TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
CRIMINAL JUSTICE SERVICES BOARD
Proposed Regulation
Title of Regulation: 6VAC20-60. Rules Relating to
Compulsory Minimum Training Standards for Dispatchers (amending 6VAC20-60-10 through 6VAC20-60-90).
Statutory Authority: § 9.1-102 of the Code of
Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: July 28, 2017.
Agency Contact: Barbara Peterson-Wilson, Law Enforcement
Program Coordinator, Department of Criminal Justice Services, 1100 Bank Street,
Richmond, VA 23219, telephone (804) 225-4503, FAX (804) 786-0410, or email
barbara.peterson-wilson@dcjs.virginia.gov.
Basis: Pursuant to § 9.1-102 of the Code of Virginia,
the Department of Criminal Justice Services (DCJS) and the Criminal Justice
Services Board are authorized to adopt regulations to administer the regulatory
program and establish compulsory minimum training standards for all dispatchers
employed by or in any local or state government agency, whose duties include
the dispatching of law-enforcement personnel. Section 9.1-107 of the Code of
Virginia charges the Director of DCJS with executive and administrative
responsibility to carry out the specific duties imposed on DCJS under §
9.1-102.
Purpose: The Rules Relating to Compulsory Minimum
Training Standards for Dispatchers identifies the categories of training for
compulsory minimum training standards for dispatchers along with the
information regarding training schools and the timeline for completing
training, grading, and recordkeeping requirements. Dispatchers are often the
first responders to emergency situations. Dispatchers must quickly assess the
information provided by an individual contacting 911 and dispatch the appropriate
resources while calming victims, gathering additional details to relay to law
enforcement, or by providing lifesaving instructions for cardiopulmonary
resuscitation or the Heimlich maneuver. This regulation protects the health,
welfare, and safety of citizens and first responders by ensuring dispatchers
who are employed by or in a local or state government agency whose duties
include dispatching of law-enforcement personnel receive adequate training.
Substance:
6VAC20-60-10. Definitions.
• Revise the definition of certified training academy.
• Add term and definition for Committee on Training.
• Remove the term and definition for "VCIN/NCIC"
because it is not used within the regulation.
• Remove term "emergency medical dispatcher training"
because it is not used within the regulation.
6VAC20-60-20. Compulsory minimum training standards.
• Headings identifying academy training versus on-the-job
training have been included.
6VAC20-60-25. Approval authority.
• Changes made by the Committee on Training will become
effective 30 days after publication rather than 30 days after notice of
publication.
6VAC20-60-30. Applicability.
• A technical change removes the reference to the
"chapter" in subsection A and replaces it with a reference to the
"section."
6VAC20-60-40. Time requirement for completion of training.
• Language referencing the chief of police and sheriff is
removed as it is redundant. Agency administrator is defined as any chief of
police, sheriff, or agency head of a state or local law-enforcement agency or
non-law-enforcement head of a communications center.
• Language is added to ensure a dispatcher is required to complete
minimum training prior to resuming job duties if granted an extension for any
reason.
6VAC20-60-50. Compliance with compulsory minimum training
standards.
• An inaccurate Administrative Code citation is removed.
• All of the language in subsection C regarding a transition
period commencing in January 2002 is removed because it is no longer relevant.
6VAC20-60-60. Approved training schools.
• The section name is changed to "Approved training and
certified academies."
• Language regarding training, curriculum, and lesson plans has
been removed from subsection A and placed in new subsection E.
• Redundant language has been removed from this section.
• Language citing the relevant portions of § 15.-2-1747 of Code
of Virginia have been added.
• Language has been added that provides DCJS the ability to
suspend or revoke the approval of a previously sanctioned training. Currently
DCJS only has the authority to suspend or revoke the certification of an
academy.
• Academies have been given 15 business days to respond to
suspension or revocation. Academies previously had 15 calendar days.
• Language has been added to require an appeal to the board be
in writing and within 15 business days. Adding this language makes the process
consistent with the process for requesting an appeal before the director.
6VAC20-60-70 Grading.
• Language has been added to require minimum score of 70% on
all tests and to permit the certified training academy to require a score
higher than 70%.
• Language referencing records management is removed because it
is already in the section on administrative requirements.
• Language requiring individuals who fail to complete the
performance outcome or will be required to attend the subject in a subsequent
dispatcher training school has been removed. The language in subsection A
allows for testing and retesting. Dispatcher academies are held infrequently,
and in practice an individual is not required to attend the academy a second
time for a particular subject. Instead they are retested. Additionally,
references to the dated term "training school" have been or are in
the process of being removed from all DCJS regulations.
6VAC20-60-80 Failure to comply with rules and regulations.
• Language is removed that required the director of DCJS receive
notification of an expulsion.
• Language is added requiring compliance with board rules and
rules within the authority of the academy director.
6VAC20-60-90 Administrative requirements.
• The academy director shall complete a report using the
department's electronic records management system for compulsory minimum
training standards and in-service training within 60 days of completion of
compulsory training conducted at the certified training academy. Current
language allows 30 days for submission.
Issues: The primary advantages of this regulation are
ensuring that dispatchers who are employed by or in a local or state government
agency whose duties include dispatching of law-enforcement personnel receive
adequate training. Dispatchers are often the first responders to emergency
situations and ensuring proper training serves to protect the lives of those
experiencing medical emergencies, victims, and first responders.
There are no disadvantages to the public or the Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Criminal
Justice Services Board (Board) proposes to amend its regulation that governs
training for dispatchers1 to 1) update definitions and other
regulatory text to make the regulation easier to read and understand, 2)
specify that all dispatchers who receive a time requirement extension must
complete their training before they take on or resume their job duties, 3)
allow the Department of Criminal Justice Services (DCJS) the authority to
suspend specific training modules and suspend training academies that are not
meeting standards and 4) set a minimum passing score of seventy percent on all
training standard tests.
Result of Analysis. Benefits likely outweigh costs for all
proposed changes.
Estimated Economic Impact. Most of the regulatory changes
proposed by the Board do not change any substantive requirement or duty for any
entity but, instead, are aimed at making the regulatory text easier to read and
understand. Changes to the definitions in the regulation, as well as language
that directs interested parties to the dispatchers' training manual on DCJS's
website, fall into this category of change. No affected entity is likely to
incur costs on account of changes such as these. To the extent that the current
regulation contains outdated definitions, or might be otherwise confusing or
opaque, these changes will benefit readers by making the regulation more easily
understood.
In addition to these clarifying changes, the Board proposes
three substantive changes to this regulation.
Current regulation requires that dispatchers complete their
training within 24 months of the date they are appointed as a dispatcher but also
contains a list of valid reasons for which they may receive an extension of
that time limit. Valid reasons for receiving an extension include: a) illness,
b) injury, c) military service, d) special duty assignment required and
performed in the public interest, e) administrative leave for worker's
compensation, disability retirement issues or suspension pending investigation
or adjudication of a crime and f) any other specific reason documented by the
agency administrator.2 Current regulation specifies that individuals
granted an extension under a) through e) must complete their training before
resuming their duties but f) was inadvertently excluded. The Board now proposes
to also require that individuals granted an extension under f) must also
complete their training before resuming their duties.
Board staff reports that the Board is making this change to
make the process for all extensions consistent. Board staff also reports that
they have no specific information that would indicate that state and local
agencies are not already requiring individuals granted an extension under f) to
complete training before resuming their duties. If any agency has been treating
extensions received under f) as an exemption to the general rule, this proposed
change would likely result in delays in returning dispatchers to their duties
after the reason for the extension has resolved itself. Regulated entities will
benefit from this change as it will allow them greater clarity as to what
training needs to happen and when. The public will also benefit as this change
will help ensure that dispatchers get their required training in a more timely
fashion. Benefits likely exceed costs for this proposed change.
Current regulation allows DCJS to suspend or revoke approval of
any training academy that is noncompliant or deficient but only allows DCJS the
power to suspend or revoke approval for the whole academy. The Board now
proposes to also allow DCJS to also just suspend or revoke individual training
modules. Board staff reports that from time to time law changes, court
decisions or changes in best practices will make the curriculum of individual
training modules obsolete or even erroneous. Right now, DCJS has no way to
address this other than to suspend or revoke approval for the entire training
academy if it is teaching such a module. Board staff reports that the Board is
proposing this change so that DCJS can address problematic training within an
academy without adversely affecting the whole academy. This change will benefit
academies by limiting suspension and revocations of their operations to only
cover specific deficiencies. This change will also benefit dispatcher trainees
as it will better forestall obsolete or erroneous training they might receive
without impeding their ability to be trained in a timely fashion at all.
Benefits likely exceed costs for this proposed change.
Current regulation requires that necessary training be
satisfactorily completed but currently does not specify the tests scores that
would constitute satisfactory completion. Board staff reports that individual
training academies currently set minimum scores. Board staff further reports
that DCJS does not know what those minimum scores are and that minimum scores
may vary from academy to academy. The Board now proposes to require a minimum
score of seventy percent on all tests but also allow academies to require
higher passing scores. This change will likely have no effect on training
academies that currently require scores of seventy percent or higher for their
attendees. If any academies currently allow passing scores below seventy
percent, some attendees may have to remediate their knowledge in classes that
they failed and retake their tests. Student dispatchers, their employees, and
the public will likely benefit, however, from standardizing minimum scores so
that dispatchers are competent to complete their job tasks.
