompanied by receipts as
described in subsection A of this section.
D. Release of live fish. Under no circumstance shall striped
bass which are the product of an aquaculture facility located within or outside
the Commonwealth of Virginia be placed into the waters of the Commonwealth
without first having notified the commission and having received written
permission from the Commissioner of Marine Resources.
VA.R. Doc. No. R20-6468; Filed July 29, 2020, 2:41 p.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
MARINE RESOURCES COMMISSION
Final Regulation
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: 4VAC20-280. Pertaining to
Speckled Trout and Red Drum (amending 4VAC20-280-20 through 4VAC20-280-55).
Statutory Authority: § 28.2-201 of the Code of Virginia.
Effective Date: August 1, 2020.
Agency Contact: Jennifer Farmer, Regulatory Coordinator,
Marine Resources Commission, 380 Fenwick Road, Fort Monroe, VA 23651, telephone
(757) 247-2248, or email jennifer.farmer@mrc.virginia.gov.
Summary:
The amendments (i) require seafood buyers to report
purchases of speckled trout on the day of purchase during the period of August
1 through November 30 of each year, (ii) remove an obsolete provision
applicable only in 2014, and (iii) make technical changes.
4VAC20-280-20. Definitions.
The following words and terms, when used in this chapter,
shall have the following meanings unless the context clearly indicates
otherwise.
"Red drum" means red drum or channel bass and is
any fish of the species Sciaenops ocellatus.
"Snout" means the most forward projection from a
fish's head that includes the upper and lower jaw.
"Speckled trout" means speckled trout or spotted
seatrout and is any fish of the species Cynoscion nebulosus.
"Total length" means the length of a fish measured
from the most forward projection of the snout, with the mouth closed, to the
tip of the longer lobe of the tail (caudal) fin, measured with the tail
compressed along the midline, using a straight-line measure, not measured over
the curve of the body.
4VAC20-280-30. Size limits.
A. It shall be unlawful for any person to take, catch, or
possess any speckled trout less than 14 inches in total length, provided
however the catch of speckled trout by pound net or haul seine may consist of
up to 5.0%, by weight, of speckled trout less than 14 inches in total length.
B. It shall be unlawful for any person fishing commercially
with commercial hook and line hook-and-line gear, or fishing
recreationally with any gear type to possess more than one speckled trout 24
inches or greater in any one day from January 1 through December 31, except as
described in 4VAC20-280-40 B.
C. It shall be unlawful for any person fishing recreationally
with any gear type to take, catch, or possess any red drum less than 18 inches
in total length or greater than 26 inches in total length.
D. It shall be unlawful for any person fishing commercially
with any gear type to take, catch, or possess any red drum less than 18 inches
in total length or greater than 25 inches in total length.
4VAC20-280-40. Possession limits.
A. It shall be unlawful for any person fishing commercially
with commercial hook and line hook-and-line gear or
recreationally with any gear type to possess more than five speckled trout in
any one day from January 1 through December 31, except as described in
subsection B of this section.
B. It shall be unlawful for any person fishing
commercially with commercial hook and line gear or recreationally with any gear
type to take, harvest, or possess any speckled trout from March 1 through July
31, 2014.
C. B. It shall be unlawful for any person
fishing recreationally with any gear type to possess more than three red drum.
D. C. It shall be unlawful for any person
fishing commercially with any gear type to possess more than five red drum.
4VAC20-280-50. Commercial landings quota and daily bycatch
limit.
A. For each 12-month period of September 1 through August 31,
the commercial landings of speckled trout shall be limited to 51,104 pounds.
B. When it is projected and announced that 80% of the
commercial landings quota has been taken, it shall be unlawful for any
commercial fisherman registration licensee to take, harvest, land, or possess a
daily bycatch limit of greater than 100 pounds of speckled trout, and that
daily bycatch landing limit of speckled trout shall consist of at least an
equal amount of other fish species.
C. When it is projected that the commercial landings quota
will be met by a certain date within the above period, the Marine Resources
Commission will provide notice of the closing date for commercial harvest and
landing of speckled trout during that period, and it shall be unlawful for any
person to harvest or land speckled trout for commercial purposes after such
closing date for the remainder of that period.
4VAC20-280-55. Seafood buyer reporting requirements.
On each Monday, from August 1 through November 30, of an
open commercial season for speckled trout, any Any licensed seafood
buyer who purchased purchases speckled trout during the
previous seven days from August 1 through November 30 shall contact
report daily purchases in pounds using the commission's interactive
voice recording system and report any purchases of speckled trout, in
pounds, during the previous seven days on the day of purchase.
VA.R. Doc. No. R20-6466; Filed July 28, 2020, 5:30 p.m.
TITLE 4. CONSERVATION AND NATURAL RESOURCES
MARINE RESOURCES COMMISSION
Emergency Regulation
Title of Regulation: 4VAC20-540. Pertaining to
Spanish and King Mackerel (amending 4VAC20-540-30, 4VAC20-540-40,
4VAC20-540-50).
Statutory Authority: §§ 28.2-201 and 28.2-210 of the
Code of Virginia.
Agency Contact: Jennifer Farmer, Regulatory Coordinator,
Marine Resources Commission, 380 Fenwick Road, Fort Monroe, VA 23651, telephone
(757) 247-2248, or email jennifer.farmer@mrc.virginia.gov.
Preamble:
The emergency action establishes a 500-pound daily per
vessel bycatch provision in state waters for the Spanish mackerel commercial
fishery to coincide with any federal waters closure announced by the National
Marine Fisheries Service.
4VAC20-540-30. Possession Recreational possession
limits established.
A. It shall be unlawful for any person fishing with hook
and line hook-and-line, hand line, rod and reel, spear or,
gig, or other recreational gear to possess more than 15 Spanish mackerel
or more than three king mackerel.
B. When fishing from a boat or vessel, where the
entire catch is held in a common hold or container, the possession limits shall
be for the boat or vessel and shall be equal to the number of persons on board
legally eligible to fish multiplied by 15 for Spanish mackerel or multiplied by
three for king mackerel. The captain or operator of the boat or vessel shall be
responsible for any boat or vessel possession limit.
C. The possession limit provisions established in this
section shall not apply to persons harvesting Spanish mackerel or king mackerel
with licensed commercial gear.
4VAC20-540-40. Minimum size limits established.
A. Minimum size limit for Spanish mackerel is established at
14 inches in total length.
B. Minimum size limit for king mackerel is established at 27
inches in total length.
C. It shall be unlawful for any person to take, catch,
or possess any Spanish mackerel less than 14 inches in total length.
D. Except as provided in subsection E of this section it
shall be unlawful for any person to take, catch, or possess any king
mackerel less than 27 inches in total length.
E. Nothing in this section shall prohibit the taking,
catching, or possession of any king mackerel, less than 27 inches in
total length, by a licensed pound net.
4VAC20-540-50. Trip Commercial trip limit established.
A. It shall be unlawful for any person to possess
or land in Virginia any amount of Spanish mackerel in excess of 3,500
pounds from any vessel in any one day, except as specified in subsection B
of this section.
B. When a commercial
closure in federal waters for the Northern Zone Atlantic Migratory Group
Spanish Mackerel is announced by the National Marine Fisheries Service, it
shall be unlawful for any person to possess or land in Virginia any amount of
Spanish mackerel in excess of 500 pounds from any vessel in any one day. This federal
closure and state water per trip possession limit will be posted on the Marine
Resources Commission website.
VA.R. Doc. No. R20-6467; Filed July 29, 2020, 12:29 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: 4VAC20-1090. Pertaining to Licensing Requirements and License Fees (amending 4VAC20-1090-30).
Statutory Authority: § 28.2-201 of the Code of Virginia.
Effective Date: January 1, 2021.
Agency Contact: Jennifer Farmer, Regulatory Coordinator, Marine Resources Commission, 380 Fenwick Road, Fort Monroe, VA 23651, telephone (757) 247-2248, or email jennifer.farmer@mrc.virginia.gov.
Summary:
The amendment adds the annual license fee for electrofishing of catfish.
4VAC20-1090-30. License fees.
The following listing of license fees applies to any person who purchases a license for the purposes purpose of harvesting for commercial purposes, or fishing for recreational purposes, during any calendar year. The fees listed below include a $1.00 agent fee.
1. COMMERCIAL LICENSES |
Commercial Fisherman Registration License | $190.00 |
Commercial Fisherman Registration License for a person 70 years or older | $90.00 |
Delayed Entry Registration | $190.00 |
Delayed Entry Registration License for a person 70 years or older | $90.00 |
Seafood Landing License for each boat or vessel | $175.00 |
For each Commercial Fishing Pier over or upon subaqueous beds (mandatory) | $83.00 |
Seafood Buyer's License -- For each boat or motor vehicle | $63.00 |
Seafood Buyer's License -- For each place of business | $126.00 |
Clam Aquaculture Product Owner's Permit | $10.00 |
Oyster Aquaculture Product Owner's Permit | $10.00 |
Clam Aquaculture Harvester's Permit | $5.00 |
Oyster Aquaculture Harvester's Permit | $5.00 |
Nonresident Harvester's License | $444.00 |
2. OYSTER RESOURCE USER FEES |
Any licensed commercial fisherman harvesting oysters by hand | $50.00 |
For any harvester using one or more gear types to harvest oysters or for any registered commercial fisherman who solely harvests or possesses any bushel limit described in 4VAC20-720-80, only one oyster resource user fee, per year, shall be paid | $300.00 |
On any business shucking or packing no more than 1,000 gallons of oysters | $500.00 |
On any business shucking or packing more than 1,000 but no more than 10,000 gallons of oysters | $1,000.00 |
On any business shucking or packing more than 10,000 but no more than 25,000 gallons of oysters | $2,000.00 |
On any business shucking or packing more than 25,000 gallons of oysters | $4,000.00 |
On any oyster buyer using a single truck or location | $100.00 |
On any oyster buyer using multiple trucks or locations | $300.00 |
Commercial aquaculture operation, on riparian assignment or general oyster planting grounds | $50.00 |
3. OYSTER HARVESTING, SHUCKING, RELAY, AND BUYERS LICENSES |
Any person purchasing oysters caught from the public grounds of the Commonwealth or the Potomac River, for a single place of business with one boat or motor vehicle used for buying oysters | $50.00 |
Any person purchasing oysters caught from the public grounds of the Commonwealth or the Potomac River, for a single place of business with multiple boats or motor vehicles used for buying oysters | $100.00 |
For each person taking oysters by hand, or with ordinary tongs | $10.00 |
For each single-rigged patent tong boat taking oysters | $35.00 |
For each double-rigged patent tong boat taking oysters | $70.00 |
Oyster Dredge Public Ground | $50.00 |
Oyster Hand Scrape | $50.00 |
To shuck and pack oysters, for any number of gallons under 1,000 | $12.00 |
To shuck and pack oysters, for 1,000 gallons, up to 10,000 | $33.00 |
To shuck and pack oysters, for 10,000 gallons, up to 25,000 | $74.00 |
To shuck and pack oysters, for 25,000 gallons, up to 50,000 | $124.00 |
To shuck and pack oysters, for 50,000 gallons, up to 100,000 | $207.00 |
To shuck and pack oysters, for 100,000 gallons, up to 200,000 | $290.00 |
To shuck and pack oysters, for 200,000 gallons or over | $456.00 |
One-day permit to relay condemned shellfish from a general oyster planting ground | $150.00 |
4. BLUE CRAB HARVESTING AND SHEDDING LICENSES, EXCLUSIVE OF CRAB POT LICENSES |
For each person taking or catching crabs by dip nets | $13.00 |
For ordinary trotlines | $13.00 |
For patent trotlines | $51.00 |
For each single-rigged crab-scrape boat | $26.00 |
For each double-rigged crab-scrape boat | $53.00 |
For up to 210 peeler pots | $36.00 |
For up to 20 tanks and floats for shedding crabs | $9.00 |
For more than 20 tanks or floats for shedding crabs | $19.00 |
For each crab trap or crab pound | $8.00 |
5. CRAB POT LICENSES |
For up to 85 crab pots | $48.00 |
For over 85 but not more than 127 crab pots | $79.00 |
For over 127 but not more than 170 crab pots | $79.00 |
For over 170 but not more than 255 crab pots | $79.00 |
For over 255 but not more than 425 crab pots | $127.00 |
6. HORSESHOE CRAB AND LOBSTER LICENSES |
For each person harvesting horseshoe crabs by hand | $16.00 |
For each boat engaged in fishing for or landing of lobster using less than 200 pots | $41.00 |
For each boat engaged in fishing for or landing of lobster using 200 pots or more | $166.00 |
7. CLAM HARVESTING LICENSES |
For each person taking or harvesting clams by hand, rake, or with ordinary tongs | $24.00 |
For each single-rigged patent tong boat taking clams | $58.00 |
For each double-rigged patent tong boat taking clams | $84.00 |
For each boat using clam dredge (hand) | $19.00 |
For each boat using clam dredge (power) | $44.00 |
For each boat using hydraulic dredge to catch soft shell clams | $83.00 |
For each person taking surf clams | $124.00 |
Water Rake Permit | $24.00 |
8. CONCH (WHELK) HARVESTING LICENSES |
For each boat using a conch dredge | $58.00 |
For each person taking channeled whelk by conch pot | $51.00 |
9. FINFISH HARVESTING LICENSES |
Each pound net | $41.00 |
Each stake gill net of 1,200 feet in length or under, with a fixed location | $24.00 |
All other gill nets up to 600 feet | $16.00 |
All other gill nets over 600 feet and up to 1,200 feet | $24.00 |
Each person using a cast net or throw net or similar device | $13.00 |
Each fyke net head, weir, or similar device | $13.00 |
For fish trotlines | $19.00 |
Each person using or operating a fish dip net | $9.00 |
On each haul seine used for catching fish, under 500 yards in length | $48.00 |
On each haul seine used for catching fish, from 500 yards in length to 1,000 yards in length | $146.00 |
For each person using commercial hook and line | $31.00 |
For each person using commercial hook and line for catching striped bass only | $31.00 |
For up to 100 fish pots | $19.00 |
For over 100 but not more than 300 fish pots | $24.00 |
For over 300 fish pots | $62.00 |
For up to 100 eel pots | $19.00 |
For over 100 but not more than 300 eel pots | $24.00 |
For over 300 eel pots | $62.00 |
For each person electrofishing catfish | $100.00 |
10. MENHADEN HARVESTING LICENSES Any person purchasing more than one of the following licenses, as described in this subsection, for the same vessel, shall pay a fee equal to that for a single license for the same vessel. |
On each boat or vessel under 70 gross tons fishing for the purse seine menhaden reduction sector | $249.00 |
On each vessel 70 gross tons or over fishing for the purse seine menhaden reduction sector | $996.00 |
On each boat or vessel under 70 gross tons fishing for the purse seine menhaden bait sector | $249.00 |
On each vessel 70 gross tons or over fishing for the purse seine menhaden bait sector | $996.00 |
11. COMMERCIAL GEAR FOR RECREATIONAL USE |
Up to five crab pots with a terrapin excluder device | $36.00 |
Up to five crab pots without a terrapin excluder device | $46.00 |
Crab trotline (300 feet maximum) | $10.00 |
One crab trap or crab pound | $6.00 |
One gill net up to 300 feet in length | $9.00 |
Fish dip net | $7.00 |
Fish cast net | $10.00 |
Up to two eel pots | $10.00 |
12. SALTWATER RECREATIONAL FISHING LICENSE |
Individual, resident | $17.50 |
Individual, nonresident | $25.00 |
Temporary 10-Day, resident | $10.00 |
Temporary 10-Day, nonresident | $10.00 |
Recreational boat, resident | $48.00 |
Recreational boat, nonresident, provided a nonresident may not purchase a recreational boat license unless his boat is registered in Virginia | $76.00 |
Head Boat/Charter Boat, resident, six or less passengers | $190.00 |
Head Boat/Charter Boat, nonresident, six or less passengers | $380.00 |
Head Boat/Charter Boat, resident, more than six passengers, plus $5.00 per person, over six persons | $190.00 |
Head Boat/Charter Boat, nonresident, more than six passengers, plus $5.00 per person, over six persons | $380.00 |
Rental Boat, resident, per boat, with maximum fee of $703 | $14.00 |
Rental Boat, nonresident, per boat, with maximum fee of $1270 | $18.00 |
Commercial Fishing Pier (Optional) | $632.00 |
Disabled Resident Lifetime Saltwater License | $10.00 |
Disabled Nonresident Lifetime Saltwater License | $10.00 |
Reissuance of Saltwater Recreational Boat License | $5.00 |
13. COMBINED SPORTFISHING LICENSE This license is to fish in all inland waters and tidal waters of the Commonwealth during open season. |
Residents | $39.50 |
Nonresidents | $71.00 |
14. COMBINED SPORTFISHING TRIP LICENSE This license is to fish in all inland waters and tidal waters of the Commonwealth during open season for five consecutive days. |
Residents | $24.00 |
Nonresidents | $31.00 |
15. TIDAL BOAT SPORTFISHING LICENSE |
Residents | $126.00 |
Nonresidents | $201.00 |
16. LIFETIME SALTWATER RECREATIONAL FISHING LICENSES |
Individual Resident Lifetime License | $276.00 |
Individual Nonresident Lifetime License | $500.00 |
Individual Resident Lifetime License age 45 - 50 | $132.00 |
Individual Nonresident Lifetime License age 45 - 50 | $240.00 |
Individual Resident Lifetime License age 51 - 55 | $99.00 |
Individual Nonresident Lifetime License 51 - 55 | $180.00 |
Individual Resident Lifetime License age 56 - 60 | $66.00 |
Individual Nonresident Lifetime License age 56 - 60 | $120.00 |
Individual Resident Lifetime License age 61 - 64 | $35.00 |
Individual Nonresident Lifetime License age 61 - 64 | $60.00 |
Individual Resident Lifetime License age 65 and older | $5.00 |
VA.R. Doc. No. R20-6465; Filed July 28, 2020, 1:19 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
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 Department of Medical
Assistance Services will receive, consider, and respond to petitions by any
interested person at any time with respect to reconsideration or revision.