Businesses and Entities Affected. These proposed regulatory
changes will affect training academies, dispatchers and their employer
agencies. Board staff reports that there are approximately 39 training
academies, 43 communications centers, and 372 law-enforcement agencies in the
Commonwealth.
Localities Particularly Affected. No locality should be
particularly affected by these proposed regulatory changes.
Projected Impact on Employment. These proposed regulatory
changes are unlikely to significantly affect employment in the Commonwealth.
Effects on the Use and Value of Private Property. These
proposed regulatory changes are unlikely to affect the use or value of private
property in the Commonwealth.
Real Estate Development Costs. These proposed regulatory
changes are unlikely to affect real estate development costs in the
Commonwealth.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. These proposed regulatory changes are
unlikely to affect any small business in the Commonwealth.
Alternative Method that Minimizes Adverse Impact. No small
businesses will be adversely affected by these proposed regulatory changes.
Adverse Impacts:
Businesses. Businesses in the Commonwealth are unlikely to
experience any adverse impacts on account of this proposed regulation.
Localities. No localities are likely to incur costs on account
of these proposed regulatory changes.
Other Entities. These proposed regulatory changes are unlikely
to adversely affect other entities in the Commonwealth.
___________________________________
1 Dispatchers are individuals who work for any local or
state government agency and whose duties include dispatching law-enforcement
personnel.
2 An agency administrator is "any chief of police,
sheriff, or agency head of a state or local law-enforcement agency or
non-law-enforcement head of a communications center."
Agency's Response to Economic Impact Analysis: The Department
of Criminal Justice Services concurs generally with the economic impact
analysis provided by the Department of Planning and Budget.
Summary:
The proposed amendments (i) specify that dispatchers who
receive a time requirement extension must complete their training before
resuming job duties; (ii) set a minimum passing score of 70% on all training
standard tests and permit an academy to require a higher score; (iii) authorize
the Department of Criminal Justice Services to suspend specific training modules
and suspend training academies that are not meeting standards; (iv) require
that an appeal to the board of the director's decision to suspend or revoke
certification must be in writing and within 15 business days of the date of the
decision; and (v) update definitions and clarify text.
6VAC20-60-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Academy director" means the chief administrative
officer of a certified training academy.
"Agency administrator" means any chief of police,
sheriff, or agency head of a state or local law-enforcement agency or nonlaw-enforcement
non-law-enforcement head of a communications center.
"Board" means the Criminal Justice Services Board.
"Certified training academy" means a training
facility in compliance with academy certification standards and operated by the
state or local unit(s) unit of government for the purpose of providing
instruction of compulsory minimum training standards training criminal
justice personnel.
"Committee on Training" means the standing
committee of the board that is charged with reviewing proposed changes to the
standards, holding public hearings, and approving changes to the standards as
needed.
"Compulsory minimum training standards" means the
performance outcomes and minimum hours approved by the Criminal Justice
Services Board.
"Curriculum Review Committee" or "CRC"
means the committee consisting of the following nine individuals: two members
of the committee shall represent regional criminal justice academies, two
members of the committee shall represent independent criminal justice
academies, one member shall represent the Department of State Police Training
Academy, and four experienced communications personnel shall represent
emergency communication functions. The Committee on Training shall appoint
members of the Curriculum Review Committee.
"Department" means the Department of Criminal
Justice Services.
"Director" means the chief administrative officer
of the Department of Criminal Justice Services.
"Dispatcher" means any person employed by or in any
local or state government agency either full full-time or
part-time whose duties include the dispatching of law-enforcement personnel.
"Emergency medical dispatcher training" means
training which meets or exceeds the training objectives as provided in
Performance Outcome 1.6, which is set out in 6VAC20-60-100.
"Standard" means Performance Outcome, Training
Objective, Criteria for Testing, and Lesson Plan Guide relating to compulsory
minimum training for dispatchers and is found on the department's website.
"VCIN/NCIC training" means approved training as
specified by the Virginia Department of State Police for dispatchers accessing
Virginia Crime Information Network/National Crime Information Center
information.
6VAC20-60-20. Compulsory minimum training standards.
A. Pursuant to the provisions of subdivision 10 of
§ 9.1-102 (10) of the Code of Virginia, the board establishes the
categories of training as listed below as for the compulsory
minimum training standards for dispatchers.
B. Academy training.
1. Category 1 - Communications.
2. Category 2 - Judgment.
3. Category 3 - Legal Issues.
4. Category 4 - Professionalism.
C. On-the-job training.
5. Category 5 - On-the-Job Training.
6VAC20-60-25. Approval authority.
A. The Criminal Justice Services Board shall be the approval
authority for the training categories of the compulsory minimum training
standards. Amendments to training categories shall be made in accordance with
the provisions of the Administrative Process Act (§ 2.2-4000 et seq. of
the Code of Virginia).
B. The Committee on Training of the Criminal Justice Services
Board shall be the approval authority for the performance outcomes, training
objectives, criteria, and lesson plan guides that support the performance
outcomes. Performance outcomes, training objectives, criteria, and lesson plan
guides supporting the compulsory minimum training standards may be added,
deleted, or amended by the Committee on Training based upon written
recommendation of a chief of police, sheriff, agency administrator, academy
director, nonlaw-enforcement non-law-enforcement head of a communications
center, or the Curriculum Review Committee.
Prior to approving changes to the performance outcomes,
training objectives, criteria, or lesson plan guides, the Committee on Training
shall conduct a public hearing. Sixty days prior to the public hearing, the
proposed changes shall be distributed to all affected parties for the
opportunity to comment. Notice of change of the performance outcomes, training
objectives, criteria, and lesson plan guides shall be filed for publication in
the Virginia Register of Regulations upon adoption, change, or deletion. The
department shall notify each certified academy in writing of any new, revised,
or deleted objectives. Such adoptions, changes, or deletions shall become
effective 30 days after notice of publication in the Virginia Register.
6VAC20-60-30. Applicability.
A. All dispatchers employed by or in any local or state
government agency whose duties include the dispatching of law-enforcement
personnel and who were hired on or after July 1, 1988, must meet compulsory
minimum training standards established at the time of their appointment, unless
provided otherwise in accordance with subsection B of this chapter section.
B. The director may grant an exemption or partial exemption
of the compulsory minimum training standards established herein in
this chapter, in accordance with § 9.1-116 of the Code of Virginia.
6VAC20-60-40. Time requirement for completion of training.
A. Every dispatcher who is required to comply with the
compulsory minimum training standards must satisfactorily complete the required
training set forth in 6VAC20-60-20, within 24 months of the date of appointment
as a dispatcher, unless provided otherwise in accordance with subsection B of
this section.
B. The director may grant an extension of the time limit for
completion of the compulsory minimum training standards under the following
conditions:
1. The chief of police, sheriff, or agency
administrator shall present written notification that the dispatcher was unable
to complete the required training within the specified time limit due to:
a. Illness;
b. Injury;
c. Military service;
d. Special duty assignment required and performed in the
public interest;
e. Administrative leave involving the determination of
workers' compensation or disability retirement issues, or suspension pending
investigation or adjudication of a crime; or
f. Any other reason documented by the agency administrator.
Such reason must be specific and any approval granted approved
extension shall not exceed 90 days.
2. Any extension granted under subdivision 1 e of this
subsection shall require the dispatcher to complete compulsory minimum training
prior to resuming job duties. Requests may be granted for periods not to exceed
12 months.
3. The agency administrator must request such extension prior
to expiration of any time limit.
C. Any dispatcher having previously and successfully
completed the compulsory minimum training standards who resigns and is
reappointed within 24 months from departure will not be required to complete
the academy training class.
6VAC20-60-50. Compliance with compulsory minimum training
standards.
A. The compulsory minimum training standards shall be
accomplished by satisfactory completion of the academy training objectives at a
certified training academy and the successful completion of on-the-job training
objectives as provided by 6VAC20-60-30 B 6VAC20-60-20.
B. Dispatchers attending compulsory minimum training at a
certified training academy are required to attend all classes and should not be
placed on duty or on call except in cases of emergency.
C. The Criminal Justice Services Board will provide a
transition period for implementation of this chapter. The transition period
shall begin January 1, 2002. During the transition period, certified training
academies may conduct dispatcher entry-level training using the performance
objectives within the "Rules Relating to Compulsory Minimum Training
Standards for Dispatchers," effective January 1, 1994, or the performance
outcomes and training objectives. Accordingly, any certified training academy
may institute a curriculum transition by replacing existing performance
objectives with the revised performance outcomes and training objectives.
Effective January 1, 2003, all entry-level training programs shall meet the requirements
of 6VAC20-60-100.
6VAC20-60-60. Approved training schools and certified
academies.
A. Dispatcher classroom training may only be provided by a
certified training academy. The certified training academy shall submit to the
department the curriculum and other information as designated, within time
limitations established by the department.
B. Each academy director will be required to maintain a
file of all current lesson plans and supporting materials for each subject
contained in the compulsory minimum training standards.
C. A certified A certified training
academy is shall be subject to inspection and review by the
director or staff.
D. B. To become a certified academy, a state or
local unit of government must demonstrate a need that contains the following
elements:
1. The inability to obtain adequate training from existing
academies or a sufficient hardship that renders the use of other existing
academies impractical.