Title of Regulation: 12VAC30-50. Amount, Duration,
and Scope of Medical and Remedial Care Services (amending 12VAC30-50-335, 12VAC30-50-345).
Statutory Authority: § 32.1-325 of the Code of Virginia;
Title XIX of the Social Security Act (42 USC § 1396 et seq.).
Effective Date: September 16, 2020.
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.
Summary:
The amendments conform the Programs of All-Inclusive Care
for the Elderly (PACE) regulations to federal regulations, including (i)
changing the description of the required "quality management and
performance" program to be a "quality improvement" program; (ii)
allowing either the Medicaid capitation rate or the Medicaid payment rate
methodology to be included in program agreement between the Department of
Medical Assistance Services and the Centers for Medicare and Medicaid Services
(CMS); (iii) requiring PACE providers to retain business and professional
records for at least 10 years; (iv) requiring PACE providers planning a change
of ownership to notify CMS and the department in writing at least 60 days
before the anticipated effective date of the change; and (v) allowing the
participant to disenroll from the PACE program at any time and have such
disenrollment be effective on the first day of the month following the date the
provider organization receives the participant's notice of voluntary
disenrollment.
12VAC30-50-335. General PACE plan requirements.
A. DMAS, the state agency responsible for administering
Virginia's Medicaid program, shall only enter into PACE plan contracts with
approved PACE plan providers. The PACE provider must have an agreement with CMS
and DMAS for the operation of a PACE program. The agreement must include:
1. Designation of the program's service area;
2. The program's commitment to meet all applicable federal,
state, and local requirements;
3. The effective date and term of the agreement;
4. The description of the organizational structure;
5. Participant bill of rights;
6. Description of grievance and appeals processes;
7. Policies on eligibility, enrollment, and disenrollment;
8. Description of services available;
9. Description of the organization's quality management
and performance improvement program;
10. A statement of levels of performance required on standard
quality measures;
11. CMS and DMAS data requirements;
12. The Medicaid capitation rate or Medicaid payment rate
methodology and the methodology used to calculate the Medicare capitation
rate;
13. Procedures for program termination; and
14. A statement to hold harmless CMS, the state, and PACE
participants if the PACE organization does not pay for services performed by
the provider in accordance with the contract.
B. A PACE plan feasibility study shall be performed before
DMAS enters into any PACE plan contract. DMAS shall contract only with those
entities it determines to have the ability and resources to effectively operate
a PACE plan. A feasibility plan shall only be submitted in response to a
Request for Applications published by DMAS.
C. PACE plans shall offer a voluntary comprehensive
alternative to enrollees who would otherwise be placed in a nursing facility.
PACE plan services shall be comprehensive and offered as an alternative to
nursing facility admission.
D. All Medicaid-enrolled PACE participants shall continue to
meet the nonfinancial and financial Medicaid eligibility criteria established
by federal law and these regulations this chapter. This
requirement shall not apply to Medicare only or private pay PACE participants.
E. Each PACE provider shall operate a PACE site that is in
continuous compliance with all state licensure requirements for that site.
F. Each PACE provider shall ensure that services are provided
by health care providers and institutions that are in continuous compliance
with state licensure and certification requirements.
G. Each PACE plan shall meet the requirements of
§§ 32.1-330.2 and 32.1-330.3 of the Code of Virginia and 42 CFR Part
460.
H. All PACE providers must meet the general requirements and
conditions for participation pursuant to the required contracts by DMAS and
CMS. All providers must sign the appropriate participation agreement. All
providers must adhere to the conditions of participation outlined in the
participation agreement and application to provide PACE services, DMAS regulations,
policies and procedures, and CMS requirements pursuant to 42 CFR Part 460.
I. Requests for participation as a PACE provider will be
screened by DMAS to determine whether the provider applicant meets these basic
requirements for participation and demonstrates the abilities to perform, at a
minimum, the following activities:
1. Immediately notify DMAS, in writing, of any change in the
information that the provider previously submitted to DMAS.
2. Assure freedom of choice to individuals in seeking services
from any institution, pharmacy, practitioner, or other provider qualified to
perform the service or services required and participating in the
Medicaid Program at the time the service or services are performed.
3. Assure the individual's freedom to refuse medical care,
treatment, and services.
4. Accept referrals for services only when qualified staff is
available to initiate and perform such services on an ongoing basis.
5. Provide services and supplies to individuals in full
compliance with Title VI of the Civil Rights Act of 1964, as amended (42 USC §
2000 et seq.), which prohibits discrimination on the grounds of race, color,
religion, sexual orientation, or national origin; the Virginians with
Disabilities Act (§ 51.5-1 et seq. of the Code of Virginia); § 504 of the
Rehabilitation Act of 1973, as amended (29 USC § 794), which prohibits
discrimination on the basis of a disability; and the Americans with
Disabilities Act of 1990, as amended (42 USC § 12101 et seq.), which provides
comprehensive civil rights protections to individuals with disabilities in the
areas of employment, public accommodations, state and local government
services, and telecommunications.
6. Provide services and supplies to individuals of the same
quality and in the same mode of delivery as is provided to the general public.
7. Use only DMAS-designated forms for service documentation.
The provider must not alter the DMAS forms in any manner unless approval from
DMAS is obtained prior to using the altered forms.
8. Not perform any type of direct marketing activities to
Medicaid individuals.
9. Maintain and retain business and professional records
sufficient to document fully and accurately the nature, scope, and details of
the services provided.
a. In general, such records shall be retained for at least six
10 years from the last date of service services or as
provided by applicable federal and state laws, whichever period is longer.
However, if an audit is initiated within the required retention period, the
records shall be retained until the audit is completed and every exception
resolved. Records of minors shall be kept for at least six years after such
minor has reached the age of 18 years. However, records for Medicare Part D
shall be maintained for 10 years in accordance with 42 CFR 423.505(d).
b. Policies regarding retention of records shall apply even if
the provider discontinues operation. DMAS shall be notified in writing of the
storage location and procedures for obtaining records for review. The location,
agent, or trustee shall be within the Commonwealth.
10. Furnish information on request and in the form requested
to DMAS, the Attorney General of Virginia or his authorized representatives,
federal personnel, and the state Medicaid Fraud Control Unit. The
Commonwealth's right of access to provider agencies and records shall survive
any termination of the provider agreement.
11. Disclose, as requested by DMAS, all financial, beneficial,
ownership, equity, surety, or other interests in any and all firms,
corporations, partnerships, associations, business enterprises, joint ventures,
agencies, institutions, or other legal entities providing any form of health
care services to individuals of Medicaid.
12. Pursuant to 42 CFR 431.300 et seq., 12VAC30-20-90, and any
other applicable federal or state law, all providers shall hold confidential
and use for authorized DMAS purposes only all medical assistance information
regarding individuals served. A provider shall disclose information in his
the provider's possession only when the information is used in
conjunction with a claim for health benefits, or the data are necessary for the
functioning of DMAS in conjunction with the cited laws.
13. CMS and DMAS shall be notified in writing of any change in
the organizational structure of a PACE provider organization at least 14
calendar days before the change takes effect. When planning a change of
ownership, CMS and DMAS shall be notified in writing at least 60 calendar days
before the anticipated effective date of the change.
14. In addition to compliance with the general conditions and
requirements, all providers enrolled by DMAS shall adhere to the conditions of
participation outlined in their individual provider participation agreements
and in the applicable DMAS provider manual. DMAS shall conduct ongoing
monitoring of compliance with provider participation standards and DMAS
policies. A provider's noncompliance with DMAS policies and procedures may
result in a retraction of Medicaid payment or termination of the provider
agreement, or both.
15. Minimum qualifications of staff.
a. All employees must have a satisfactory work record as
evidenced by references from prior job experience, including no evidence of
abuse, neglect, or exploitation of vulnerable adults and children. Prior to the
beginning of employment, a criminal record check shall be conducted for the
provider and each employee and made available for review by DMAS staff.
Providers are responsible for complying with the Code of Virginia and state
regulations regarding criminal record checks and barrier crimes as they pertain
to the licensure and program requirements of their employees' particular
practice areas.
b. Staff must meet any certifications, licensure,
registration, etc., as required by applicable federal and state law. Staff
qualifications must be documented and maintained for review by DMAS or its
authorized contractors.
16. At the time of their admission to services, all providers
participating in the Medicare and Medicaid programs must provide adult
individuals with written information regarding each individual's right to make
medical care decisions, including the right to accept or refuse medical
treatment and the right to formulate advance directives.
J. Provider's conviction of a felony. The Medicaid provider
agreement shall terminate upon conviction of the provider of a felony pursuant
to § 32.1-325 of the Code of Virginia. A provider convicted of a felony in
Virginia or in any other of the 50 states, the District of Columbia, or the
U.S. territories must, within 30 days, notify the Virginia Medicaid Program of
this conviction and relinquish the provider agreement. In addition, termination
of a provider participation agreement will occur as may be required for federal
financial participation.
K. Ongoing quality management review. DMAS shall be
responsible for assuring continued adherence to provider participation
standards. DMAS shall conduct ongoing monitoring of compliance with provider
participation standards and DMAS policies and periodically recertify each provider
for participation agreement renewal with DMAS to provide PACE services.
L. Reporting suspected abuse or neglect. Pursuant to
§§ 63.2-1508 through 63.2-1513 and 63.2-1606 of the Code of Virginia, if a
participating provider entity suspects that a child or vulnerable adult is
being abused, neglected, or exploited, the party having knowledge or suspicion
of the abuse, neglect, or exploitation shall report this immediately to DSS and
to DMAS. In addition, as mandated reporters for vulnerable adults, participating
providers must inform their staff that they are mandated reporters and provide
education regarding how to report suspected adult abuse, neglect, or
exploitation pursuant to § 63.2-1606 F of the Code of Virginia.
M. Documentation requirements. The provider must maintain all
records of each individual receiving services. All documentation in the
individual's record must be completely signed and dated with name of the person
providing the service, title, and complete date with month, day, and year. This
documentation shall contain, up to and including the last date of service, all
of the following:
1. The most recently updated Virginia Uniform Assessment
Instrument (UAI), all other assessments and reassessments, plans of care,
supporting documentation, and documentation of any inpatient hospital
admissions;
2. All correspondence and related communication with the
individual and, as appropriate, consultants, providers, DMAS, DSS, or other
related parties; and
3. Documentation of the date services were rendered and the
amount and type of services rendered.
12VAC30-50-345. PACE enrollee rights.
A. PACE providers shall ensure that enrollees are fully
informed of their rights and responsibilities in accordance with all state and
federal requirements. These rights and responsibilities shall include, but
not be limited to:
1. The right to be fully informed at the time of enrollment
that PACE plan enrollment can only be guaranteed for a 30-day period pursuant
to § 32.1-330.3 F of the Code of Virginia;
2. The right to receive PACE plan services directly from the
provider or under arrangements made by the provider; and
3. The right to be fully informed in writing of any action to
be taken affecting the receipt of PACE plan services.
B. PACE providers shall notify enrollees of the full scope of
services available under a PACE plan, as described in 42 CFR 460.92. The
services shall include, but not be limited to:
1. Medical services, including the services of a PCP and other
specialists;
2. Transportation services;
3. Outpatient rehabilitation services, including physical,
occupational, and speech therapy services;
4. Hospital (acute care) services;
5. Nursing facility (long-term care) services;
6. Prescription drugs;
7. Home health services;
8. Laboratory services;
9. Radiology services;
10. Ambulatory surgery services;
11. Respite care services;
12. Personal care services;
13. Dental services;
14. Adult day health care services, to include social work
services;
15. Interdisciplinary case management services;
16. Outpatient mental health and mental retardation intellectual
disability services;
17. Outpatient psychological services;
18. Prosthetics; and
19. Durable medical equipment and other medical supplies.
C. Services available under a PACE plan shall not include any
of the following:
1. Any service not authorized by the interdisciplinary team
unless such service is an emergency service (i.e., a service provided in the
event of a situation of a serious or urgent nature that endangers the health,
safety, or welfare of an individual and demands immediate action);
2. In an inpatient facility, private room and private duty
nursing services unless medically necessary, and nonmedical items for personal
convenience such as telephones charges and radio or television rental, unless
specifically authorized by the interdisciplinary team as part of the
participant's plan of care;
3. Cosmetic surgery except as described in agency guidance
documents;
4. Any experimental medical, surgical, or other health
procedure; and
5. Any other service excluded under 42 CFR 460.96.
D. PACE providers shall ensure that PACE plan services are at
least as accessible to enrollees as they are to other Medicaid-eligible
individuals residing in the applicable catchment area.