2. Based upon a training needs assessment, a sufficient number
of officers to warrant the establishment of a full-time training function for a
minimum of five years.
E. C. In addition to the requirements in
subsection B of this section, the state or local unit of government must
make the following commitments:
1. The provision of a full range of training to include
entry-level training and specialized training.
2. The assignment of one position with primary responsibility
as academy director and one clerical position to support training and training
related functions and instructor certification.
3. The maintenance of a training facility adequate to conduct
training in accordance with academy certification standards.
4. The commitment of sufficient funding to adequately support
the training function.
F. D. Process.
1. The state or local governmental unit shall submit a
justification to the Committee on Training as described in subsection D B
of this section. The Committee on Training shall review the justification and
make a recommendation to the department as to whether the establishment of an
academy is warranted.
2. If the Committee on Training recommends the establishment
of the proposed academy, the department shall make a determination as to
whether the establishment of the academy is warranted.
3. If the establishment of the a regional
academy is approved by the department, the governing bodies, political
subdivisions, or public bodies of the proposed academy must successfully
complete the academy certification process and be in compliance with all the
provisions of § 15.2-1747 of the Code of Virginia.
4. If the establishment of an independently operated
academy is approved by the department, the governing bodies, political
subdivisions, or public bodies of the proposed academy must successfully complete
the academy certification process and be in compliance with the provisions of
§ 15.2-1747 D of the Code of Virginia.
G. E. Dispatcher classroom training may only be
provided by a certified training academy. The certified training academy
shall submit to the department its curriculum and other information as
designated within time limitations established by the department. Trainings
may be approved that on the basis of curricula, instructors, facilities, and
examinations provide the required minimum training. A curriculum listing
performance objective by number, the instructors, dates, and times for the
proposed session shall be submitted to the department within the time
limitations established by the department. An exemption to the established time
limitations may be granted by the director for good cause shown by the academy
director.
H. F. Each academy director shall maintain a
file of all current lesson plans and supporting material for training
objectives, and shall provide this information to the director upon
request.
I. A certified training academy is subject to inspection
and review by the director or his staff.
J. G. The department may suspend or revoke the
approval of previously sanctioned training upon written notice, which shall
contain the reason or reasons upon which the suspension or revocation is based,
to the academy's director. The academy director may request a hearing
before the director or his designee. The request shall be in writing and must
be received by the department within 15 business days of the date of the notice
of the suspension or revocation. The academy director may appeal the
decision of the director or his designee to the board. Such request shall be in
writing and must be received by the board within 15 business days of the date
of the decision of the director or his designee.
H. The department may suspend or revoke the
certification of any certified training academy upon written notice, which
shall contain the reason or reasons upon which the suspension or revocation is
based, to the academy's director. The academy's director may request a hearing
before the director. The request shall be in writing and shall be received by
the department within 15 business days of the date of the notice of the
suspension or revocation. The academy's director may appeal the director's
decision to the board. Such request shall be in writing and must be received
by the board within 15 business days of the date of the decision of the
director or his designee.
6VAC20-60-70. Grading.
A. Dispatchers shall comply with all the requirements of
this chapter. All certified training academies shall utilize testing
procedures that indicate that every dispatcher has satisfactorily completed
the criteria in each training objective approved by the Committee on
Training of the Criminal Justice Services Board. A dispatcher may be tested and
retested as may be necessary within the time limits of 6VAC20-60-40 and in
accordance with each academy's written policy. prior to completion of
the certified training academy attained a minimum score of 70% on all tests for
each grading category identified in 6VAC20-60-20 to complete compulsory minimum
training standards. A certified training academy may require dispatchers attain
a score greater than 70% on a test. A dispatcher may be retested within the
time limits of 6VAC20-60-40 and in accordance with each academy's written
policy.
B. Certified training academies shall maintain
accurate records of all tests, grades and testing procedures. Academy
training records must be maintained in accordance with the provisions of this
chapter and §§ 42.1-76 through 42.1-91 of the Code of Virginia.
C. Every individual attending compulsory minimum training
shall satisfactorily complete each required performance outcome, training
objective, and criteria, and any optional job related subject performance
requirements, where applicable. Any individual who fails to
satisfactorily complete any performance outcomes or objectives in any subject
will be required to attend that subject in a subsequent approved dispatcher
training school and satisfactorily complete the required performance objective
or objectives.
B. A dispatcher shall not be certified as having complied
with the compulsory minimum training standards unless all applicable requirements
have been met.
6VAC20-60-80. Failure to comply with rules and regulations.
Any individual attending a
certified training academy shall comply with the rules and regulations
promulgated by the board, rules of the department, and rules within the
authority of the academy director. The academy director shall be
responsible for enforcement of all rules and regulations established to govern
the conduct of attendees. If the academy director considers a violation of the
rules and regulations detrimental to the welfare of the academy, the academy
director may expel the individual from the certified training academy.
Notification of such action shall immediately be reported, in writing, to the
agency administrator of the dispatcher and the director.
6VAC20-60-90. Administrative requirements.
A. Reports will be required from the agency administrator
and academy director on forms approved or provided by the department and at
such times as designated by the director. The academy director shall
complete a report using the department's electronic records management system
for compulsory minimum standards and in-service training within 60 days of
completion of compulsory training conducted at the certified training academy.
B. The agency administrator shall, within the time
requirement set forth in subsection A of 6VAC20-60-40, forward a properly
executed on-the-job training form to the department for each dispatcher.
C. The academy director shall, within 30 days upon
completion of the dispatcher training:
1. Submit to the department a roster containing the names of
those dispatchers who have satisfactorily completed the compulsory minimum
training standards.
2. Submit to the department the final revised
curriculum with, if applicable, and the training objectives and
instructor names listed.
D. The academy director shall furnish each instructor with a
complete set of course resumes and the applicable performance based
training and testing objectives for the assigned subject matter.
E. Each certified training academy shall maintain accurate
records of all tests, grades, and testing procedures. Dispatcher
training records shall be maintained in accordance with the provisions of these
regulations this chapter and §§ 42.1-67 through 42.1-91 of the
Virginia Public Records Act (§ 42.1-76 et seq. the Code of Virginia).
FORMS (6VAC20-60)
Application for Exemption From
Virginia Compulsory Minimum Training Standards, Form W-2, rev. 04/10.
On the Job Training Dispatchers, Form
D-1, rev. 09/02.
VA.R. Doc. No. R16-4634; Filed May 8, 2017, 2:23 p.m.
TITLE 6. CRIMINAL JUSTICE AND CORRECTIONS
CRIMINAL JUSTICE SERVICES BOARD
Proposed Regulation
Title of Regulation: 6VAC20-130. Regulations
Governing the Privacy and Security of Criminal History Record Information
Checks for Firearm Purchases (amending 6VAC20-130-20 through 6VAC20-130-100;
repealing 6VAC20-130-10).
Statutory Authority: § 18.2-308.2:2 of the Code of
Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: July 28, 2017.
Agency Contact: Barbara Peterson-Wilson, Law Enforcement
Program Coordinator, Department of Criminal Justice Services, 1100 Bank Street,
Richmond, VA 23219, telephone (804) 225-4503, FAX (804) 786-0410, or email
barbara.peterson-wilson@dcjs.virginia.gov.
Basis: Subsection H of § 18.2-308.2:2 of the Code of
Virginia requires the Department of Criminal Justice Services (DCJS) to
promulgate regulations to ensure the identity, confidentiality, and security of
all records and data provided by the Virginia Department of State Police (VSP)
pursuant to § 18.2-308.2:2.
Purpose: The regulation protects the health, safety, and
welfare of citizens by ensuring criminal history record information checks are
conducted in a manner that protects the integrity of criminal history record
information, guarantees individual rights to privacy, and supports the needs of
the VSP and firearms dealers, while facilitating the sales of firearms to the
law-abiding public.
This regulatory action is intended to update the regulation to
address the current VCheck technology used by VSP. VCheck is an instant
criminal background check program authorized by VSP and is available via the
Internet to all firearms dealers registered with the VSP Firearms Transaction
Center. The current regulation references the use of telephone calls and postal
mail to obtain criminal history checks and while these are still options for
firearms dealers the telephone and postal mail are rarely used. This regulatory
action is also intended to clarify existing regulatory language, remove
unnecessary language, remove language that conflicts with the requirements set
forth in the Code of Virginia, and eliminate duplication of work by DCJS and
VSP.
Substance: DCJS worked with VSP to identify necessary
revisions to this regulation. The following substantive revisions have been
proposed:
• Removing definitions of terms that are defined in the Code of
Virginia and providing the Code citation to the definition. Revising the
definition of law-enforcement officer to match the Code of Virginia. Adding a
definition for the term VCheck.
• Adding language referencing the use of VCheck or other
authorized communication response systems throughout the regulation in all
sections referring to obtaining criminal history checks by telephone and mail.
VSP rarely receives a request for a criminal history check by telephone or
mail. Adding the reference to VCheck codifies the technology currently used and
includes the language "or other authorized communication response
system" allows VSP to use alternate systems as technology capabilities
advance.
• Adding language requiring that the second form of
identification must be current and show an address identical to that shown on
the photo-identification form. This revision will make the regulation match the
language in the Code of Virginia.
• Modifying language to match the language in the Code of
Virginia related to identification and residency requirements for individuals
using documents issued by the U.S. Department of Defense. The current
regulatory language conflicts with the language in the Code of Virginia and
cites outdated sections of the Code of Federal Regulations.
• Adding language referencing the Code of Virginia requirement
that dealers not sell, rent, trade, or transfer any assault firearm to any
person who is not a citizen of the United States or not lawfully admitted for
permanent residence.
• Removing language requiring an after-sale check. Per VSP this
language is no longer necessary as the background checks are instantaneous.
• Removing language requiring DCJS to audit dealers who use the
criminal history check system improperly in a manner that jeopardizes the
confidentiality and security of the system. Dealers do not receive specific
criminal history record information related to criminal convictions. When a
criminal history record check is conducted the dealer receives one of the
following responses: "Yes, approved" and the accompanying approval
number is given, or "This transaction is not approved at this time."
There is no need for DCJS to conduct audits of dealers. This is a duplication
of the work conducted by VSP. VSP monitors criminal history record information
transactions, and if there is suspicion or evidence a dealer is inappropriately
requesting criminal history records information a criminal investigation is
initiated. The possibility of a criminal investigation by VSP is a far greater
penalty than any administrative investigation and action that can be taken by
DCJS. Additionally, language requiring DCJS to audit VSP records has been
removed. The requirements for maintaining records and logs related to the
firearms transactions are addressed in the Library of Virginia's State Police
Schedule Number 156-050. VSP has an Internal Audit Section that reviews agency
compliance with the laws, regulations, policies, and procedures and audits
information technology systems and related security of data. Results of all
internal audits are reported to VSP management and the Superintendent of VSP.
Issues: The primary advantages to the public and the
Commonwealth include removing unnecessary language, correcting language
that conflicts with the Code of Virginia, and identifying the VCheck system as
the system used by firearms dealers and VSP to determine if any barrier exists
to an individual purchasing a firearm. The current regulatory language only
identifies the use of calling a toll-free number and using postal mail to
request criminal history record information.
There are no disadvantages to the public or the Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The
Regulations Governing the Privacy and Security of Criminal History Record
Information Checks for Firearm Purchases identifies the process for conducting
a criminal background check. As a result of a periodic review,1 the
Criminal Justice Services Board (Board) proposes to amend this regulation to:
1) address current VCheck technology, 2) remove language that is either
obsolete or conflicts with the requirements set forth in the Code of Virginia
(Code), and 3) clarify existing language. VCheck is an online criminal
background check program made available to firearms dealers by the Virginia
State Police.
Result of Analysis. The benefits exceed the costs for all
proposed changes.
Estimated Economic Impact. Currently, almost all criminal
background checks associated with purchasing a firearm are conducted by using
the VCheck system. The VCheck is an instant criminal background check program
authorized by the Virginia State Police and is available via the Internet to
all firearms dealers registered with the State Police Firearms Transaction
Center. The existing regulation references the use of telephone calls and the
mail to obtain criminal history checks, but does not mention VCheck. The Board
proposes to add a definition of VCheck and add language referencing the use of
VCheck or other authorized communication response systems in all sections of
the regulation referring to obtaining criminal history checks by telephone and
mail. Including VCheck in the regulation would not affect costs or options in
practice, but would be beneficial in that readers of the regulation would be
better informed of what occurs and is allowed in practice.
The Board's proposal to remove text that is either obsolete or
conflicts with the Code would be beneficial in that it would reduce the
likelihood that readers of the regulation would be misled concerning
requirements in effect. The Board's proposal to amend language to improve
clarity would also be beneficial to the extent that it improves comprehension
by readers of the regulation.
Businesses and Entities Affected. The regulation affects the
Virginia State Police, the 4,374 firearms dealers in the Commonwealth,2
and individuals attempting to purchase firearms. Most of the firearms dealers
are likely small businesses. For 2014, the Virginia State Police reported
processing 405,838 requests for criminal history record information on
perspective buyers. The proposed amendments affect anyone who may read the
regulation, potentially including persons from the entities listed above.
Localities Particularly Affected. The proposed amendments do
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendments do not
affect employment.
Effects on the Use and Value of Private Property. The proposed
amendments do not significantly affect the use and value of private property.
Real Estate Development Costs. The proposed amendments do not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendments do not
significantly affect costs for small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
amendments do not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendments do not adversely affect
businesses.
Localities. The proposed amendments do not adversely affect
localities.
Other Entities. The proposed amendments do not adversely affect
other entities.
______________________________
1 More information about the periodic review can be
found on the Virginia Regulatory Town Hall at http://townhall.virginia.gov/L/ViewPReview.cfm?PRid=1476.
2 Source: Firearms Commerce in the United States Annual
Statistical Update 2016, a report by the United States Bureau of Alcohol,
Tobacco, Firearms, and Explosives. The report stated that in 2015 the
Commonwealth of Virginia had 4,374 federal firearms licensees.
Agency's Response to Economic Impact Analysis: The
Department of Criminal Justice Services concurs generally with the economic
impact analysis provided by the Department of Planning and Budget.
Summary:
The proposed amendments (i) add the VCheck system, or other
communication method authorized by the Department of State Police, as a method
to obtain a criminal history record information check; (ii) remove language
that is redundant, obsolete, or conflicts with statutory provisions; and (iii)
clarify existing language.
Part I
General
6VAC20-130-10. Purpose. (Repealed.)
Pursuant to the provisions of § 18.2-308.2:2 of the Code
of Virginia, criminal history record information checks are required prior to
the sale, rental, trade or transfer of certain firearms. A criminal history
record information check shall be requested by licensed dealers from the
Department of State Police to determine the legal eligibility of a prospective
purchaser to possess or transport certain firearms under state or federal law.
The Department of Criminal Justice Services hereby promulgates the following
regulations governing these criminal history record information checks as
required under § 18.2-308.2:2 H of the Code of Virginia. The purpose of
this chapter is to ensure that criminal history record information checks are
conducted in a manner which ensures the integrity of criminal history record information,
guarantees individual rights to privacy, and supports the needs of
law-enforcement, while allowing nearly instantaneous sales of firearms to the
law abiding public.
6VAC20-130-20. Definitions.
The following words and terms, when used in this
chapter, shall have the following meaning unless the context clearly
dictates otherwise:
"Antique firearm" means any firearm, including
those with a matchlock, flintlock, percussion cap, or similar type of ignition
system, manufactured in or before 1898, and any replica of such a firearm,
provided such replica: (i) is not designed or redesigned for using rimfire or
conventional centerfire fixed ammunition; or (ii) uses rimfire or conventional
centerfire fixed ammunition which is no longer manufactured in the United
States and which is not readily available in the ordinary channels of
commercial trade meeting the statutory definition provided in § 18.2-308.2:2
G of the Code of Virginia.
"Criminal history record information" means records
and data collected by criminal justice agencies on adult individuals,
consisting of notations of arrests, detentions, indictments, informations
information, or other formal charges and any disposition arising
therefrom.
"Criminal history record information check,"
(also "criminal record check," and "record
check") means mean a review of a potential purchaser's
criminal history record information, to be conducted by the Department of State
Police at the initiation of a dealer in order to establish a prospective
purchaser's eligibility to possess or transport a firearm, as defined herein
in this chapter, under state or federal law.
"Dealer" means any person licensed as a dealer
pursuant to 18 U.S.C. USC § 921 et seq.
"Dealer identification number" (DIN) or "DIN"
means a unique identifying number assigned by the Department of State Police to
each individual dealer as defined in § 18.2-308.2:2 G of the Code of
Virginia, in order to identify such dealers when they request criminal history
record information to determine the eligibility of a prospective purchaser to
possess or transport a firearm.
"Department" means the Virginia Department of State
Police.
"Firearm" means any handgun, shotgun, or rifle
which expels a projectile by action of an explosion means any firearm
meeting the statutory definition provided in § 18.2-308.2:2 G of the Code
of Virginia.
"Handgun" means any firearm including a pistol
or revolver designed to be fired by the use of a single hand means any
firearm meeting the statutory definition provided in § 18.2-308.2:2 G of
the Code of Virginia.
"Law-enforcement officer" means any full-time or
part-time employee of a police department or sheriff's office which is a part
of or administered by the Commonwealth or any political subdivision thereof, or
any full-time or part-time employee of a private police department, and who
is responsible for the prevention and detection of crime and the enforcement of
the penal, traffic, or highway laws of the Commonwealth, and
shall include any member of the Regulatory Division (i) special agent
of the Department of Alcoholic Beverage Control vested with police
authority, any; (ii) police agent appointed under the provisions
of § 56-353 of the Code of Virginia (provides railroad officials with
the authority to appoint police agents), or any game warden; (iii)
officer of the Virginia Marine Police; (iv) conservation police officer who
is a full-time sworn member of the enforcement division of the Department of
Game and Inland Fisheries; (v) investigator who is a full-time sworn member
of the security division of the Virginia Lottery; (vi) conservation officer of
the Department of Conservation and Recreation commissioned pursuant to § 10.1-115
of the Code of Virginia; (vii) full-time sworn member of the enforcement
division of the Department of Motor Vehicles appointed pursuant to § 46.2-217
of the Code of Virginia; (viii) animal protection police officer employed under
§ 15.2-632 of the Code of Virginia; (ix) campus police officer appointed
under Chapter 17 (§ 23-232 et seq.) of Title 23 of the Code of Virginia;
or (x) private police officer employed by a private police department.