E. PACE providers shall provide enrollees with access to
services authorized by the interdisciplinary team 24 hours per day every day of
the year.
F. PACE providers shall provide enrollees with all
information necessary to facilitate easy access to services.
G. PACE providers shall provide enrollees with identification
documents approved by DMAS. PACE plan identification documents shall give
notice to others of enrollees' coverage under PACE plans.
H. PACE providers shall clearly and fully inform enrollees
each enrollee of their that enrollee's right to disenroll
at will upon giving 30 days' notice any time and have such
disenrollment be effective the first day of the month following the date the
PACE organization receives the enrollee's notice of voluntary disenrollment.
I. PACE providers shall make available to enrollees a
mechanism whereby disputes relating to enrollment and services can be
considered. This mechanism shall be one that is approved by DMAS.
J. PACE providers shall fully inform enrollees of the
individual provider's policies regarding accessing care generally and, in
particular, accessing urgent or emergency care both within and without the
catchment area.
K. PACE providers shall maintain the confidentiality of
enrollees and the services provided to them.
VA.R. Doc. No. R20-6290; Filed July 16, 2020, 10:56 a.m.
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Final Regulation
REGISTRAR'S NOTICE: The
Board of Housing and Community Development is claiming an exemption from
Article 2 of the Administrative Process Act pursuant to § 2.2-4006 A 12 of
the Code of Virginia, which excludes regulations adopted by the Board of
Housing and Community Development pursuant to the Statewide Fire Prevention
Code (§ 27-94 et seq.), the Industrialized Building Safety Law
(§ 36-70 et seq.), the Uniform Statewide Building Code (§ 36-97 et
seq.), and § 36-98.3 of the Code of Virginia, provided the board (i)
provides a Notice of Intended Regulatory Action in conformance with the
provisions of § 2.2-4007.01, (ii) publishes the proposed regulation and
provides an opportunity for oral and written comments as provided in
§ 2.2-4007.03, and (iii) conducts at least one public hearing as provided
in §§ 2.2-4009 and 36-100 prior to the publishing of the proposed
regulations. The Board of Housing and Community Development will receive,
consider, and respond to petitions by any interested person at any time with
respect to reconsideration or revision.
Title of Regulation: 13VAC5-63. Virginia Uniform
Statewide Building Code (amending 13VAC5-63-540).
Statutory Authority: § 36-98 of the Code of Virginia.
Effective Date: September 17, 2020.
Agency Contact: Kyle Flanders, Senior Policy Analyst,
Department of Housing and Community Development, Main Street Centre, 600 East
Main Street, Suite 300, Richmond, VA 23219, telephone (804) 786-6761, FAX (804)
371-7090, TTY (804) 371-7089, or email kyle.flanders@dhcd.virginia.gov.
Summary:
The amendment lowers the required cooling temperature as
provided in the USBC to 77° Fahrenheit, making permanent an emergency regulation
currently in effect.
13VAC5-63-540. Chapter 6 Mechanical and electrical
requirements.
A. Delete the following sections from Chapter 6 of the IPMC:
1. Section 601.2 Responsibility.
2. Section 603.6 Energy conservation devices.
3. Section 604.2 Service.
4. Section 604.3.2 Abatement of electrical hazards associated
with fire exposure.
B. Change the following sections in Chapter 6 of the IPMC to
read:
1. Section 601.1 General. The provisions of this chapter shall
govern the maintenance of mechanical and electrical facilities and equipment.
2. Section 602 Heating and cooling facilities.
3. Section 602.2 Heat supply. Every owner and operator of a
Group R-2 apartment building or other residential building who rents, leases,
or lets one or more dwelling unit, rooming unit, dormitory, or guestroom on
terms, either expressed or implied, to furnish heat to the occupants thereof
shall supply heat during the period from October 15 to May 1 to maintain a
temperature of not less than 68°F (20°C) in all habitable rooms, bathrooms, and
toilet rooms. The code official may also consider modifications as provided in
Section 104.5.2 when requested for unusual circumstances or may issue notice
approving building owners to convert shared heating and cooling piping HVAC systems
14 calendar days before or after the established dates when extended periods of
unusual temperatures merit modifying these dates.
Exception: When the outdoor temperature is below the winter
outdoor design temperature for the locality, maintenance of the minimum room
temperature shall not be required provided that the heating system is operating
at its full design capacity. The winter outdoor design temperature for the
locality shall be as indicated in Appendix D of the IPC.
4. Section 602.3 Occupiable work spaces. Indoor occupiable
work spaces shall be supplied with heat during the period from October 1 to May
15 to maintain a minimum temperature of 65°F (18°C) during the period the
spaces are occupied.
Exceptions:
1. Processing, storage, and operation areas that require
cooling or special temperature conditions.
2. Areas in which persons are primarily engaged in vigorous
physical activities.
5. Section 602.4 Cooling supply. Every owner and operator of a
Group R-2 apartment building who rents, leases, or lets one or more dwelling
units, rooming units, or guestrooms on terms, either expressed or implied, to
furnish cooling to the occupants thereof shall supply cooling during the period
from May 15 to October 1 to maintain a temperature of not more than 80°F
(27°C) 77°F (25°C) in all habitable rooms. The code official may
also consider modifications as provided in Section 104.5.2 when requested for
unusual circumstances or may issue notice approving building owners to convert
shared heating and cooling piping HVAC systems 14 calendar days before or after
the established dates when extended periods of unusual temperatures merit
modifying these dates.
Exception: When the outdoor temperature is higher than the
summer design temperature for the locality, maintenance of the room temperature
shall not be required provided that the cooling system is operating at its full
design capacity. The summer outdoor design temperature for the locality shall
be as indicated in the IECC.
6. Section 603.1 Mechanical equipment and appliances. Required
or provided mechanical equipment, appliances, fireplaces, solid fuel-burning
appliances, cooking appliances, chimneys, vents, and water heating appliances
shall be maintained in compliance with the code under which the appliances, system,
or equipment was installed, kept in safe working condition, and capable of
performing the intended function.
7. Section 603.2 Removal of combustion products. Where
required by the code under which installed, fuel-burning equipment and
appliances shall be connected to an approved chimney or vent.
8. Section 603.5 Combustion air. Where required by the code
under which installed, a supply of air for complete combustion of the fuel
shall be provided for the fuel-burning equipment.
9. Section 604.1 Electrical system. Required or provided
electrical systems and facilities shall be maintained in accordance with the
applicable building code.
10. Section 604.3 Electrical system hazards. Where it is found
that the electrical system in a structure constitutes a hazard to the occupants
or the structure by reason of deterioration or damage or for similar reasons,
the code official shall require the defects to be corrected to eliminate the
hazard.
11. Section 604.3.1.1 Electrical equipment. Electrical
distribution equipment, motor circuits, power equipment, transformers, wire,
cable, flexible cords, wiring devices, ground fault circuit interrupters, surge
protectors, molded case circuit breakers, low-voltage fuses, luminaires,
ballasts, motors, and electronic control, signaling, and communication
equipment that have been exposed to water shall be replaced in accordance with
the provisions of the VCC.
Exception: The following equipment shall be allowed to be
repaired or reused where an inspection report from the equipment manufacturer,
an approved representative of the equipment manufacturer, a third party
licensed or certified electrician, or an electrical engineer indicates that the
exposed equipment has not sustained damage that requires replacement:
1. Enclosed switches, rated 600 volts or less;
2. Busway, rated 600 volts or less;
3. Panelboards, rated 600 volts or less;
4. Switchboards, rated 600 volts or less;
5. Fire pump controllers, rated 600 volts or less;
6. Manual and magnetic motor controllers;
7. Motor control centers;
8. Alternating current high-voltage circuit breakers;
9. Low-voltage power circuit breakers;
10. Protective relays, meters, and current transformers;
11. Low-voltage and medium-voltage switchgear;
12. Liquid-filled transformers;
13. Cast-resin transformers;
14. Wire or cable that is suitable for wet locations and whose
ends have not been exposed to water;
15. Wire or cable, not containing fillers, that is suitable
for wet locations and whose ends have not been exposed to water;
16. Luminaires that are listed as submersible;
17. Motors; or
18. Electronic control, signaling, and communication
equipment.
12. 604.3.2.1 Electrical equipment. Electrical switches,
receptacles and fixtures, including furnace, water heating, security system and
power distribution circuits, that have been exposed to fire shall be replaced
in accordance with the provisions of the Virginia Construction Code.
Exception: Electrical switches, receptacles and fixtures that
shall be allowed to be repaired or reused where an inspection report from the
equipment manufacturer or an approved representative of the equipment
manufacturer, a third party licensed or certified electrician, or an electrical
engineer indicates that the equipment has not sustained damage that requires
replacement.
13. Section 605.1 Electrical components. Electrical equipment,
wiring, and appliances shall be maintained in accordance with the applicable
building code.
14. Section 605.2 Power distribution and receptacles. Required
or provided power circuits and receptacles shall be maintained in accordance
with the applicable building code, and ground fault and arc-fault circuit
interrupter protection shall be provided where required by the applicable
building code. All receptacle outlets shall have the appropriate faceplate
cover for the location when required by the applicable building code.
15. Section 605.3 Lighting distribution and luminaires.
Required or provided lighting circuits and luminaires shall be maintained in
accordance with the applicable building code.
16. Section 605.4 Flexible cords. Flexible cords shall not be
run through doors, windows, or cabinets or concealed within walls, floors, or
ceilings.
17. Section 606.1 General. Elevators, dumbwaiters, and
escalators shall be maintained in compliance with ASME A17.1. The most current
certificate of inspection shall be on display at all times within the elevator
or attached to the escalator or dumbwaiter, be available for public inspection
in the office of the building operator, or be posted in a publicly conspicuous
location approved by the code official. Where not displayed in the elevator or
attached on the escalator or dumbwaiter, there shall be a notice of where the
certificate of inspection is available for inspection. An annual periodic
inspection and test is required of elevators and escalators. A locality shall
be permitted to require a six-month periodic inspection and test. All periodic
inspections shall be performed in accordance with Section 8.11 of ASME A17.1.
The code official may also provide for such inspection by an approved agency or
through agreement with other local certified elevator inspectors. An approved
agency includes any individual, partnership, or corporation who has met the
certification requirements established by the VCS.
C. Add the following sections to Chapter 6 of the IPMC:
1. Section 602.2.1 Prohibited use. In dwelling units subject
to Section 602.2, one or more unvented room heaters shall not be used as the
sole source of comfort heat in a dwelling unit.
2. Section 607.2 Clothes dryer exhaust duct. Required or
provided clothes dryer exhaust systems shall be maintained in accordance with
the applicable building code.
VA.R. Doc. No. R20-6189; Filed July 15, 2020, 3:57 p.m.
TITLE 16. LABOR AND EMPLOYMENT
SAFETY AND HEALTH CODES BOARD
Emergency Regulation
Title of Regulation: 16VAC25-220. Emergency Temporary
Standard - Infectious Disease Prevention, SARS-CoV-2 Virus That Causes COVID-19 (adding 16VAC25-220-10 through 16VAC25-220-90).
Statutory Authority: §§ 54.1-3442.6 and 54.1-3447
of the Code of Virginia.
Effective Date: July 27, 2020.
Agency Contact: Princy Doss, Director of Policy,
Planning, and Public Information, Department of Labor and Industry, 600 East
Main Street, Richmond, VA 23219, telephone (804) 786-4300, or email princy.doss@doli.virginia.gov.
Preamble:
Pursuant to subdivision (6a) of § 40.1-22 of the Code of
Virginia, the Safety and Health Codes Board may adopt an emergency temporary
standard to take immediate effect upon publication in a newspaper of general
circulation, published in the City of Richmond, Virginia, if the board
determines that employees are exposed to grave danger from exposure to
substances or agents determined to be toxic or physically harmful or from new
hazards, and that such emergency standard is necessary to protect employees
from such danger.
On July 15, 2020, the Safety and Health Codes Board adopted
an Emergency Temporary Standard for Infectious Disease Prevention: SARS-CoV-2
Virus That Causes COVID-19 (16VAC25-220) pursuant to Executive Order 63, Order
of Public Health Emergency Five, Requirement to Wear Face Covering While Inside
Buildings. The emergency temporary standard is effective July 27, 2020, upon
publication in the Richmond Times Dispatch. The emergency temporary standard
establishes requirements for employers to control, prevent, and mitigate the
spread of SARS-CoV-2, thereby protecting employees and the general public.
SARS-CoV-2 is the virus that causes coronavirus disease 2019 (COVID-19).
CHAPTER 220
EMERGENCY TEMPORARY STANDARD - INFECTIOUS DISEASE PREVENTION, SARS-COV-2 VIRUS
THAT CAUSES COVID-19
16VAC25-220-10. Purpose, scope, and applicability.
A. This emergency temporary standard is designed to
establish requirements for employers to control, prevent, and mitigate the
spread of SARS-CoV-2, the virus that causes coronavirus disease 2019 (COVID-19)
to and among employees and employers.
B. This standard shall not be extended or amended without
public participation in accordance with the Virginia Administrative Process Act
(§ 2.2-4000 et seq. of the Code of Virginia) and 16VAC25-60-170.
C. This standard is adopted in accordance with subdivision
6 a of § 40.1-22 of the Code of Virginia and shall apply to every
employer, employee, and place of employment in the Commonwealth of Virginia
within the jurisdiction of the VOSH program as described in 16VAC25-60-20 and
16VAC25-60-30.
D. This standard is designed to supplement and enhance
existing VOSH laws, rules, regulations, and standards applicable directly or
indirectly to SARS-CoV-2 virus or COVID-19 disease-related hazards such as, but
not limited to, those dealing with personal protective equipment, respiratory
protective equipment, sanitation, access to employee exposure and medical
records, occupational exposure to hazardous chemicals in laboratories, hazard
communication, § 40.1-51.1 A of the Code of Virginia, etc. Should this
standard conflict with an existing VOSH rule, regulation, or standard, the more
stringent requirement from an occupational safety and health hazard prevention
standpoint shall apply.
E. Application of this standard to a place of employment
will be based on the exposure risk level presented by SARS-CoV-2 virus-related
and COVID-19 disease-related hazards present or job tasks undertaken by
employees at the place of employment as defined in this standard (i.e., very
high, high, medium, and lower risk levels).
1. It is recognized that various hazards or job tasks at
the same place of employment can be designated as very high, high, medium, or
lower exposure risk for purposes of application of the requirements of this
standard. It is further recognized that various required job tasks prohibit an
employee from being able to observe physical distancing from other persons.
2. Factors that shall be considered in determining exposure
risk level include, but are not limited to:
a. The job tasks being undertaken, the work environment
(e.g. indoors or outdoors), the known or suspected presence of the SARS-CoV-2
virus, the presence of a person known or suspected to be infected with the
SARS-CoV-2 virus, the number of employees and other persons in relation to the
size of the work area, the working distance between employees and other
employees or persons, and the duration and frequency of employee exposure
through contact inside of six feet with other employees or persons (e.g.,
including shift work exceeding 8 hours per day); and
b. The type of hazards encountered, including potential
exposure to the airborne transmission of SARS-CoV-2 virus; contact with
contaminated surfaces or objects, such as tools, workstations, or break room
tables, and shared spaces such as shared workstations, break rooms, locker
rooms, and entrances and exits to the facility; shared work vehicles; and
industries or places of employment where employer sponsored shared
transportation is a common practice, such as ride-share vans or shuttle
vehicles, car-pools, and public transportation, etc.
F. This standard shall not conflict with requirements and
guidelines applicable to businesses set out in any applicable Virginia
executive order or order of public health emergency.
G. 1. To the extent that an employer actually complies
with a recommendation contained in CDC guidelines, whether mandatory or
non-mandatory, to mitigate SARS-CoV-2 virus and COVID-19 disease related
hazards or job tasks addressed by this standard, and provided that the CDC
recommendation provides equivalent or greater protection than provided by a
provision of this standard, the employer's actions shall be considered in
compliance with this standard. An employer's actual compliance with a
recommendation contained in CDC guidelines, whether mandatory or non-mandatory,
to mitigate SARS-COV-2 and COVID19 related hazards or job tasks addressed by
this standard shall be considered evidence of good faith in any enforcement
proceeding related to this standard.
2. A public or private institution of higher education that
has received certification from the State Council of Higher Education for
Virginia that the institution's re-opening plans are in compliance with
guidance documents, whether mandatory or non-mandatory, developed by the
Governor's Office in conjunction with the Virginia Department of Health shall
be considered in compliance with this standard, provided the institution
operates in compliance with its certified reopening plans and the certified
reopening plans provide equivalent or greater levels of employee protection
than this standard. A public school division or private school that submits its
plans to the Virginia Department of Education to move to Phase II and Phase III
that are aligned with CDC guidance for reopening of schools that provide
equivalent or greater levels of employee protection than a provision of this
standard and who operate in compliance with the public school division's or
private school's submitted plans shall be considered in compliance with this
standard. An institution's actual compliance with recommendations contained in
CDC guidelines or the Virginia Department of Education guidance, whether
mandatory or non-mandatory, to mitigate SARS-CoV-2 and COVID-19 related hazards
or job tasks addressed by this standard shall be considered evidence of good
faith in any enforcement proceeding related to this standard.
H. Nothing in the standard shall be construed to require
employers to conduct contact tracing of the SARS-CoV-2 virus or COVID-19
disease.
16VAC25-220-20. Effective and expiration dates.
This emergency temporary standard shall take immediate
effect July 27, 2020, upon publication in a newspaper of general circulation,
published in the City of Richmond, Virginia.
With the exception of 16VAC25-220-80 B 10 regarding
training required on infectious disease preparedness and response plans, the
training requirements in 16VAC25-220-80 shall take effect on August 26, 2020.
The training requirements under 16VAC25-220-80 B 10 shall take effect on
September 25, 2020.
The requirements for 16VAC25-220-70 shall take effect on
September 25, 2020.
This emergency temporary standard shall expire (i) within
six months of its effective date, upon expiration of the Governor's State of
Emergency, or when superseded by a permanent standard, whichever occurs first
or (ii) when repealed by the Virginia Safety and Health Codes Board.
16VAC25-220-30. Definitions.
The following words and terms when used in this standard
shall have the following meanings unless the context clearly indicates
otherwise:
"Administrative control" means any procedure
that significantly limits daily exposure to SARS-CoV-2 virus and COVID-19
disease related workplace hazards and job tasks by control or manipulation of
the work schedule or manner in which work is performed. The use of personal
protective equipment is not considered a means of administrative control.
"Airborne infection isolation room" or
"AIIR" formerly a negative pressure isolation room, means a
single-occupancy patient-care room used to isolate persons with a suspected or
confirmed airborne infectious disease. Environmental factors are controlled in
AIIRs to minimize the transmission of infectious agents that are usually
transmitted from person to person by droplet nuclei associated with coughing or
aerosolization of contaminated fluids. AIIRs provide (i) negative pressure in
the room so that air flows under the door gap into the room, (ii) an air flow
rate of 6-12 air changes per hour (ACH) (6 ACH for existing structures, 12 ACH
for new construction or renovation), and (iii) direct exhaust of air from the
room to the outside of the building or recirculation of air through a High
Efficiency Particulate Air (HEPA) filter before returning to circulation.
"Asymptomatic" means a person who does not have
symptoms.
"Building or facility owner" means the legal
entity, including a lessee, that exercises control over management and record
keeping functions relating to a building or facility in which activities
covered by this standard take place.
"CDC" means Centers for Disease Control and
Prevention.
"Cleaning" means the removal of dirt and
impurities, including germs, from surfaces. Cleaning alone does not kill germs.
But by removing the germs, cleaning decreases their number and therefore any
risk of spreading infection.
"Community transmission," also called
"community spread," means people have been infected with SARS-CoV-2 in
an area, including some who are not sure how or where they became infected. The
level of community transmission is classified by the CDC as:
1. "No to minimal" where there is evidence of
isolated cases or limited community transmission, case investigations are
underway, and no evidence of exposure in large communal settings (e.g.,
healthcare facilities, schools, mass gatherings, etc.);
2. "Moderate" where there is sustained community
transmission with high likelihood or confirmed exposure within communal
settings and potential for rapid increase in cases;
3. "Substantial, controlled" where there is large
scale, controlled community transmission, including communal settings (e.g.,
schools, workplaces, etc.); or
4. "Substantial, uncontrolled" where there is
large scale, uncontrolled community transmission, including communal settings
(e.g., schools, workplaces, etc.).
"COVID-19"means Coronavirus Disease 2019, which
is primarily a respiratory disease, caused by the SARS-CoV-2 virus.
"Disinfecting" means using chemicals approved
for use against SARS-CoV-2, for example EPA-registered disinfectants, to kill
germs on surfaces. The process of disinfecting does not necessarily clean dirty
surfaces or remove germs, but killing germs remaining on a surface after cleaning
further reduces any risk of spreading infection.
"Duration and frequency of employee exposure"
means how long ("duration") and how often ("frequency") an
employee is potentially exposed to the SARS-CoV-2 virus or COVID-19 disease.
Generally, the greater the frequency or length of exposure, the greater the
probability is for potential infection to occur. Frequency of exposure is
generally more significant for acute acting agents or situations, while
duration of exposure is generally more significant for chronic acting agents or
situations. An example of an acute SARS-CoV-2 virus or COVID-19 disease
situation would be an unprotected customer, patient, or other person coughing
or sneezing directly into the face of an employee. An example of a chronic situation
would be a job task that requires an employee to interact either for an
extended period of time inside six feet with a smaller static group of other
employees or persons or for an extended period of time inside six feet with a
larger group of other employees or persons in succession but for periods of
shorter duration.
"Economic feasibility" means the employer is
financially able to undertake the measures necessary to comply with one or more
requirements in this standard. The cost of corrective measures to be taken will
not usually be considered as a factor in determining whether a violation of
this standard has occurred. If an employer's level of compliance lags
significantly behind that of its industry, an employer's claim of economic
infeasibility will not be accepted.
"Elimination" means a method of exposure control
that removes the employee completely from exposure to SARS-CoV-2 virus and
COVID-19 disease related workplace hazards and job tasks.
"Employee" means an employee of an employer who
is employed in a business of his employer. Reference to the term
"employee” in this standard also includes, but is not limited to,
temporary employees and other joint employment relationships, persons in
supervisory or management positions with the employer, etc., in accordance with
Virginia occupational safety and health laws, standards, regulations, and court
rulings.
"Engineering control" means the use of
substitution, isolation, ventilation, and equipment modification to reduce
exposure to SARS-CoV-2 virus and COVID-19 disease related workplace hazards and
job tasks.
"Exposure risk level"means an assessment of the
possibility that an employee could be exposed to the hazards associated with
SARS-CoV-2 virus and the COVID-19 disease. The exposure risk level assessment
should address all risks and all modes of transmission including airborne
transmission, as well as transmission by asymptomatic and presymptomatic
individuals. Risk levels should be based on the risk factors present that
increase risk exposure to COVID-19 and are present during the course of
employment regardless of location. Hazards and job tasks have been divided into
four risk exposure levels: very high, high, medium, and lower:
"Very high" exposure risk hazards or job tasks
are those in places of employment with high potential for employee exposure to
known or suspected sources of the SARS-CoV-2 virus (e.g., laboratory samples)
or persons known or suspected to be infected with the SARS-CoV-2 virus,
including, but not limited to, during specific medical, postmortem, or
laboratory procedures:
1. Aerosol-generating procedures (e.g., intubation, cough
induction procedures, bronchoscopies, some dental procedures and exams, or
invasive specimen collection) on a patient or person known or suspected to be infected
with the SARS-CoV-2 virus;
2. Collecting or handling specimens from a patient or
person known or suspected to be infected with the SARS-CoV-2 virus (e.g.,
manipulating cultures from patients known or suspected to be infected with the
SARS-CoV-2 virus); and
3. Performing an autopsy that involves aerosol-generating
procedures on the body of a person known or suspected to be infected with the
SARS-CoV-2 virus at the time of their death.
"High" exposure risk hazards or job tasks are
those in places of employment with high potential for employee exposure inside
six feet with known or suspected sources of SARS-CoV-2, or with persons known
or suspected to be infected with the SARS-CoV-2 virus that are not otherwise
classified as very high exposure risk, including, but not limited to:
1. Healthcare (physical and mental health) delivery and
support services provided to a patient known or suspected to be infected with
the SARS-CoV-2 virus, including field hospitals (e.g., doctors, nurses,
cleaners, and other hospital staff who must enter patient rooms or areas);
2. Healthcare (physical and mental) delivery, care, and
support services, wellness services, non-medical support services, physical
assistance, etc., provided to a patient, resident, or other person known or
suspected to be infected with the SARS-CoV-2 virus involving skilled nursing
services, outpatient medical services, clinical services, drug treatment
programs, medical outreach services, mental health services, home health care,
nursing home care, assisted living care, memory care support and services,
hospice care, rehabilitation services, primary and specialty medical care,
dental care, COVID-19 testing services, blood donation services, contact tracer
services, and chiropractic services;
3. First responder services provided to a patient,
resident, or other person known or suspected to be infected with the SARS-CoV-2
virus;
4. Medical transport services (loading, transporting,
unloading, etc.) provided to patients known or suspected to be infected with
the SARS-CoV-2 virus (e.g., ground or air emergency transport, staff,
operators, drivers, pilots, etc.); and
5. Mortuary services involved in preparing (e.g., for
burial or cremation) the bodies of persons who are known or suspected to be infected
with the SARS-CoV-2 virus at the time of their death.
"Medium" exposure risk hazards or job tasks are
those not otherwise classified as very high or high exposure risk in places of
employment that require more than minimal occupational contact inside six feet
with other employees, other persons, or the general public who may be infected
with SARS-CoV-2, but who are not known or suspected to be infected with the
SARS-CoV-2 virus. Medium exposure risk hazards or job tasks may include, but
are not limited to, operations and services in:
1. Poultry, meat, and seafood processing; agricultural and
hand labor; commercial transportation of passengers by air, land, and water; on
campus educational settings in schools, colleges, and universities; daycare and
afterschool settings; restaurants and bars; grocery stores, convenience stores,
and food banks; drug stores and pharmacies; manufacturing settings; indoor and
outdoor construction settings; correctional facilities, jails, detentions
centers, and juvenile detention centers; work performed in customer premises,
such as homes or businesses; retail stores; call centers; package processing
settings; veterinary settings; personal care, personal grooming, salon, and spa
settings; venues for sports, entertainment, movies, theaters, and other forms
of mass gatherings; homeless shelters; fitness, gym, and exercise facilities;
airports, and train and bus stations; etc.; and
2. Situations not involving exposure to known or suspected
sources of SARS-CoV-2: hospitals, other healthcare (physical and mental)
delivery and support services in a non-hospital setting, wellness services,
physical assistance, etc.; skilled nursing facilities; outpatient medical
facilities; clinics, drug treatment programs, and medical outreach services;
non-medical support services; mental health facilities; home health care,
nursing homes, assisted living facilities, memory care facilities, and hospice
care; rehabilitation centers, doctors' offices, dentists' offices, and
chiropractors' offices; first responders services provided by police, fire,
paramedic and emergency medical services providers, medical transport; contact
tracers, etc.
"Lower" exposure risk hazards or job tasks are
those not otherwise classified as very high, high, or medium exposure risk that
do not require contact inside six feet with persons known to be, or suspected
of being, or who may be infected with SARS-CoV-2. Employees in this category
have minimal occupational contact with other employees, other persons, or the
general public, such as in an office building setting; or are able to achieve
minimal occupational contact through the implementation of engineering,
administrative and work practice controls, such as, but not limited to
1. Installation of floor to ceiling physical barriers
constructed of impermeable material and not subject to unintentional
displacement (e.g., such as clear plastic walls at convenience stores behind
which only one employee is working at any one time);
2. Telecommuting;
3. Staggered work shifts that allow employees to maintain
physical distancing from other employees, other persons, and the general
public;
4. Delivering services remotely by phone, audio, video,
mail, package delivery, curbside pickup or delivery, etc., that allows
employees to maintain physical distancing from other employees, other persons,
and the general public; and
5. Mandatory physical distancing of employees from other
employees, other persons, and the general public.
Employee use of face coverings for contact inside six feet
of coworkers, customers, or other persons is not an acceptable administrative
or work practice control to achieve minimal occupational contact. However, when
it is necessary for an employee to have brief contact with others inside the
six feet distance a face covering is required.
"Face covering" means an item normally made of
cloth or various other materials with elastic bands or cloth ties to secure
over the wearer's nose and mouth in an effort to contain or reduce the spread
of potentially infectious respiratory secretions at the source (i.e., the
person's nose and mouth). A face covering is not intended to protect the
wearer, but it may reduce the spread of virus from the wearer to others. A face
covering is not a surgical/medical procedure mask. A face covering is not
subject to testing and approval by a state or government agency, so it is not
considered a form of personal protective equipment or respiratory protection
equipment under VOSH laws, rules, regulations, and standards.
"Face shield" means a form of personal
protective equipment made of transparent, impermeable materials intended to
protect the entire face or portions of the face from droplets or splashes.