Part-time employees are those compensated officers who are not full-time
employees as defined by the employing police department or, sheriff's
office, or private police department.
"Prospective purchaser" means an individual who
intends to buy, rent, trade, or transfer a firearm or firearms as defined herein
in this chapter, and has notified a dealer of his intent.
"Resident of Virginia" means a person who resides
and has a present intent to remain within the Commonwealth, as shown by an
ongoing physical presence and a residential address within Virginia. If a
person does not reside in Virginia, but is on active duty as a member of the U.S.
Armed Forces and Virginia is the person's permanent duty station, the person
shall, for the purpose of these regulations, be considered a resident of
Virginia.
"Transfer" means to sell, rent, trade, or transfer
a firearm as defined herein in this chapter.
"VCheck" means Virginia's instant criminal
background check program authorized by the Department of State Police and
available via the Internet to all firearms dealers registered with the State
Police Firearms Transaction Center.
"Virginia Firearms Transaction Record Form" or
"VFTR form" means the form issued by the Department of State
Police provided to dealers and required for obtaining a criminal history record
check, also known as "SP-65," the "VFTR form" "SP-65"
or the "VFTR."
Part II
Regulations
6VAC20-130-30. Applicability of regulations concerning
criminal history record checks for firearm purchase chapter.
A. These regulations apply This chapter applies
to:
1. All licensed dealers in firearms; and
2. The Department of State Police.
B. These regulations This chapter shall not
apply to:
1. Transactions between persons who are licensed as firearms
importers or collectors, manufacturers or dealers pursuant to 18 U.S.C. USC
§ 921 et seq.;
2. Purchases by or sale to any law-enforcement officer or
agent of the United States, the Commonwealth, or any local
government; or
3. Antique firearms; or.
4. Transactions in any county, city or town that has a
local ordinance adopted prior to January 1, 1987, governing the purchase, possession,
transfer, ownership, conveyance or transportation of firearms which is more
stringent than § 18.2-308.2:2 of the Code of Virginia.
6VAC20-130-40. Responsibilities of dealers.
It shall be the responsibility of dealers that transfer
firearms in Virginia to comply with the following:
1. Register with the department and Department of
State Police to obtain from the department a dealer identification number
(DIN) and to access the toll-free telephone number to participate in
the department's criminal history record check VCheck
program by telephone or via the Internet.
2. Prior to transferring any firearm, determine if the firearm
is a "firearm" as defined in these regulations this chapter
and § 18.2-308.2:2 of the Code of Virginia.
3. Deny the transfer of a handgun to a non-Virginia resident
in accordance with 18 U.S.C. USC § 922(b)(3).
4. Complete the VFTR form.
5. Request a criminal history record information check prior
to the transfer of any such firearm.
6. Request a criminal history record check either by telephone
or by, mail, VCheck, or other communication authorized by the
Department of State Police prior to the sale of shotguns and rifles to
non-Virginia residents.
7. Maintain required forms and records according to the
procedures outlined in these regulations.
8. Deny the transfer of a firearm if advised by the Department
of State Police that the prospective purchaser is ineligible to possess such a
firearm and the department disapproved the transfer of a firearm to the
prospective purchaser.
9. Allow the Department of Criminal Justice Services access
to all forms and records required by these regulations. Notify the
Department of State Police promptly upon any change in registration information
(telephone number, address, federal firearms license number, etc.).
10. Provide written notice of the closing of the business
to Department State Police in advance of the actual closing date.
6VAC20-130-50. Responsibilities of the Department of State
Police.
A. The Department of State Police shall operate a
telephone, and mail, VCheck, or other authorized communication
response system systems to provide dealers in firearms (as
defined herein) in this chapter) with information on the legal
eligibility of prospective purchasers to possess or transport firearms covered
under these regulations. This information shall be released only to authorized
dealers. Prior to the release of the information, the identity of the dealer
and the prospective purchaser can be reasonably established.
B. In no case shall the department release to any dealer
actual criminal history record information as defined herein in this
chapter. The dealer shall only receive from the department a statement of the
department's approval or disapproval of the transfer, and an approval code
number, if applicable, unique to the transaction. A statement of approval or
disapproval shall be based on the department's review of the prospective
purchaser's criminal history record information and restrictions on the
transfer of firearms to felons enumerated in § 18.2-308.2 of the Code of
Virginia or federal law. This statement shall take one of the following two
statuses: (i) approval with an approval code number, or (ii) disapproval
with no approval code number.
C. The department shall provide to dealers a supply of VFTR
forms, a DIN, and a toll-free number to allow access to the telephone criminal
history record check system available for approval of firearms purchases.
D. The department shall supply all dealers in the
Commonwealth with VFTR forms in a manner which that allows the
department to use the forms to identify dealers and monitor dealers' use of the
system to avoid illegal access to criminal history records and other department
information systems.
E. The department shall hire and train such personnel as are
necessary to administer criminal history record information checks, ensure the
security and privacy of criminal histories used in such record checks, and
monitor the record check system.
F. Allow The department shall allow the
Department of Criminal Justice Services access to all forms and records
required by this chapter.
6VAC20-130-60. Preparing for a criminal history record check.
A. General procedures.
1. If any firearm, which a prospective purchaser
intends to obtain in transfer, is a firearm as defined herein in
this chapter, the dealer shall request that the Department of State Police
conduct a criminal history record check on the purchaser. The dealer may obtain
the required record check from the department for purchasers who are residents
of Virginia by (i) telephoning the department, using the provided
toll-free number, (ii) using VCheck, or (iii) using another
communication authorized by the Department of State Police and requesting
the record check. For out-of-state residents who purchase rifles or shotguns,
the dealer may request the record check from the department by telephone, mail,
or delivery. However, Virginia residents may, if they elect, request the dealer
to obtain a record check by mail. The initial required steps of completion of
the VFTR, obtaining consent of the purchaser, determining residency and
verifying identity are common to both telephone and, mail methods
of, VCheck, or other communication authorized by the Department of State
Police for obtaining the record check.
2. The dealer shall request a criminal history record check
and obtain the prospective purchaser's signature on the consent portion of the
form for each new transfer of a firearm or firearms to a given purchaser. One
record check is sufficient for any number of firearms in a given transfer, but
once a transaction has been completed, no transfer to the same purchaser shall
proceed without a new record check.
3. A criminal history record check shall be conducted prior to
the actual transfer of a firearm.
B. Completing section A of the Virginia Firearms Transaction
Record: Obtaining consent for a criminal history record information check for
firearms purchase. As a condition of any sale, the dealer shall advise the
prospective purchaser to legibly complete and sign section A of a VFTR form.
1. The dealer shall require the prospective purchaser to
complete section A of the VFTR form in the prospective purchaser's own
handwriting, and without the dealer's assistance. The purchaser shall answer
the questions listed and shall complete the items that establish residency and
describe identity, including name, sex, height, weight, race, date of birth and
place of birth.
2. If the prospective purchaser cannot read or write, section
A of the VFTR form may be completed by any person other than the dealer or any
employee of the dealer according to the procedures specified on the reverse
side of the VFTR form.
3. The dealer shall also obtain the prospective purchaser's
signature or, if he cannot read or write, his mark, following the consent
paragraph at the bottom of section A, which shall certify that the information
supplied by the purchaser in section A is true and correct.
C. Completing section B of the Virginia Firearms Transaction
Record: Establishing purchaser identity and residency and dealer identity.
Prior to making a request for a criminal history record information check, the
dealer shall complete all of section B of the VFTR form for which the dealer is
responsible. Information recorded on the VFTR form shall be sufficient to:
(i) reasonably establish a prospective purchaser's identity and determine the
residency of the prospective purchaser; and (ii) identify the dealer.
1. Identify prospective purchaser and determine residency. The
dealer shall determine residency and verify the prospective purchaser's
identity as required in section B of the VFTR, by requiring at least two forms
of identification that denote the address of the prospective purchaser. Only
the forms of identification listed in this subsection shall be acceptable to
establish identity and residency.
a. For Virginia residents, the primary form of
identification shall consist of a valid photo-identification form issued by a
governmental agency of the Commonwealth or by the United States Department of
Defense. Except where the photo identification was issued by the Department of
Defense, the prospective purchaser shall furnish a secondary form of
identification that includes an address identical to that shown on the primary
identification and corroborates the purchaser's identification and residence in
Virginia. A Department of Defense photo identification plus one secondary form
of identification showing the purchaser's residence in Virginia meets the
requirements of the exception. The following are acceptable forms of secondary
identification: a dealer shall require any prospective purchaser to
present one photo-identification form issued by a governmental agency of the
Commonwealth or by the U.S. Department of Defense.
(1) Valid Virginia driver's license or photo-identification
card issued by the Virginia Department of Motor Vehicles;
(2) Passport;
(3) Voter registration card;
(4) Evidence of paid personal property tax or real estate
taxes;
(5) Automobile registration;
(6) Hunting or fishing license;
(7) Lease;
(8) Utility or telephone bill;
(9) Bank check; or
(10) Other identification allowed as evidence of residency
by Part 178.124 of Title 27, Code of Federal Regulations, and ATF Ruling 79-7.