"Feasible" as used in this standard includes
both technical and economic feasibility.
"Filtering facepiece respirator" means a
negative pressure air purifying particulate respirator with a filter as an
integral part of the facepiece or with the entire facepiece composed of the
filtering medium. Filtering facepiece respirators are certified for use by the
National Institute for Occupational Safety and Health (NIOSH).
"Hand sanitizer" means an alcohol-based hand rub
containing at least 60% alcohol, unless otherwise provided for in this
standard.
"HIPAA" means Health Insurance Portability and
Accountability Act.
"Known to be infected with the SARS-CoV-2 virus"
means a person, whether symptomatic or asymptomatic, who has tested positive
for SARS-CoV-2, and the employer knew or with reasonable diligence should have
known that the person has tested positive for SARS-CoV-2.
"May be infected with SARS-CoV-2 virus" means
any person not currently a person known or suspected to be infected with
SARS-CoV-2 virus and not currently vaccinated against the SARS-CoV-2 virus.
"Occupational exposure" means the state of being
actually or potentially exposed to contact with SARS-CoV-2 virus or COVID-19
disease related hazards at the work location or while engaged in work
activities at another location.
"Personal protective equipment" means equipment
worn to minimize exposure to hazards that cause serious workplace injuries and
illnesses. These injuries and illnesses may result from contact with chemical,
radiological, physical, electrical, mechanical, biological, or other workplace
hazards. Personal protective equipment may include, but is not limited to,
items such as gloves, safety glasses, shoes, earplugs or muffs, hard hats,
respirators, surgical/medical procedure masks, gowns, face shields, coveralls,
vests, and full body suits.
"Physical distancing" also called "social
distancing" means keeping space between yourself and other persons while
conducting work-related activities inside and outside of the physical
establishment by staying at least six feet from other persons. Physical
separation of an employee from other employees or persons by a permanent, solid
floor to ceiling wall constitutes physical distancing from an employee or other
person stationed on the other side of the wall.
"Respirator" means a protective device that
covers the nose and mouth or the entire face or head to guard the wearer
against hazardous atmospheres. Respirators are certified for use by the
National Institute for Occupational Safety and Health (NIOSH). Respirators may
be (i) tight-fitting, which means either a half mask that covers the mouth and
nose or a full face piece that covers the face from the hairline to below the
chin or (ii) loose-fitting, such as hoods or helmets that cover the head
completely.
There are two major classes of respirators:
1. Air-purifying, which remove contaminants from the air;
and
2. Atmosphere-supplying, which provide clean, breathable
air from an uncontaminated source. As a general rule, atmosphere-supplying
respirators are used for more hazardous exposures.
"Respirator user"means an employee who in the
scope of their current job may be assigned to tasks that may require the use of
a respirator in accordance with this standard or required by other provisions
in the VOSH and OSHA standards.
"SARS-CoV-2" means a betacoronavirus, like
MERS-CoV and SARS-CoV. Coronaviruses are named for the crown-like spikes on
their surfaces. The SARS-CoV-2 causes what has been designated as the
Coronavirus Disease 2019 (COVID-19).
"Signs of COVID-19" include trouble breathing,
persistent pain or pressure in the chest, new confusion, inability to wake or
stay awake, bluish lips or face, etc.
"Surgical/medical procedure mask" means a mask
to be worn over the wearer's nose and mouth that is fluid resistant and
provides the wearer protection against large droplets, splashes, or sprays of
bodily or other hazardous fluids, and prevents the wearer from exposing others
in the same fashion. A surgical/medical procedure mask protects others from the
wearer's respiratory emissions. A surgical/medical procedure mask has a loose
fitting face seal. A surgical/medical procedure mask does not provide the
wearer with a reliable level of protection from inhaling smaller airborne
particles. A surgical/medical procedure mask is considered a form of personal
protective equipment, but is not considered respiratory protection equipment
under VOSH laws, rules, regulations, and standards. Testing and approval is
cleared by the U.S. Food and Drug Administration (FDA).
"Suspected to be infected with SARS-CoV-2 virus"
means a person who has signs or symptoms of COVID-19 but has not tested
positive for SARS-CoV-2, and no alternative diagnosis has been made (e.g.,
tested positive for influenza).
"Symptomatic" means the employee is experiencing
symptoms similar to those attributed to COVID-19 including fever or chills,
cough, shortness of breath or difficulty breathing, fatigue, muscle or body
aches, headache, new loss of taste or smell, sore throat, congestion or runny
nose, nausea or vomiting, or diarrhea. Symptoms may appear in two to 14 days
after exposure to the virus.
"Technical feasibility" means the existence of
technical know-how as to materials and methods available or adaptable to
specific circumstances that can be applied to one or more requirements in this
standard with a reasonable possibility that employee exposure to the SARS-CoV-2
virus and COVID-19 disease hazards will be reduced. If an employer's level of
compliance lags significantly behind that of the employer's industry,
allegations of technical infeasibility will not be accepted.
"VOSH" means Virginia Occupational Safety and
Health.
"Work practice control" means a type of
administrative control by which the employer modifies the manner in which the
employee performs assigned work. Such modification may result in a reduction of
exposure to SARS-CoV-2 virus and COVID-19 disease related workplace hazards and
job tasks through such methods as changing work habits, improving sanitation
and hygiene practices, or making other changes in the way the employee performs
the job.
16VAC25-220-40. Mandatory requirements for all employers.
A. Employers in all exposure risk levels shall ensure
compliance with the requirements in this section to protect employees from
workplace exposure to the SARS-CoV-2 virus that causes the COVID-19 disease.
B. Exposure assessment and determination, notification
requirements, and employee access to exposure and medical records.
1. Employers shall assess their workplace for hazards and
job tasks that can potentially expose employees to the SARS-CoV-2 virus or
COVID-19 disease. Employers shall classify each job task according to the
hazards employees are potentially exposed to and ensure compliance with the
applicable sections of this standard for very high, high, medium, or lower risk
levels of exposure. Tasks that are similar in nature and expose employees to
the same hazard may be grouped for classification purposes.
2. Employers shall inform employees of the methods of and
encourage employees to self-monitor for signs and symptoms of COVID-19 if
employees suspect possible exposure or are experiencing signs of an oncoming
illness.
3. Serological testing, also known as antibody testing, is
a test to determine if persons have been infected with SARS-CoV-2 virus.
Serological testing has not been determined if persons who have the antibodies
are immune from infection.
a. Serologic test results shall not be used to make
decisions about returning employees to work who were previously classified as
known or suspected to be infected with the SARS-CoV-2 virus.
b. Serologic test results shall not be used to make
decisions concerning employees who were previously classified as known or
suspected to be infected with the SARS-CoV-2 virus about grouping, residing in
or being admitted to congregate settings, such as schools, dormitories, etc.
4. Employers shall develop and implement policies and
procedures for employees to report when employees are experiencing symptoms
consistent with COVID-19, and no alternative diagnosis has been made (e.g.,
tested positive for influenza). Such employees shall be designated by the
employer as "suspected to be infected with SARS-CoV-2 virus."
5. Employers shall not permit employees or other persons
known or suspected to be infected with SARS-CoV-2 virus to report to or remain
at the work site or engage in work at a customer or client location until
cleared for return to work (see subsection C of this section). Nothing in this
standard shall prohibit an employer from permitting an employee known or
suspected to be infected with SARS-CoV-2 virus from engaging in teleworking or
other form of work isolation that would not result in potentially exposing
other employees to the SARS-CoV-2 virus.
6. To the extent feasible and permitted by law, including
but not limited to the Families First Coronavirus Response Act, employers shall
ensure that sick leave policies are flexible and consistent with public health
guidance and that employees are aware of these policies.
7. Employers shall discuss with subcontractors and
companies that provide contract or temporary employees about the importance of
employees or other persons who are known or suspected to be infected with the
SARS-CoV-2 virus of staying home. Subcontractor, contract, or temporary
employees known or suspected to be infected with the SARS-CoV-2 virus shall not
report to or be allowed to remain at the work site until cleared for return to
work. Subcontractors shall not allow their known or suspected to be infected
with the SARS-CoV-2 virus employees to report to or be allowed to remain at
work or on a job site until cleared for return to work.
8. To the extent permitted by law, including HIPAA,
employers shall establish a system to receive reports of positive SARS-CoV-2
tests by employees, subcontractors, contract employees, and temporary employees
(excluding patients hospitalized on the basis of being known or suspected to be
infected with SARS-CoV-2 virus) present at the place of employment within the
previous 14 days from the date of positive test, and the employer shall notify:
a. The employer's own employees who may have been exposed,
within 24 hours of discovery of the employees possible exposure, while keeping
confidential the identity of the known to be infected with SARS-CoV-2 virus
person in accordance with the requirements of the Americans with Disabilities
Act (ADA) and other applicable federal and Virginia laws and regulations; and
b. In the same manner as subdivision 8 a of this
subsection, other employers whose employees were present at the work site
during the same time period; and
c. In the same manner as subdivision 8 a of this
subsection, the building or facility owner. The building or facility owner will
require all employer tenants to notify the owner of the occurrence of a
SARS-CoV-2-positive test for any employees or residents in the building. This
notification will allow the owner to take the necessary steps to sanitize the
common areas of the building. In addition, the building or facility owner will
notify all employer tenants in the building that one or more cases have been
discovered and the floor or work area where the case was located. The identity
of the individual will be kept confidential in accordance with the requirements
of the Americans with Disabilities Act (ADA) and other applicable federal and
Virginia laws and regulations; and
d. The Virginia Department of Health within 24 hours of the
discovery of a positive case; and
e. The Virginia Department of Labor and Industry within 24
hours of the discovery of three or more employees present at the place of
employment within a 14-day period testing positive for SARS-CoV-2 virus during
that 14-day time period.
9. Employers shall ensure employee access to the employee's
own SARS-CoV-2 virus and COVID-19 disease related exposure and medical records
in accordance with the standard applicable to its industry. Employers in the
agriculture, public sector marine terminal, and public sector longshoring
industries shall ensure employees access to the employees' own SARS-CoV-2 virus
and COVID-19 disease related exposure and medical records in accordance with
16VAC25-90-1910.1020, Access to Employee Exposure and Medical Records.
C. Return to work.
1. The employer shall develop and implement policies and
procedures for employees known or suspected to be infected with the SARS-CoV-2
virus to return to work using either a symptom-based or test-based strategy,
depending on local healthcare and testing circumstances. While an employer may
rely on other reasonable options, a policy that involves consultation with
appropriate healthcare professionals concerning when an employee has satisfied
the symptoms based strategy requirements in subdivision 1 a of this subsection
will constitute compliance with the requirements of this subsection.
a. For known or suspected to be infected with the
SARS-CoV-2 virus employees the symptom-based strategy excludes an employee from
returning to work until (i) at least three days (72 hours) have passed since
recovery, defined as resolution of fever without the use of fever-reducing
medications and improvement in respiratory symptoms (e.g., cough, shortness of
breath) and (ii) at least 10 days have passed since symptoms first appeared.
b. The test-based strategy excludes an employee from
returning to work until (i) resolution of fever without the use of
fever-reducing medications, (ii) improvement in respiratory symptoms (e.g.,
cough, shortness of breath), and (iii) negative results of an FDA Emergency Use
Authorized COVID-19 molecular assay for detection of SARS-CoV-2 RNA from at
least two consecutive respiratory specimens collected 24 hours or more apart
(total of two negative specimens).
i. If a known or suspected to be infected with the
SARS-CoV-2 virus employee refuses to be tested, the employer compliance with
subdivision 1 a of this subsection, symptom-based strategy, will be considered
in compliance with this standard. Nothing in this standard shall be construed
to prohibit an employer from requiring a known or suspected to be infected with
the SARS-CoV-2 virus employee to be tested in accordance with subdivision 1 b
of this subsection.
ii. For purposes of this section, COVID-19 testing is
considered a "medical examination" under § 40.1-28 of the Code of
Virginia. The employer shall not require the employee to pay for the cost of
COVID-19 testing for return to work determinations.
2. The employer shall develop and implement policies and
procedures for known to be infected with SARS-CoV-2 asymptomatic employees to
return to work using either a time-based or test-based strategy depending on
local healthcare and testing circumstances. While an employer may rely on other
reasonable options, a policy that involves consultation with appropriate
healthcare professionals concerning when an employee has satisfied the time
based strategy requirements in subdivision 2 a of this subsection will
constitute compliance with the requirements of this subsection.
a. The time-based strategy excludes an employee from
returning to work until at least 10 days have passed since the date of the
employee's first positive COVID-19 diagnostic test assuming the employee has
not subsequently developed symptoms since the employee's positive test. If the
employee develops symptoms, then the symptom-based or test-based strategy shall
be used.
b. The test-based strategy excludes an employee from
returning to work until negative results of an FDA Emergency Use Authorized
COVID-19 molecular assay for detection of SARS-CoV-2 RNA from at least two
consecutive respiratory specimens collected 24 hours or more apart (total of
two negative specimens).
i If a known to be infected with SARS-CoV-2 asymptomatic
employee refuses to be tested, employer compliance with subdivision 2 a of this
subsection, time-based strategy, will be considered in compliance with this
standard. Nothing in this standard shall be construed to prohibit an employer
from requiring a known to be infected with SARS-CoV-2 asymptomatic employee to
be tested in accordance with subdivision 2 b of this subsection.
ii. For purposes of this section, COVID-19 testing is
considered a "medical examination" under § 40.1-28 of the Code of
Virginia. The employer shall not require the employee to pay for the cost of
COVID-19 testing for return to work determinations.
D. Unless otherwise provided in this standard, employers
shall ensure that employees observe physical distancing while on the job and
during paid breaks on the employer's property, including policies and
procedures that:
1. Use verbal announcements, signage, or visual cues to
promote physical distancing.
2. Decrease worksite density by limiting non-employee
access to the place of employment or restrict access to only certain workplace
areas to reduce the risk of exposure.
3. An employer's compliance with occupancy limits contained
in any applicable Virginia executive order or order of public health emergency
will constitute compliance with the requirements in this subsection.
E. Access to common areas, breakrooms, or lunchrooms shall
be closed or controlled.
1 If the nature of an employer's work or the work area does
not allow employees to consume meals in the employee's workspace while
observing physical distancing, an employer may designate, reconfigure, and
alternate usage of spaces where employees congregate, including lunch and break
rooms, locker rooms, time clocks, etc., with controlled access, provided the
following conditions are met:
a. At the entrance of the designated common area or room
the employer shall clearly post the policy limiting the occupancy of the space,
and requirements for physical distancing, hand washing and hand sanitizing, and
cleaning and disinfecting of shared surfaces.
b. The employer shall limit occupancy of the designated
common area or room so that occupants can maintain physical distancing from
each other. The employer shall enforce the occupancy limit.
c. Employees shall be required to clean and disinfect the
immediate area in which they were located prior to leaving, or the employer may
provide for cleaning and disinfecting of the common area or room at regular
intervals throughout the day, and between shifts of employees using the same
common area or room (i.e., where an employee or groups of employees have a
designated lunch period and the common area or room can be cleaned in between
occupancies).
d. Hand washing facilities, and hand sanitizer where
feasible, are available to employees. Hand sanitizers required for use to
protect against SARS-CoV-2 are flammable and use and storage in hot
environments can result in a hazard.
F. When multiple employees are occupying a vehicle for
work purposes, the employer shall ensure compliance with respiratory protection
and personal protective equipment standards applicable to the employer's
industry.
G. Employers shall also ensure compliance with mandatory
requirements of any applicable Virginia executive order or order of public health
emergency.
H. Where the nature of an employee's work or the work area
does not allow the employee to observe physical distancing requirements,
employers shall ensure compliance with respiratory protection and personal
protective equipment standards applicable to its industry.
I. Nothing in this standard shall require the use of a
respirator, surgical/medical procedure mask, or face covering by any employee
for whom doing so would be contrary to the employee's health or safety because
of a medical condition; however, nothing in this standard shall negate an
employer's obligations to comply with personal protective equipment and
respiratory protection standards applicable to its industry.
J. Requests to the Department for religious waivers from
the required use of respirators, surgical/medical procedure masks, or face
coverings will be handled in accordance with the requirements of applicable
federal and state law, standards, regulations and the U.S. and Virginia
Constitutions, after Department consultation with the Office of the Attorney
General.
K. Sanitation and disinfecting.
1. In addition to the requirements contained in this
standard, employers shall comply with the VOSH sanitation standard applicable
to its industry.
2. Employees that interact with customers, the general
public, contractors, and other persons shall be provided with and immediately
use supplies to clean and disinfectant surfaces contacted during the
interaction where there is the potential for exposure to the SARS-CoV-2 virus by
themselves or other employees.
3. In addition to the requirements contained in this
standard, employers shall comply with the VOSH hazard communication standard
applicable to the employers' industry for cleaning and disinfecting materials
and hand sanitizers.
4. Areas in the place of employment where known or
suspected to be infected with the SARS-CoV-2 virus employees or other persons
accessed or worked shall be cleaned and disinfected prior to allowing other
employees access to the areas. Where feasible, a period of 24 hours will be
observed prior to cleaning and disinfecting. This requirement shall not apply
if the areas in question have been unoccupied for seven or more days.
5. All common spaces, including bathrooms, frequently
touched surfaces, and doors, shall at a minimum be cleaned and disinfected at
the end of each shift. All shared tools, equipment, workspaces, and vehicles
shall be cleaned and disinfected prior to transfer from one employee to
another.
6. Employers shall ensure that cleaning and disinfecting
products are readily available to employees to accomplish the required cleaning
and disinfecting. In addition, employers shall ensure use of only disinfecting
chemicals and products indicated in the Environmental Protection Agency (EPA)
List N for use against SARS-CoV-2.
7. Employers shall ensure that the manufacturer's
instructions for use of all disinfecting chemicals and products are complied
with (e.g., concentration, application method, contact time, PPE, etc.).
8. Employees shall have easy, frequent access and
permission to use soap and water, and hand sanitizer where feasible, for the
duration of work. Employees assigned to a work station where job tasks require
frequent interaction inside six feet with other persons shall be provided with
hand sanitizer where feasible at the employees work station. Mobile crews shall
be provided with hand sanitizer where feasible for the duration of work at a
work site and shall have transportation immediately available to nearby toilet
facilities and handwashing facilities that meet the requirements of VOSH laws,
standards, and regulations dealing with sanitation. Hand sanitizers required
for use to protect against SARS-CoV-2 are flammable, and use and storage in hot
environments can result in a hazard.
9. It is recognized that various hazards or job tasks at
the same place of employment can be designated as very high, high, medium, or
lower as presenting potential exposure risk for purposes of application of the
requirements of this standard. In situations other than emergencies, the
employer shall ensure that protective measures are put in place to prevent
cross-contamination.
L. Unless otherwise provided in this standard, when
engineering, work practice, and administrative controls are not feasible or do
not provide sufficient protection, employers shall provide personal protective
equipment to their employees and ensure the equipment's proper use in
accordance with VOSH laws, standards, and regulations applicable to personal
protective equipment, including respiratory protection equipment.
16VAC25-220-50. Requirements for hazards or job tasks
classified as very high or high exposure risk.
A. The requirements in this section for employers with
hazards or job tasks classified as very high or high exposure risk apply in
addition to requirements contained in 16VAC25-220-40, 16VAC25-220-70, and
16VAC25-220-80.
B. Engineering controls.
1. Employers shall ensure that appropriate air-handling
systems:
a. Are installed and maintained in accordance with
manufacturer's instructions in healthcare facilities and other places of
employment treating, caring for, or housing persons with known or suspected to
be infected with the SARS-CoV-2 virus; and
b. Comply with minimum American National Standards
Institute (ANSI)/American Society of Heating, Refrigerating and
Air-Conditioning Engineers (ASHRAE) Standards 62.1 and 62.2 (ASHRAE 2019a,
2019b), which include requirements for outdoor air ventilation in most
residential and nonresidential spaces, and ANSI/ASHRAE/ASHE Standard 170
(ASHRAE 2017a), which covers both outdoor and total air ventilation in
healthcare facilities. Based on risk assessments or owner project requirements,
designers of new and existing facilities can go beyond the minimum requirements
of these standards.
2. For employers not covered by subdivision 1 of this
subsection, ensure that air-handling systems where installed are appropriate to
address the SARS-CoV-2 virus and COVID-19 disease related hazards and job tasks
that occur at the workplace:
a. Are maintained in accordance with the manufacturer’s
instructions; and
b. Comply with subdivision 1 b of this subsection.
3. Hospitalized patients with known or suspected to be
infected with the SARS-CoV-2 virus, where feasible and available, shall be placed
in an airborne infection isolation room (AIIR).
4. Employers shall use AIIR rooms when available for
performing aerosol-generating procedures on patients with known or suspected to
be infected with the SARS-CoV-2 virus.
5. For postmortem activities, employers shall use autopsy
suites or other similar isolation facilities when performing aerosol-generating
procedures on the bodies of known or suspected to be infected with the
SARS-CoV-2 virus persons at the time of their death.
6. Employers shall use special precautions associated with
Biosafety Level 3 (BSL-3), as defined by the U.S. Department of Health and
Human Services Publication No. (CDC) 21-1112 "Biosafety in Microbiological
and Biomedical Laboratories" (Dec. 2009), which is hereby incorporated by
reference, when handling specimens from known or suspected to be infected with
the SARS-CoV-2 virus patients or persons.
7. To the extent feasible, employers shall install physical
barriers, (e.g., clear plastic sneeze guards, etc.), where such barriers will
aid in mitigating the spread of SARS-CoV-2 and COVID-19 virus transmission.
C. Administrative and work practice controls.
1. Prior to the commencement of each work shift,
prescreening or surveying shall be required to verify each covered employee
does not have signs or symptoms of COVID-19.
2. In healthcare facilities, an employer shall follow
existing guidelines and facility standards of practice for identifying and
isolating infected persons and for protecting employees.
3. An employer shall limit non-employee access to the place
of employment or restrict access to only certain workplace areas to reduce the
risk of exposure. An employer's compliance with occupancy limits contained in
any applicable Virginia executive order or order of public health emergency
will constitute compliance with the requirements of this paragraph.
4. An employer shall post signs requesting patients and
family members to immediately report symptoms of respiratory illness on arrival
at the healthcare facility and use disposable face coverings.
5. An employer shall offer enhanced medical monitoring of
employees during COVID-19 outbreaks.
6. An employer shall provide all employees with
job-specific education and training on preventing transmission of COVID-19,
including initial and routine and refresher training in accordance with
16VAC25-220-80.
7. To the extent feasible, an employer shall ensure that
psychological and behavioral support is available to address employee stress at
no cost to the employee.
8. In health care settings, an employer shall provide
alcohol-based hand sanitizers containing at least 60% ethanol or 70%
isopropanol to employees at fixed work sites and to emergency responders and
other personnel for decontamination in the field when working away from fixed work
sites.
9. Provide face coverings to suspected to be infected with
SARS-CoV-2 virus non-employees to contain respiratory secretions until the
non-employees are able to leave the site (i.e., for medical evaluation and care
or to return home).
10. Where feasible, employers shall:
a. Implement flexible worksites (e.g., telework).
b. Implement flexible work hours (e.g., staggered shifts).
c. Increase physical distancing between employees at the
worksite to six feet.
d. Increase physical distancing between employees and other
persons to six feet.
e. Implement flexible meeting and travel options (e.g., use
telephone or video conferencing instead of in person meetings; postpone
non-essential travel or events; etc.).
f. Deliver services remotely (e.g. phone, video, internet,
etc.).
g. Deliver products through curbside pick-up.
D. Personal protective equipment (PPE).
1. Employers covered by this section and not otherwise
covered by the VOSH Standards for General Industry (16VAC25-90-1910), shall
comply with the following requirements for a SARS-CoV-2 virus and COVID-19
disease hazard assessment and personal protective equipment selection:
a. The employer shall assess the workplace to determine if
SARS-CoV-2 virus or COVID-19 disease hazards or job tasks are present or are
likely to be present that necessitate the use of personal protective equipment
(PPE). The employer shall provide for employee and employee representative
involvement in the assessment process.
b. If such hazards or job tasks are present or likely to be
present, the employer shall:
(1) Except as otherwise required in the standard, select
and have each affected employee use the types of PPE that will protect the
affected employee from the SARS-CoV-2 virus or COVID-19 disease hazards
identified in the hazard assessment;
(2) Communicate selection decisions to each affected
employee; and
(3) Select PPE that properly fits each affected employee.
2. The employer shall verify that the required SARS-CoV-2
virus and COVID-19 disease workplace hazard assessment has been performed
through a written certification that identifies the workplace evaluated; the
person certifying that the evaluation has been performed; the date of the
hazard assessment; and the document as a certification of hazard assessment.
3. Unless specifically addressed by an industry specific
standard applicable to the employer and providing for PPE protections to
employees from the SARS-COV-2 virus or COVID-19 disease (e.g.,
16VAC25-175-1926, 16VAC25-190-1928, 16VAC25-100-1915, 16VAC25-120-1917, or
16VAC25-130-1918), the requirements of 16VAC25-90-1910.132 (General
requirements) and 16VAC25-90-1910.134 (Respiratory protection) shall apply to
all employers for that purpose.
4. The employer shall implement a respiratory protection
program in accordance with 16VAC25-90-1910.134 (b) through (d) (except
(d)(1)(iii)), and (f) through (m), that covers each employee required to use a
respirator.
5. Unless contraindicated by a hazard assessment and
equipment selection requirements in subdivision 1 of this subsection, employees
classified as very high or high exposure risk shall be provided with and wear
gloves, a gown, a face shield or goggles, and a respirator when in contact with
or inside six feet of patients or other persons known to be or suspected of being
infected with SARS-CoV-2. Where indicated by the hazard assessment and
equipment selection requirements in subsection D of this section, such
employees shall also be provided with and wear a surgical/medical procedure
mask. Gowns shall be large enough to cover the areas requiring protection.
E. Employee training shall be provided in accordance with
the requirements of 16VAC25-220-80 of this standard.
16VAC25-220-60. Requirements for hazards or job tasks
classified at medium exposure risk.
A. The requirements in this section for employers with
hazards or job tasks classified as medium exposure risk apply in addition to
requirements contained in 16VAC25-220-40, 16VAC25-220-70, and 16VAC25-220-80.
B. Engineering controls.
1. Employers shall ensure that air-handling systems where
installed are appropriate to address the SARS-CoV-2 virus and COVID-19 disease
related hazards and job tasks that occur at the workplace and:
a. Are maintained in accordance with the manufacturer's
instructions; and
b. Comply with minimum American National Standards
Institute (ANSI)/American Society of Heating, Refrigerating and
Air-Conditioning Engineers (ASHRAE) Standards 62.1 and 62.2 (ASHRAE 2019a,
2019b), which include requirements for outdoor air ventilation in most residential
and nonresidential spaces, and ANSI/ASHRAE/ASHE Standard 170 (ASHRAE 2017a),
which covers both outdoor and total air ventilation in healthcare facilities.
Based on risk assessments or owner project requirements, designers of new and
existing facilities can go beyond the minimum requirements of these standards.
C. Administrative and work practice controls.
1. To the extent feasible, employers shall implement the
following administrative and work practice controls:
a. Prior to the commencement of each work shift,
prescreening or surveying shall be required to verify each covered employee
does not have signs or symptoms of COVID-19.
b. Provide face coverings to suspected to be infected with
SARS-C0V-2 non-employees to contain respiratory secretions until the
non-employees are able to leave the site (i.e., for medical evaluation and care
or to return home).
c. Implement flexible worksites (e.g., telework).
d. Implement flexible work hours (e.g., staggered shifts).
e. Increase physical distancing between employees at the
worksite to six feet.
f. Increase physical distancing between employees and other
persons, including customers to six feet (e.g., drive-through physical
barriers) where such barriers will aid in mitigating the spread of SARS-CoV-2
virus transmission, etc.
g. To the extent feasible, install physical barriers (e.g.,
such as clear plastic sneeze guards, etc.), where such barriers will aid in
mitigating the spread of SARS-CoV-2 virus transmission.
h. Implement flexible meeting and travel options (e.g.,
using telephone or video conferencing instead of in person meetings; postponing
non-essential travel or events; etc.).
i. Deliver services remotely (e.g. phone, video, internet,
etc.).
j. Deliver products through curbside pick-up or delivery.
k. Require employers to provide and employees to wear face
coverings who, because of job tasks cannot feasibly practice physical
distancing from another employee or other person if the hazard assessment has
determined that personal protective equipment, such as respirators or
surgical/medical procedure masks, was not required for the job task.
l. Require employers to provide and employees in customer
facing jobs to wear face coverings.
D. Personal protective equipment.
1. Employers covered by this section and not otherwise
covered by the VOSH Standards for General Industry (16VAC25-90-1910) shall
comply with the following requirements for a SARS-CoV-2 virus and COVID-19
disease related hazard assessment and personal protective equipment selection:
a. The employer shall assess the workplace to determine if
SARS-CoV-2 or COVID-19 hazards or job tasks are present or are likely to be
present that necessitate the use of personal protective equipment (PPE). The
employer shall provide for employee and employee representative involvement in
the assessment process. If such hazards or job tasks are present or likely to
be present, the employer shall:
i. Except as otherwise required in the standard, select and
have each affected employee use the types of PPE that will protect the affected
employee from the SARS-CoV-2 virus or COVID-19 disease hazards identified in
the hazard assessment;
ii. Communicate selection decisions to each affected
employee; and
iii. Select PPE that properly fits each affected employee.
2. The employer shall verify that the required SARS-CoV-2
virus and COVID-19 disease workplace hazard assessment has been performed
through a written certification that identifies the workplace evaluated; the
person certifying that the evaluation has been performed; the date of the
hazard assessment; and the document as a certification of hazard assessment.