If, for purposes of this chapter, a prospective purchaser's
Virginia residency is based upon active duty status with the Armed Forces of
the United States with a permanent duty station in Virginia, including the
Pentagon, and the primary form of identification consists of a photo
identification issued by the United States U.S. Department of
Defense, the purchaser may use as a secondary identification proof of permanent
duty station within Virginia signed by the station commander or duly designated
representative. If such primary and secondary documentation are presented,
the prospective purchaser shall not be required to present any other form of
secondary identification listed in subdivisions C 1 a (1) through (10). For
the purpose of establishing residency for a firearm purchase, residency of a
member of the armed forces shall include both the state in which the member's
permanent duty post is located and any nearby state in which the member resides
and from which he commutes to the permanent duty post.
b. For non-Virginia residents purchasing shotguns or rifles,
the dealer shall require the prospective purchaser to furnish one
photo-identification form issued by a governmental agency of the person's state
of residence and one other form of identification as provided in subdivision C
1 a, which corroborates the identity and residency shown on the
photo-identification form.
c. The dealer will ensure that the form(s) forms
of identification support the listing of the identifying characteristics and
the resident's address as supplied by the prospective purchaser in section A of
the VFTR.
d. If the dealer discovers any unexplained discrepancy between
the two forms of identification (different addresses, birth dates, names), the
dealer shall not request a criminal history record check until the prospective
purchaser can be adequately identified with two acceptable forms of
identification as required.
e. The dealer shall name and identify on the VFTR form the document(s)
documents used to verify the prospective purchaser's identity and
residence, and shall record all pertinent identifying numbers on the
VFTR form.
f. While the dealer is required to collect sufficient
information to establish the prospective purchaser's identity and residency
from the form(s) forms of identification listed above, in
no case is the dealer authorized to collect more information on the prospective
purchaser than is reasonably required to establish identity and,
state of residence, and citizenship.
2. Identify dealer. The dealer or his employee shall note on
section B of the VFTR form:
a. The dealer's or employee's signature;
b. His position title (owner, employee);
c. The trade or corporate name and business address; and
d. The dealer's federal firearms license number.
D. No dealer shall sell, rent, trade, or transfer from his
inventory any assault firearm to any person who is not a citizen of the United
States or who is not a person lawfully admitted for permanent residence. To establish
citizenship or lawful admission for a permanent residence for purposes of
purchasing an assault firearm, a dealer shall require a prospective purchaser
to present a certified birth certificate or a certificate of birth abroad
issued by the U.S. State Department, a certificate of citizenship or a
certificate of naturalization issued by the U.S. Citizenship and Immigration
Services, an unexpired United States passport, a U.S. citizen identification
card, a current voter registration card, a current selective service
registration card, or an immigrant visa or other documentation of status as a
person lawfully admitted for permanent residence issued by the U.S. Citizenship
and Immigration Services.
6VAC20-130-70. Procedures for requesting a criminal history
record information check by telephone or other communication authorized by
the Department of State Police.
A. Once the prospective purchaser has completed section A of
the VFTR form and the dealer has completed the necessary portions of the VFTR
form and determined that the prospective purchaser is a resident of Virginia,
the dealer shall call contact the Department of State Police and
request a criminal history record information check by telephone, through
VCheck, or through other authorized communication for the firearm transfer.
For non-Virginia residents purchasing rifles or shotguns, the dealer may also
request a criminal history record check by telephone. The dealer shall use the
toll-free number provided by the Department of State Police. However, no
provision of these regulations shall prohibit a Virginia resident from
obtaining a written record check through the dealer for any firearm transfer.
B. The dealer shall identify himself to the department by
providing his DIN and the printed number on the upper right-hand corner of the
VFTR form prepared by the prospective purchaser.
C. The dealer shall allow the department to verify this
identifying information. The Department of State Police may shall
disapprove a firearm purchase if the department determines that the identifying
information supplied by the dealer is incomplete, incomprehensible or in error,
raises a reasonable doubt as to the origin of the call request,
or is otherwise unusable.
D. The dealer shall then supply to the department over the
telephone, through VCheck, or through another authorized communication
all identifying data on the prospective purchaser which that is
recorded on section A of the VFTR, in the order requested by the department.
This information shall be transmitted to the department in a discreet and
confidential manner, assuring to the extent possible that the identifying data
is not overheard or viewed by other persons in the dealer's place of
business. If the dealer cannot provide sufficient information to allow the
department to conduct a criminal history record check, the department will not
accept the request on the basis of insufficient information to conduct a check.
The department may adopt procedures to appropriately address such occurrences.
E. The Department of State Police will respond to the
dealer's request for a criminal history record check by consulting the criminal
history record information indexes and files, during the dealer's call or
VCheck submission. In the event of electronic failure or other
difficulties, the department shall immediately advise the dealer of the reason
for such delay and provide to the dealer an estimate of the length of such
delay.
F. If no evidence of a criminal record or other information
is found that would preclude the purchaser from possessing or transporting a
firearm under state or federal law, the department will immediately notify the
dealer that the transfer may proceed, and will provide the dealer with a unique
approval code number, which the dealer shall enter in a clear, visible, and
convenient manner on the original of the VFTR form.
G. If the initial search discloses that the prospective
purchaser may not be eligible to possess a firearm, the department will notify
the dealer that a further check must be completed before the end of the
dealer's next business day, to determine if the prospective purchaser has a
criminal record that makes him ineligible to possess or transport a firearm
under state or federal law. This statement of ineligibility shall then be
communicated by the dealer to the prospective purchaser in a discrete and
confidential manner, recognizing the individual's rights to the privacy of this
information.
H. In any circumstance in which the department must return
the dealer's telephone call, whether due to electronic or other failure or in
order to allow a further search, the dealer shall await the department's call
and make no transfer of a firearm to the individual whose record is being
checked until:
1. The dealer receives notification of approval of the
transfer by telephone or other authorized communication from the
department; or
2. The department fails to disapprove the transaction of the
prospective purchaser before the end of the next business day.
3. Exception: If the department knows at the time of
the dealer's telephone call or VCheck submission that it will not be
able to respond to the request by the end of the dealer's next business day, it
will so notify the dealer. Upon receiving notification, the dealer shall note
in a clear and visible manner on the VFTR that the department was unable to
respond. The dealer may in such cases complete the transfer immediately after
his telephone call or receipt of an authorized communication.
I. In the event that the department is unable to immediately
respond to the dealer's request for a criminal history record check and the
prospective purchaser is also unable to await the department's response to the
dealer's request and the department ultimately approves of the transfer, the
dealer may transfer any firearm or firearms, as listed on the VFTR form that
initiated the request for a record check, to the prospective purchaser, after
the receipt of the approval of the transfer from the department. The actual
transfer of the firearm shall be accomplished in a timely manner. A second
record check shall not be required provided that the actual transfer of the
firearm occurs within a time period specified by the department.
J. If the dealer is notified by the department that the
prospective purchaser is not eligible to possess or transport a firearm or
firearms under state or federal law, and the transfer is disapproved, and if he
is so notified before the end of the next business day after his accepted telephone
request or VCheck confirmation, the dealer shall not complete the
transfer.
K. On the last day of the week following transfer of a
firearm covered by these regulations on the basis of a telephone inquiry, the
dealer shall send by mail or shall deliver to the department the appropriate
copies of the VFTR other than the original, with sections A and B properly
completed. No information on the type, caliber, serial number, or
characteristics of the firearms transferred shall be noted on the copies of the
VFTR submitted to the department, but the forms shall otherwise be complete.
The dealer shall note the date of mailing on the form, or shall have the form
date stamped or receive a dated receipt if the dealer delivers the form.
L. After sale check.
1. Following the receipt of the required copies of a
completed VFTR form recording a transfer, the department shall immediately
initiate a search of all data bases in order to verify that the purchaser was
eligible to possess or transport the firearm(s) under state or federal law.
2. If the search discloses that the purchaser is ineligible
to possess or transport a firearm, the department shall inform the chief
law-enforcement officer in the jurisdiction where the transfer occurred and the
dealer of the purchaser's ineligibility without delay. The department shall
mark "disapproved" on a copy of the VFTR submitted by the dealer
after the transfer and return the form by mail to the dealer.
6VAC20-130-80. Procedures for requesting a criminal history
record check by mail.
A. At the request of a Virginia resident or a non-Virginia
resident, a dealer may request a record check by mail for a firearm transfer.
In either case, the dealer shall follow the procedures as set forth below
in this chapter. In addition, the dealer shall follow the provisions for
establishing identity and residency as set forth in 6VAC20-130-60 C 1 a and C
1 b of this chapter, and, if applicable, 6VAC20-130-60 D.
B. The dealer shall mail or deliver to the department the
appropriate copies of the completed VFTR form according to procedures
established by the department (which (that shall not describe,
list, or note the actual firearms to be transferred) within 24 hours of the
prospective purchaser's signing and dating of the consent paragraph in section
A of the VFTR form. This shall be evidenced by the dealer's notation of the
mailing date on the VFTR, if mailed, or the date stamp of the department on the
VFTR form or a receipt provided to the deliverer, if delivered. The original of
the completed VFTR form shall be retained at the dealer's place of business.
C. The department will initiate a search only upon receipt of
the appropriate copies of the VFTR form at department headquarters. The
department may challenge and refuse to accept any VFTR form if there is an
unreasonable, extended time period between the date of the mailing and the date
of receipt of the copies of the form at the department.