3. Unless specifically addressed by an industry specific
standard applicable to the employer and providing for PPE protections to
employees from the SARS-COV-2 virus or COVID-19 disease (e.g.,
16VAC25-175-1926, 16VAC25-190-1928, 16VAC25-100-1915, 16VAC25-120-1917, or
16VAC25-130-1918), the requirements of 16VAC25-90-1910.132 (General
requirements) and 16VAC25-90-1910.134 (Respiratory protection) shall apply to
all employers for that purpose.
4. PPE ensembles for employees in the medium exposure risk
category will vary by work task, the results of the employer’s hazard
assessment, and the types of exposures employees have on the job.
16VAC25-220-70. Infectious disease preparedness and response
plan.
A. Employers with hazards or job tasks classified as:
1. Very high and high shall develop and implement a written
Infectious Disease Preparedness and Response Plan;
2. Medium with 11 or more employees shall develop and
implement a written Infectious Disease Preparedness and Response Plan.
B. The plan and training requirements tied to the plan
shall only apply to those employees classified as very high, high, and medium
covered by this section.
C. Employers shall designate a person to be responsible
for implementing their plan. The plan shall:
1. Identify the name or title of the person responsible for
administering the plan. This person shall be knowledgeable in infection control
principles and practices as the principles and practices apply to the facility,
service, or operation.
2. Provide for employee involvement in development and
implementation of the plan.
3. Consider and address the level of SARS-CoV-2 virus and
COVID-19 disease risk associated with various places of employment, the hazards
employees are exposed to at those sites, and job tasks employees perform at
those sites. Such considerations shall include:
a. Where, how, and to what sources of the SARS-CoV-2 virus
or COVID-19 disease might employees be exposed at work, including:
i. The general public, customers, other employees,
patients, and other persons;
ii. Known or suspected to be infected with the SARS-CoV-2
virus persons or those at particularly high risk of COVID-19 infection (e.g.,
local, state, national, and international travelers who have visited locations
with ongoing COVID-19 community transmission and healthcare employees who have
had unprotected exposures to known or suspected to be infected with SARS-CoV-2
virus persons); and
iii. Situations where employees work more than one job with
different employers and encounter hazards or engage in job tasks that present a
very high, high, or medium level of exposure risk.
b. To the extent permitted by law, including HIPAA,
employees' individual risk factors. For example, people of any age with one or
more of the following conditions are at increased risk of severe illness from
COVID-19: chronic kidney disease; COPD (chronic obstructive pulmonary disease);
immunocompromised state (weakened immune system) from solid organ transplant;
obesity (body mass index or BMI of 40 or higher); serious heart conditions,
such as heart failure, coronary artery disease, or cardiomyopathies; sickle
cell disease; or type 2 diabetes mellitus. Also, for example, people with one
or more of the following conditions might be at an increased risk for severe
illness from COVID-19: asthma (moderate-to-severe); cerebrovascular disease
(affects blood vessels and blood supply to the brain); cystic fibrosis;
hypertension or high blood pressure; immunocompromised state (weakened immune
system) from blood or bone marrow transplant, immune deficiencies, HIV, use of
corticosteroids, or use of other immune weakening medicines; neurologic
conditions, such as dementia; liver disease; pregnancy; pulmonary fibrosis
(having damaged or scarred lung tissues); smoking; thalassemia (a type of blood
disorder); type 1 diabetes mellitus; etc.
c. Engineering, administrative, work practice, and personal
protective equipment controls necessary to address those risks.
4. Consider contingency plans for situations that may arise
as a result of outbreaks, such as:
a. Increased rates of employee absenteeism;
b. The need for physical distancing, staggered work shifts,
downsizing operations, delivering services remotely, and other
exposure-reducing workplace control measures such as elimination and
substitution, engineering controls, administrative and work practice controls,
and personal protective equipment, e.g., respirators, surgical/medical
procedure masks, etc.
c. Options for conducting essential operations with a
reduced workforce, including cross-training employees across different jobs in
order to continue operations or deliver surge services; and
d. Interrupted supply chains or delayed deliveries.
5. Identify basic infection prevention measures to be
implemented:
a. Promote frequent and thorough hand washing, including by
providing employees, customers, visitors, the general public, and other persons
to the place of employment with a place to wash their hands. If soap and
running water are not immediately available, provide hand sanitizers.
b. Maintain regular housekeeping practices, including
routine cleaning and disinfecting of surfaces, equipment, and other elements of
the work environment.
c. Establish policies and procedures for managing and
educating visitors to the place of employment.
6. Provide for the prompt identification and isolation of
known or suspected to be infected with the SARS-CoV-2 virus employees away from
work, including procedures for employees to report when they are experiencing
symptoms of COVID-19.
7. Address infectious disease preparedness and response
with outside businesses, including, but not limited to, subcontractors who
enter the place of employment, businesses that provide or contract or temporary
employees to the employer, and other persons accessing the place of employment
to comply with the requirements of this standard and the employer's plan.
8. Identify the mandatory and non-mandatory recommendations
in any CDC guidelines or Commonwealth of Virginia guidance documents the
employer is complying with, if any, in lieu of a provision of this standard, as
provided for in 16VAC25-220-10 G 1 and G 2.
9. Ensure compliance with mandatory requirements of any
applicable Virginia executive order or order of public health emergency related
to the SARS-CoV-2 virus or COVID-19 disease.
16VAC25-220-80. Training.
A. Employers with hazards or job tasks classified as very
high, high, or medium exposure risk at a place of employment shall provide
training on the hazards and characteristics of the SARS-CoV-2 virus and
COVID-19 disease to all employees working at the place of employment regardless
of employee risk classification. The training program shall enable each
employee to recognize the hazards of the SARS-CoV-2 virus and signs and
symptoms of COVID-19 disease and shall train each employee in the procedures to
be followed in order to minimize these hazards.
B. The training required under subsection A shall include:
1. The requirements of this standard;
2. The mandatory and non-mandatory recommendations in any
CDC guidelines or State of Virginia guidance documents the employer is
complying with, if any, in lieu of a provision of this standard as provided for
in section 16VAC25-220-10 G 1 and G 2;
3. The characteristics and methods of transmission of the
SARS-CoV-2 virus;
4. The signs and symptoms of the COVID-19 disease;
5. Risk factors of severe COVID-19 illness with underlying
health conditions;
6. Awareness of the ability of pre-symptomatic and
asymptomatic COVID-19 persons to transmit the SARS-CoV-2 virus;
7. Safe and healthy work practices, including but not
limited to, physical distancing, disinfection procedures, disinfecting
frequency, ventilation, noncontact methods of greeting, etc.;
8. PPE:
a. When PPE is required;
b. What PPE is required;
c. How to properly don, doff, adjust, and wear PPE;
d. The limitations of PPE;
e. The proper care, maintenance, useful life, and disposal
of PPE; and
f. Heat-related illness prevention including the signs and
symptoms of heat-related illness;
9. The anti-discrimination provisions in 16VAC25-220-90;
and
10. The employer's Infectious Disease Preparedness and
Response Plan, where applicable.
C. Employers covered by 16VAC25-220-50 shall verify
compliance with 16VAC25-220-80 A by preparing a written certification record
for those employees exposed to hazards or job tasks classified as very high,
high, or medium exposure risk levels. The written certification record shall
contain the name or other unique identifier of the employee trained, the
trained employee's physical or electronic signature, the date of the training,
and the name of the person who conducted the training, or for computer-based
training, the name of the person or entity that prepared the training
materials. If the employer relies on training conducted by another employer or
completed prior to the effective date of this standard, the certification
record shall indicate the date the employer determined the prior training was
adequate rather than the date of actual training
D. The latest training certification shall be maintained.
E. When the employer has reason to believe that any
affected employee who has already been trained does not have the understanding
and skill required by 16VAC25-220-80 A, the employer shall retrain each such
employee. Circumstances where retraining is required include, but are not
limited to, situations where:
1. Changes in the workplace, SARS-CoV-2 virus or COVID-19
disease hazards exposed to, or job tasks performed render previous training
obsolete;
2. Changes are made to the employer's Infectious Disease
Preparedness and Response Plan; or
3.Inadequacies in an affected employee's knowledge or use
of workplace control measures indicate that the employee has not retained the
requisite understanding or skill.
F. Employers with hazards or job tasks classified at lower
risk shall provide written or oral information to employees exposed to such
hazards or engaged in such job tasks on the hazards and characteristics of
SARS-COV-2 and the symptoms of COVID-19 and measures to minimize exposure. The
Department of Labor and Industry shall develop an information sheet containing
information on the items listed in subsection G, which an employer may utilize
to comply with this subsection.
G. The information required under subsection F shall
include at a minimum:
1. The requirements of this standard;
2. The characteristics and methods of transmission of the
SARS-CoV-2 virus;
3. The symptoms of the COVID-19 disease;
4. The ability of pre-symptomatic and asymptomatic COVID-19
persons to transmit the SARS-CoV-2 virus;
5. Safe and healthy work practices and control measures,
including but not limited to, physical distancing, sanitation and disinfection
practices; and
6. The anti-discrimination provisions of this standard in
16VAC25-220-90.
16VAC25-220-90. Discrimination against an employee for
exercising rights under this standard is prohibited.
A. No person shall discharge or in any way discriminate
against an employee because the employee has exercised rights under the safety
and health provisions of this standard, Title 40.1 of the Code of Virginia, and
implementing regulations under 16VAC25-60-110 for themselves or others.
B. No person shall discharge or in any way discriminate
against an employee who voluntarily provides and wears the employee's own
personal protective equipment, including but not limited to a respirator, face
shield, or gloves, or face covering if such equipment is not
provided by the employer, provided that the PPE does not create a greater
hazard to the employee or create a serious hazard for other employees.
C. No person shall discharge or in any way discriminate
against an employee who raises a reasonable concern about infection control
related to the SARS-CoV-2 virus and COVID-19 disease to the employer, the
employer's agent, other employees, a government agency, or to the public such
as through print, online, social, or any other media.
D. Nothing in this standard shall limit an employee from
refusing to do work or enter a location that the employee feels is unsafe.
16VAC25-60-110 contains the requirements concerning discharge or discipline of
an employee who has refused to complete an assigned task because of a
reasonable fear of injury or death.
DOCUMENTS INCORPORATED BY REFERENCE (16VAC25-220)
List
N Products with Emerging Viral Pathogens and Human Coronavirus claims for use
against SARS-CoV-2, U.S. Environmental Protection Agency, Date Accessed
July 20, 2020
Biosafety
in Microbiological and Biomedical Laboratories, 5th Edition, HHS
Publication No. (CDC) 21-112, U.S. Department of Health and Human Services,
Public Health Service, Centers for Disease Control and Prevention, National
Institutes of Health Revised December 2009
VA.R. Doc. No. R20-6457; Filed July 24, 2020, 2:04 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR CONTRACTORS
Final Regulation
REGISTRAR'S NOTICE: The
Board for Contractors 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 or the appropriation act where no agency
discretion is involved. The Board for Contractors will receive, consider, and
respond to petitions by any interested person at any time with respect to
reconsideration or revision.
Title of Regulation: 18VAC50-22. Board for
Contractors Regulations (amending 18VAC50-22-260).
Statutory Authority: § 54.1-201 of the Code of Virginia.
Effective Date: October 1, 2020.
Agency Contact: Eric L. Olson, Executive Director, Board
for Contractors, 9960 Mayland Drive, Suite 400, Richmond, VA 23233, telephone
(804) 367-2785, FAX (866) 430-1033, or email contractors@dpor.virginia.gov.
Summary:
As mandated in Chapter 685 of the 2020 Acts of Assembly,
the amendment requires a licensed contractor to appropriately classify a worker
as an employee or as an independent contractor and makes failure to do so a
violation of the regulation.
18VAC50-22-260. Filing of charges; prohibited acts.
A. All complaints against contractors and residential
building energy analyst firms may be filed with the Department of Professional
and Occupational Regulation at any time during business hours, pursuant to § 54.1-1114
of the Code of Virginia.
B. The following acts are prohibited acts:
1. Failure in any material way to comply with provisions of
Chapter 1 (§ 54.1-100 et seq.) or Chapter 11 (§ 54.1-1100 et seq.) of
Title 54.1 of the Code of Virginia or the regulations of the board.
2. Furnishing substantially inaccurate or incomplete
information to the board in obtaining, renewing, reinstating, or maintaining a
license.
3. Failure of the responsible management, designated employee,
or qualified individual to report to the board, in writing, the suspension or
revocation of a contractor license by another state or conviction in a court of
competent jurisdiction of a building code violation.
4. Publishing or causing to be published any advertisement
relating to contracting that contains an assertion, representation, or
statement of fact that is false, deceptive, or misleading.
5. Negligence or incompetence in the practice of contracting
or residential building energy analyses.
6. Misconduct in the practice of contracting or residential
building energy analyses.
7. A finding of improper or dishonest conduct in the practice
of contracting by a court of competent jurisdiction or by the board.
8. Failure of all those who engage in residential contracting,
excluding subcontractors to the contracting parties and those who engage in
routine maintenance or service contracts, to make use of a legible written
contract clearly specifying the terms and conditions of the work to be
performed. For the purposes of this chapter, residential contracting means
construction, removal, repair, or improvements to single-family or
multiple-family residential buildings, including accessory-use structures as
defined in § 54.1-1100 of the Code of Virginia. Prior to commencement of work
or acceptance of payments, the contract shall be signed by both the consumer
and the licensee or his agent.
9. Failure of those engaged in residential contracting as
defined in this chapter to comply with the terms of a written contract that
contains the following minimum requirements:
a. When work is to begin and the estimated completion date;
b. A statement of the total cost of the contract and the
amounts and schedule for progress payments including a specific statement on
the amount of the down payment;
c. A listing of specified materials and work to be performed,
which is specifically requested by the consumer;
d. A "plain-language" exculpatory clause concerning
events beyond the control of the contractor and a statement explaining that
delays caused by such events do not constitute abandonment and are not included
in calculating timeframes for payment or performance;
e. A statement of assurance that the contractor will comply
with all local requirements for building permits, inspections, and zoning;
f. Disclosure of the cancellation rights of the parties;
g. For contracts resulting from a door-to-door solicitation, a
signed acknowledgment by the consumer that he has been provided with and read
the Department of Professional and Occupational Regulation statement of
protection available to him through the Board for Contractors;
h. Contractor's name, address, license number, class of
license, and classifications or specialty services;
i. A statement providing that any modification to the
contract, which changes the cost, materials, work to be performed, or estimated
completion date, must be in writing and signed by all parties; and
j. Effective with all new contracts entered into after July 1,
2015, a statement notifying consumers of the existence of the Virginia
Contractor Transaction Recovery Fund that includes information on how to
contact the board for claim information.
10. Failure to make prompt delivery to the consumer before
commencement of work of a fully executed copy of the contract as described in
subdivisions 8 and 9 of this subsection for construction or contracting work.
11. Failure of the contractor to maintain for a period of five
years from the date of contract a complete and legible copy of all documents
relating to that contract, including the contract and any addenda or change
orders.