D. Following its search of Virginia and national criminal
history record indexes and files, the department will return to the dealer a
copy of the VFTR form, marked "approved," or "not
approved." When a dealer receives approval, he may transfer any firearm or
firearms, as listed on the VFTR form that initiated the request for a record
check, to the prospective purchaser, after his receipt of the approval. The
actual transfer of the firearm shall be accomplished in a timely manner. A
second record check shall not be required provided that the actual transfer of
the firearm occurs within a time period specified by the department. If the
transfer is disapproved, he is not authorized to transfer any firearm to the
prospective purchaser.
E. In the case of written requests for criminal history
record check, initiated by the submission of VFTR forms, the dealer shall wait
up to 10 days after the mailing date (noted on the form) or delivery date stamp
(if not mailed) of the request for written approval from the department, prior
to transferring a firearm as defined herein in this chapter.
F. However, if 10 days elapse from the date the VFTR form was
mailed (as noted on the VFTR form) or delivered to the Department of State
Police (as indicated by the date stamped by the department), and the department
has not responded to the request initiated by the form by approving or
disapproving the transaction proposed, the dealer may complete the transfer to
the prospective purchaser on his next business day, after the tenth 10th
day, or thereafter, and not be in violation of the law or these regulations
this chapter. After completion of the transfer in this case, as in all
cases, any new or further transfer of firearms not listed on the VFTR form that
initiated the request for a record check to the same purchaser will require a
new criminal history record check.
6VAC20-130-90. Proper use of the components of the criminal
history record check system: Forms, records, toll-free telephone number,
VCheck passwords, and DIN.
A. The VFTR forms will be provided to the dealer by the
department. VFTR forms shall not be transferred from one dealer to another. All
VFTR forms partially completed, torn, defaced or otherwise rendered unusable
shall be marked "VOID" and disposed of in a manner which that
will not allow their reuse. All unused forms shall remain the property of the
Department of State Police and shall be returned to the department in the event
that a dealer ceases to engage in the transfer of firearms in a manner which is
regulated by the Department of Criminal Justice Services.
B. The dealer will retain the original of the VFTR form for
his own files.
C. The dealer shall keep all blank and completed VFTR
originals, and all returned copies in a secure area, which will restrict
access to the information contained on the VFTR forms to authorized employees
only.
D. The department shall retain a copy of all VFTR forms
received from dealers according to the procedures outlined below in
this subsection.
1. Approved transfers. Thirty days after the department has
notified the dealer of an approved transfer, the department shall destroy the
VFTR form still in its possession and all identifiable information collected
pertaining to a prospective purchaser.
2. Disapproved transfers. VFTR forms recording a transfer that
was not approved shall be maintained by the department in a separate file,
maintained by name of prospective purchaser.
a. The information contained in these forms shall be used by
the department for legitimate law-enforcement purposes only, and shall
be governed by existing regulations concerning the privacy and security of
criminal history record information.
b. The department may maintain any other printouts or reports
with these copies of the VFTR form, provided they are treated as criminal
history record information.
E. The Department of State Police shall maintain a running
log of all requests for criminal history record information checks for firearms
transfer, which shall include the following:
1. DIN and name of requester;
2. Dealer's transaction number;
3. Approval code number, if sale is approved;
4. Date of telephone request or, mailing,
VCheck, or delivery date of mail request;
5. Notation of type of record request - either:
telephone or, mail, or VCheck request;
6. Approved or not approved status; and
7. Date of clearance from department file through mailing of
VFTR form to the dealer or other final action.
F. A log shall be retained at the department on each request which
that leads to approvals of firearm transfers for 12 months from the date
of each request.
G. Requests which that lead to disapprovals
shall be maintained by the department on a log for a period of two years from
the date the request was accepted by the department for processing.
H. The department shall monitor and distribute all VFTR forms
in an appropriate manner to ensure their proper control and use. This includes
designing, redesigning, numbering, distributing, tracking, and processing all
VFTR forms.
I. No dealer shall provide his DIN or the toll-free number VCheck
password to another party for any reason.
J. The DIN's and the toll-free number VCheck
password may be changed periodically to ensure that these numbers are not
improperly used by unauthorized dealers or unauthorized parties.
6VAC20-130-100. Audits Monitor.
A. The Department of State Police shall continuously
observe compliance with requirements regarding VFTR form completion,
notification of the Department of State Police following firearm transfers,
form management and storage, and confidentiality and proper use of the DIN and
the toll-free telephone number VCheck password information for
Virginia resident telephone and VCheck record checks.
B. The Department of State Police shall notify the
Department of Criminal Justice Services if a dealer has used or may have used
the criminal history record information check system improperly in a manner
that may jeopardize the confidentiality and security of criminal history record
information systems.
C. Upon such notification, the Department of Criminal
Justice Services shall audit the dealership in question and recommend
corrective action without delay.
1. Pending the outcome of an audit, the The
department may invalidate a particular DIN to ensure the continuous integrity
of the criminal history record information. Prior to such invalidation, the
department shall notify the dealer orally, telephonically by
telephone, or in writing of the reasons for such invalidation and allow the
dealer the opportunity to respond. The department shall also notify the
Department of Criminal Justice Services when a DIN has been invalidated.
2. Should the results of an audit reveal that the
provisions of these regulations have not been violated, the Department of
Criminal Justice Services shall advise the department to immediately reinstate
the invalidated DIN.
3. 2. Should the department identify results
of an audit reveal minor violations of the provisions of these
regulations this chapter, the Department of Criminal Justice
Services may notify the department to may monitor all future
requests of the dealer for criminal history record checks for a period not
to exceed 90 days. In the event that the DIN of the dealer has been
invalidated, the Department of Criminal Justice Services shall also notify the
department to reinstate the invalidated DIN. Any additional violations that may
occur during this time period shall be reported to the Department of Criminal
Justice Services as needed. Occurrences of additional violations shall
invoke the provisions of these regulations for the handling of or
major or repeated violations, as outlined below, and may result in a
subsequent audit monitoring or a criminal investigation of the
dealer.
4. Should the results of an audit reveal major or repeated
violations of the provisions of these regulations, the Department of Criminal
Justice Services shall advise the department to invalidate the DIN if not
invalidated previously and that the invalidated DIN should not be reinstated until
the dealer submits a written request to the Department of Criminal Justice
Services for reinstatement of the DIN. The request shall demonstrate to the
reasonable satisfaction of the Department of Criminal Justice Services that
corrective action has been taken by the dealer to comply with the provisions of
these regulations.
5. Should the results of an audit reveal that the privacy
and security of criminal history record information have been compromised, the
Department of Criminal Justice Services shall send written notification to the
dealer, the office of the local commonwealth's attorney and the department.
D. The Department of Criminal Justice Services shall
annually audit the Department of State Police to ensure the following:
1. That records, VFTR's and other materials, except for the
maintenance of the log as outlined above, on purchasers found to be eligible to
possess or transport firearms (approved) are being routinely destroyed 30 days
from the notification, mailing or delivery date of the accepted request for a
record check; and
2. That VFTR's and other materials gathered on persons
found to be ineligible to purchase a firearm (disapproved) are governed by the
regulations for criminal history record information; and
3. That logs recording the approvals and disapprovals of
firearm transfers are being correctly maintained according to the provisions of
these regulations.
NOTICE: The following
form used in administering the regulation was filed by the agency. The form is
not being published; however, online users of this issue of the Virginia
Register of Regulations may click on the name of the form with a hyperlink to
access it. The form is also available from the agency contact or may be viewed
at the Office of the Registrar of Regulations, General Assembly Building, 2nd
Floor, Richmond, Virginia 23219.
FORMS (6VAC20-130)
Criminal History Record Request, Form SP-167, eff. 7/1/94.
Virginia Firearms Transaction Record, Form SP-65, eff.
7/1/94. (eff. 7/2015) (Form SP-65 is obtained directly from the Virginia
State Police, Firearms Transaction Center Help Desk, (804) 674-2292 or (804)
674-2788, or email firearms@vsp.virginia.gov.)
VA.R. Doc. No. R16-4648; Filed May 3, 2017, 3:48 p.m.
TITLE 9. ENVIRONMENT
STATE AIR POLLUTION CONTROL BOARD
Proposed Regulation
Title of Regulation: 9VAC5-80. Permits for Stationary
Sources (Rev. K16) (amending 9VAC5-80-320, 9VAC5-80-340,
9VAC5-80-2270, 9VAC5-80-2280, 9VAC5-80-2310, 9VAC5-80-2330, 9VAC5-80-2340;
adding 9VAC5-80-342, 9VAC5-80-2282, 9VAC5-80-2342).
Statutory Authority: § 10.1-1308 of the Code of
Virginia; federal Clean Air Act (§§ 110, 112, 165, 173, 182, and Title V);
40 CFR Parts 51, 61, 63, 63, 70, and 72.
Public Hearing Information:
July 6, 2017 - 10 a.m. - Department of Environmental
Quality, 629 East Main Street, 2nd Floor Training Room, Richmond, VA
Public Comment Deadline: July 28, 2017.
Agency Contact: Gary E. Graham, Department of
Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4103, or email gary.graham@deq.virginia.gov.