12. Refusing or failing, upon request, to produce to the
board, or any of its agents, any document, book, record, or copy of it in the
licensee's possession concerning a transaction covered by this chapter or for
which the licensee is required to maintain records.
13. Failing to respond to an agent of the board or providing
false, misleading or incomplete information to an investigator seeking
information in the investigation of a complaint filed with the board against
the contractor. Failing or refusing to claim certified mail sent to the
licensee's address of record shall constitute a violation of this regulation.
14. Abandonment defined as the unjustified cessation of work
under the contract for a period of 30 days or more.
15. The intentional and unjustified failure to complete work
contracted for or to comply with the terms in the contract.
16. The retention or misapplication of funds paid, for which
work is either not performed or performed only in part.
17. Making any misrepresentation or making a false promise
that might influence, persuade, or induce.
18. Assisting another to violate any provision of Chapter 1 (§ 54.1-100
et seq.) or Chapter 11 (§ 54.1-1100 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.
19. Allowing a firm's license to be used by another.
20. Acting as or being an ostensible licensee for undisclosed
persons who do or will control or direct, directly or indirectly, the
operations of the licensee's business.
21. Action by the firm, responsible management as defined in
this chapter, designated employee or qualified individual to offer, give, or
promise 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 the construction industry.
22. Where the firm, responsible management as defined in this
chapter, designated employee or qualified individual has been convicted or
found guilty, after initial licensure, 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.
23. Failure to inform the board in writing, within 30 days,
that the firm, a member of responsible management as defined in this chapter,
its designated employee, or its qualified individual has pleaded guilty or nolo
contendere or was convicted and found guilty of any felony or of a Class 1
misdemeanor or any misdemeanor conviction for activities carried out while
engaged in the practice of contracting.
24. Having been disciplined by any county, city, town, or any
state or federal governing body including action by the Virginia Department of
Health, which action shall be reviewed by the board before it takes any
disciplinary action of its own.
25. Failure to abate a violation of the Virginia Uniform
Statewide Building Code, as amended.
26. Failure of a contractor to comply with the notification
requirements of the Virginia Underground Utility Damage Prevention Act, Chapter
10.3 (§ 56-265.14 et seq.) of Title 56 of the Code of Virginia (Miss Utility).
27. Practicing in a classification, specialty service, or
class of license for which the contractor is not licensed.
28. Failure to satisfy any judgments.
29. Contracting with an unlicensed or improperly licensed
contractor or subcontractor in the delivery of contracting services.
30. Failure to honor the terms and conditions of a warranty.
31. Failure to obtain written change orders, which are signed
by both the consumer and the licensee or his agent, to an already existing
contract.
32. Failure to ensure that supervision, as defined in this
chapter, is provided to all helpers and laborers assisting licensed tradesman.
33. Failure to obtain a building permit or applicable
inspection, where required.
34. Failure of a residential building energy analyst firm to
ensure that residential building energy analyses conducted by the firm are
consistent with the requirements set forth by the board, the U.S. Environmental
Protection Agency, the U.S. Department of Energy, or the Energy Star Program.
35. Failure of a residential building energy analyst firm to
maintain the general liability insurance required in 18VAC50-22-62 C at any
time while licensed by the board.
36. Failure of a contractor holding the drug lab remediation
specialty to ensure that remediation work conducted by the firm or properly
licensed subcontractors is consistent with the guidelines set forth by the U.S.
Environmental Protection Agency, Virginia Department of Environmental Quality,
Virginia Department of Health, or Virginia Department of Forensic Science.
37. Failure of a contractor to appropriately classify all
workers as employees or as independent contractors as provided by law.
VA.R. Doc. No. R20-6446; Filed July 20, 2020, 10:30 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
REAL ESTATE BOARD
Final Regulation
REGISTRAR'S NOTICE: The
Real Estate 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 or the appropriation act where no agency discretion is involved.
The Real Estate Board will receive, consider, and respond to petitions by any
interested person at any time with respect to reconsideration or revision.
Title of Regulation: 18VAC135-20. Virginia Real
Estate Board Licensing Regulations (amending 18VAC135-20-180).
Statutory Authority: §§ 54.1-201 and 54.1-2105 of
the Code of Virginia.
Effective Date: October 1, 2020.
Agency Contact: Christine Martine, Executive Director,
Real Estate Board, 9960 Mayland Drive, Suite 400, Richmond, VA 23233, telephone
(804) 367-8552, FAX (804) 527-4299, or email reboard@dpor.virginia.gov.
Summary:
Pursuant to Chapter 1014 of the 2020 Acts of Assembly, the
amendments conform the regulation to statute by requiring that rent or escrow
fund advances for lease transactions must be placed in an escrow account by the
end of the fifth business banking day following receipt, regardless of when
they are received.
18VAC135-20-180. Maintenance and management of escrow accounts.
A. Maintenance of escrow accounts.
1. If money is to be held in escrow, each firm or sole
proprietorship shall maintain in the name by which it is licensed one or more
federally insured separate escrow accounts in a federally insured depository
into which all down payments, earnest money deposits, money received upon final
settlement, application deposits as defined by § 55.1-1200 of the Code of
Virginia, rental payments, rental security deposits, money advanced by a buyer
or seller for the payment of expenses in connection with the closing of real
estate transactions, money advanced by the broker's client or expended on
behalf of the client, or other escrow funds received by the broker or his
associates on behalf of his client or any other person shall be deposited
unless all principals to the transaction have agreed otherwise in writing. The
balance in the escrow accounts shall be sufficient at all times to account for
all funds that are designated to be held by the firm or sole proprietorship.
The principal broker shall be held responsible for these accounts, including
having signatory authority on these accounts. The supervising broker and any
other licensee with escrow account authority may be held responsible for these
accounts. All such accounts, checks, and bank statements shall be labeled
"escrow" and the accounts shall be designated as "escrow"
accounts with the financial institution where such accounts are established.
2. Funds to be deposited in the escrow account may include
moneys that shall ultimately belong to the licensee, but such moneys shall be
separately identified in the escrow account records and shall be paid to the
firm by a check drawn on the escrow account when the funds become due to the
licensee. Funds in an escrow account shall not be paid directly to the licensees
of the firm. The fact that an escrow account contains money that may ultimately
belong to the licensee does not constitute "commingling of funds" as
set forth by subdivision C 2 of this section, provided that there are periodic
withdrawals of said funds at intervals of not more than six months and that the
licensee can at all times accurately identify the total funds in that account
that belong to the licensee and the firm.
3. If escrow funds are used to purchase a certificate of
deposit, the pledging or hypothecation of such certificate, or the absence of
the original certificate from the direct control of the principal or
supervising broker, shall constitute commingling as prohibited by subdivision C
2 of this section.
4. Lease transactions: application deposits. Any application
deposit as defined by § 55.1-1200 of the Code of Virginia paid by a
prospective tenant for the purpose of being considered as a tenant for a
dwelling unit to a licensee acting on behalf of a landlord client shall be
placed in escrow by the end of the fifth business banking day following
approval of the rental application by the landlord unless all principals to the
lease transaction have agreed otherwise in writing.
B. Disbursement of funds from escrow accounts.
1. a. Purchase transactions. Upon the ratification of a
contract, an earnest money deposit received by the principal broker or
supervising broker or his associates shall be placed in an escrow account by
the end of the fifth business banking day following ratification, unless
otherwise agreed to in writing by the principals to the transaction, and shall
remain in that account until the transaction has been consummated or
terminated. In the event that the transaction is not consummated, the principal
broker or supervising broker shall hold such funds in escrow until (i) all
principals to the transaction have agreed in a written agreement as to their
disposition, upon which the funds shall be returned to the agreed upon
principal as provided in such written agreement; (ii) a court of competent
jurisdiction orders such disbursement of the funds; (iii) the funds are
successfully interpleaded into a court of competent jurisdiction pursuant to
this section; or (iv) the broker releases the funds to the principal to the
transaction who is entitled to receive them in accordance with the clear and
explicit terms of the contract that established the earnest money deposit. At
the option of a broker, written notice may be sent by the broker that release
of such funds shall be made unless a written protest is received from the
principal who is not receiving the funds by such broker within 15 calendar days
of the date of such notice. Notice of a disbursement shall be given to the
parties to the transaction in accordance with the contract, but if the contract
does not specify a method of delivery, one of the following methods complies
with this section: (i) hand delivery; (ii) United States mail, postage prepaid,
provided that the sender retains sufficient proof of mailing, which may be
either a United States postal certificate of mailing or a certificate of
service prepared by the sender confirming such mailing; (iii) electronic means,
provided that the sender retains sufficient proof of the electronic delivery,
which may be an electronic receipt of delivery, a confirmation that the notice
was sent by facsimile, or a certificate of service prepared by the sender
confirming the electronic delivery; or (iv) overnight delivery using a
commercial service or the United States Postal Service. Except as provided in
the clear and explicit terms of the contract, no broker shall be required to
make a determination as to the party entitled to receive the earnest money
deposit. A broker who complies with this section shall be immune from liability
to any of the parties to the contract.
A principal broker or supervising broker holding escrow funds
for a principal to the transaction may seek to have a court of competent
jurisdiction take custody of disputed or unclaimed escrow funds via an
interpleader action pursuant to § 16.1-77 of the Code of Virginia.
If a principal broker or supervising broker is holding escrow
funds for the owner of real property and such property is foreclosed upon by a
lender, the principal broker or supervising broker shall have the right to file
an interpleader action pursuant to § 16.1-77 of the Code of Virginia and
otherwise comply with the provisions of § 54.1-2108.1 of the Code of
Virginia.
If there is in effect at the date of the foreclosure sale a
real estate purchase contract to buy the property foreclosed upon and the real
estate purchase contract provides that the earnest money deposit held in escrow
by a firm or sole proprietorship shall be paid to a principal to the contract
in the event of a termination of the real estate purchase contract, the
foreclosure shall be deemed a termination of the real estate purchase contract,
and the principal broker or supervising broker may, absent any default on the
part of the purchaser, disburse the earnest money deposit to the purchaser pursuant
to such provisions of the real estate purchase contract without further consent
from or notice to the principals.
b. Lease transactions: security deposits. Any security deposit
held by a firm or sole proprietorship shall be placed in an escrow account by
the end of the fifth business banking day following receipt, unless otherwise
agreed to in writing by the principals to the transaction. Each such security
deposit shall be treated in accordance with the security deposit provisions of
the Virginia Residential Landlord and Tenant Act, Chapter 12 (§ 55.1-1200
et seq.) of Title 55.1 of the Code of Virginia, unless exempted therefrom, in
which case the terms of the lease or other applicable law shall control.
Notwithstanding anything in this section to the contrary, unless the landlord
has otherwise become entitled to receive the security deposit or a portion
thereof, the security deposit shall not be removed from an escrow account
required by the lease without the written consent of the tenant. If there is in
effect at the date of the foreclosure sale a tenant in a residential dwelling
unit foreclosed upon and the landlord is holding a security deposit of the
tenant, the landlord shall handle the security deposit in accordance with
applicable law, which requires the holder of the landlord's interest in the
dwelling unit at the time of termination of tenancy to return any security
deposit and any accrued interest that is duly owed to the tenant, whether or
not such security deposit is transferred with the landlord's interest by law or
equity, and regardless of any contractual agreements between the original
landlord and his successors in interest. Nothing in this section shall be
construed to prevent the landlord from making lawful deductions from the security
deposit in accordance with applicable law.
c. Lease transactions: prepaid rent or escrow fund
advances. Unless otherwise agreed in writing by all principals to the
transaction, all prepaid rent and other money paid to the licensee in
connection with the lease shall be placed in an escrow account by the end of
the fifth business banking day following receipt, regardless of when
received, and remain in that account until paid in accordance with the
terms of the lease and the property management agreement, as applicable, except
the prepaid rent, which shall be treated in accordance with the prepaid
rent provision of the Virginia Residential Landlord and Tenant Act, Chapter 12
(§ 55.1-1200 et seq.) of Title 55.1 of the Code of Virginia.
d. Lease transactions: rent payments. If there is in effect at
the date of the foreclosure sale a tenant in a residential dwelling unit
foreclosed upon and the rent is paid to a licensee acting on behalf of the
landlord pursuant to a properly executed property management agreement, the
licensee may collect the rent in accordance with § 54.1-2108.1 A 4 of the
Code of Virginia.
2. a. Purchase transactions. Unless otherwise agreed in
writing by all principals to the transaction, a licensee shall not be entitled
to any part of the earnest money deposit or to any other money paid to the
licensee in connection with any real estate transaction as part of the
licensee's commission until the transaction has been consummated.
b. Lease transactions. Unless otherwise agreed in writing by
the principals to the lease or property management agreement, as applicable, a
licensee shall not be entitled to any part of the security deposit or to any
other money paid to the licensee in connection with any real estate lease as
part of the licensee's commission except in accordance with the terms of the
lease or the property management agreement, as applicable. Notwithstanding
anything in this section to the contrary, unless the landlord has otherwise
become entitled to receive the security deposit or a portion thereof, the
security deposit shall not be removed from an escrow account required by the
lease without the written consent of the tenant. Except in the event of a
foreclosure, if a licensee elects to terminate the property management
agreement with the landlord, the licensee may transfer any funds held in escrow
on behalf of the landlord in accordance with § 54.1-2108.1 B 5 of the Code
of Virginia. If there is in effect at the date of the foreclosure sale a
written property management agreement between the licensee and the landlord,
the property management agreement shall continue in accordance with § 54.1-2108.1
A 5 of the Code of Virginia.
3. On funds placed in an account bearing interest, written
disclosure in the contract of sale or lease at the time of contract or lease
writing shall be made to the principals to the transaction regarding the
disbursement of interest.
4. A licensee shall not disburse or cause to be disbursed
moneys from an escrow or property management escrow account unless sufficient
money is on deposit in that account to the credit of the individual client or
property involved.
5. Unless otherwise agreed in writing by all principals to the
transaction, expenses incidental to closing a transaction (e.g., fees for
appraisal, insurance, credit report) shall not be deducted from a deposit or
down payment.
C. Actions including improper maintenance of escrow funds
include:
1. Accepting any note, nonnegotiable instrument, or anything
of value not readily negotiable, as a deposit on a contract, offer to purchase,
or lease without acknowledging its acceptance in the agreement;
2. Commingling the funds of any person by a principal or
supervising broker or his employees or associates or any licensee with his own
funds, or those of his corporation, firm, or association;
3. Failure to deposit escrow funds in an account designated to
receive only such funds as required by subdivision A 1 of this section;
4. Failure to have sufficient balances in an escrow account at
all times for all funds that are designated to be held by the firm or sole
proprietorship as required by this chapter; and
5. Failing as principal broker to report to the board within
three business days instances where the principal broker reasonably believes
the improper conduct of a licensee, independent contractor, or employee has
caused noncompliance with this section.
VA.R. Doc. No. R20-6458; Filed July 22, 2020, 3:17 p.m.