Basis: Section 10.1-1308 of the Virginia Air Pollution
Control Law (§ 10.1-1300 et seq. of the Code of Virginia) authorizes the State
Air Pollution Control Board to promulgate regulations abating, controlling, and
prohibiting air pollution in order to protect public health and welfare.
Federal requirements: The federal statutory basis for the
regulation is Title V, §§ 501-507 of the federal Clean Air Act (Act) (42 USC
7401 et seq., 91 Stat 685).
The 1990 Clean Air Act Amendments (CAAA) created a major change
to the approach taken by the United States Congress in previous promulgations
of the federal Clean Air Act. Title V of the CAAA requires states to develop
operating permit programs to cover all stationary sources defined as major by
the Act. Permits issued under the permit programs must set out standards and
conditions that cover all applicable requirements of the Act for each emission
unit at each individual stationary source. Section 502 of the Act requires that
states develop permit fee programs to pay for the costs of the state's Title V
Permit Program.
Section 502(b)(3) of the CAAA sets out the minimum elements
that must be included in each state's permit fee program. The owner or operator
of all sources subject to the requirements to obtain a permit must pay an
annual fee, or the equivalent over some other period, sufficient to cover all
reasonable (direct and indirect) costs required to develop and administer the
permit program requirements of Title V, including the cost of the small
business technical assistance program. Section 502(b)(3)(A) specifies what is
meant by reasonable costs, as follows:
1. Reviewing and acting upon any application for a permit.
2. Implementing and enforcing the terms and conditions of the
permit, but not including any court costs or other costs associated with any
enforcement action.
3. Emissions and ambient monitoring.
4. Preparing generally applicable regulations or guidance.
5. Modeling, analyses, and demonstrations.
6. Preparing inventories and tracking systems.
Section 502(b)(3)(B) specifies the requirements for the total
amount of fees to be collected by the state permitting authority, as follows:
1. The state must demonstrate that, except as otherwise
provided, the program will collect in the aggregate from all sources subject to
the program an amount not less than $25 per ton of each regulated pollutant, or
such other amount as the U.S. Environmental Protection Agency (EPA)
administrator may determine adequately reflects the reasonable costs of the
permit program.
2. "Regulated pollutant" means (i) a volatile organic
compound; (ii) each pollutant regulated under § 111 or 112 of the Act; and
(iii) each pollutant for which a national primary ambient air quality standard
has been promulgated (except carbon monoxide).
3. In determining the amount to be collected, the permitting
authority is not required to include any amount of regulated pollutant emitted
by any source in excess of 4,000 tons per year of that pollutant.
4. The requirements of paragraph 1 above will not apply if the
permitting authority can demonstrate that collecting an amount less than $25
per ton of each regulated pollutant will meet the requirements of
§ 502(b)(3)(A).
5. The fee calculated under paragraph 1 above shall be
increased (consistent with the need to cover the reasonable costs authorized by
§ 502(b)(3)(A) in each year beginning after the year of the enactment of the
Act by the percentage, if any, by which the Consumer Price Index for the most
recent calendar year ending before the beginning of such year exceeds the
Consumer Price Index for the calendar year 1989.
Section 502(b)(3)(C) specifies the requirements of a federal
permit fee program if the EPA administrator finds that the fee provisions of a
state program are inadequate or if the Title V operating permit program itself
is inadequate and EPA has to administer the fee program itself. This section
allows the EPA administrator to collect additional fees to cover the
administrator's costs of administrating a federal fee program and specifies that
the EPA administrator may collect additional penalties and interest for failure
to pay fees.
Section 502(b)(4) specifies that the minimum elements for the
permit program include requirements for adequate personnel and funding to
administer the program.
Section 507(f) specifies that the state may reduce any fee
required under Title V to take into account the financial resources of small
business stationary sources.
The federal regulatory basis for the Title V Fee Program is 40 CFR
70.9.
40 CFR 70.9(a) specifies that the state program require
that the owners or operators of part 70 sources pay annual fees that are
sufficient to cover the permit program costs and that any fee required by this
section will be used solely for Title V permit program costs.
40 CFR 70.9(b)(1) specifies that the state establish a fee
schedule that results in the collection and retention of revenues sufficient to
cover the permit program costs. These costs shall include, but are not limited
to:
1. Preparing generally applicable regulations or guidance
regarding the Title V permit program or its implementation or enforcement;
2. Reviewing and acting on any permit application including the
development of an applicable requirement;
3. General administrative costs of running the permit program,
including the supporting and tracking of permit applications, compliance
certification, and related data entry;
4. Implementing and enforcing the terms of any Title V permit;
5. Emissions and ambient monitoring;
6. Modeling, analyses, or demonstrations;
7. Preparing inventories and tracking emissions; and
8. Providing direct and indirect support to sources under the
Small Business Stationary Source Technical and Environmental Compliance
Assistance Programs in determining and meeting their obligations under the
Title V permit program.
Section 70.9(b)(2) provides a fee schedule that EPA will
presume meets the requirements of 40 CFR 70.9(b)(1), which includes collecting
not less than $25 per year per ton of actual emissions of each regulated pollutant
adjusted annually for increases in the Consumer Price Index as of August 31 of
the most recent calendar year. The presumptive fee includes a greenhouse gas
(GHG) adjustment based upon the hourly burden for GHG permit activities. This
section also provides certain exclusions from the actual emissions calculation
that the state may use, including a 4,000 ton per year cap on actual emissions
of regulated pollutants used in the calculation, the actual emissions used in
the minimum fee calculation, and actual emissions from insignificant activities
not required in the Title V permit application pursuant to 40 CFR 70.5 (c).
"Actual Emissions" is defined for 40 CFR Part 70 sources as follows:
"Actual emissions" means the actual rate of emissions
in tons per year of any regulated pollutant (for presumptive fee calculation)
emitted from a part 70 source over the preceding calendar year or any other
period determined by the permitting authority to be representative of normal
source operation and consistent with the fee schedule approved pursuant to this
section. Actual emissions shall be calculated using the unit's actual operating
hours, production rates, and in-place control equipment, types of materials
processed, stored, or combusted during the preceding calendar year or such
other time period established by the permitting authority pursuant to the
preceding sentence.
Section 70.9(b)(3) specifies that the state's fee schedule may
include emissions fees, application fees, service-based fees, other types of fees,
or any combination thereof to meet the fee schedule requirement to cover Title
V permit program costs. It further specifies that nothing in 40 CFR 70.9 shall
require the permitting authority to calculate fees on any particular basis or
in the same manner for all sources, provided that the permitting authority
collects a total amount of fees sufficient to meet the program support
requirements of 40 CFR 70.9(b)(1).
Section 70.9(b)(5) specifies that the state shall provide an
accounting that its fee schedule results in the collection and retention of
revenues sufficient to cover the permit program costs if (i) the state sets a
fee schedule that would result in collections less than the presumptive fee
schedule, or (ii) EPA has serious questions as to whether the state's fee
schedule is sufficient to cover the program costs.
Sections 70.9(c) and (d) further require the state to provide a
demonstration that the collection of fees is sufficient to meet all of the
Title V program requirements and that the fees are used solely to cover the
costs of meeting those program requirements.
State requirements: Section 10.1-1308 of the Code of Virginia
authorizes the State Air Pollution Control Board to promulgate regulations
abating, controlling and prohibiting air pollution in order to protect public
health and welfare.
Section 10.1-1322 of the Code of Virginia authorizes the State
Air Pollution Control Board to adopt requirements for permits and to collect
fees from air pollution sources.
Section 10.1-1322 B authorizes the State Air Pollution Control
Board to provide for the collection of annual permit program emissions fees
from air pollution sources, based upon actual emissions of each regulated
pollutant not to exceed 4000 tons per year of each pollutant for each source.
The annual permit program emissions fees are not to exceed a base year amount
of $25 per ton using 1990 as the base year and are to be adjusted annually by
the Consumer Price Index. Permit program fees for air pollution sources that
receive state operating permits in lieu of Title V operating permits shall be
paid in the first year and thereafter shall be paid biennially. The statute
directs that the fees approximate the direct and indirect costs of
administering and enforcing the permit program as required by the Clean Air
Act. This section also authorizes the board to collect permit application fee
amounts not to exceed $30,000 from applicants for a permit for a new major
stationary source.
Section 10.1-1322.1 of the Code of Virginia specifies that all
moneys collected pursuant to §§ 10.1-1322 and 10.1-1322.2 be paid into the
state treasury and credited to a special nonreverting fund known as the Air
Pollution Permit Program Fund. Any moneys remaining in this fund are not to
revert to the general fund but are to remain in the fund. Utilization of the
fees collected pursuant to this section is to be limited to the agency's direct
and indirect costs of processing permits.
Item 369 B 1 of Chapter 780 of the 2016 Acts of Assembly
continued language initially included in Item 365 B 1 of Chapter 3 of the 2012
Acts of Assembly, Special Session 1, authorizing the board to adjust permit
program emissions fees collected pursuant to § 10.1-1322 of the Code of
Virginia and to establish permit application fees and permit maintenance fees
sufficient to ensure that the revenues collected from all fees cover the direct
and indirect costs of the program, consistent with the requirements of Title V
of the Clean Air Act. It further specified that (i) permit application fees
collected not be credited toward the amount of annual emissions fees owed
pursuant to § 10.1-1322, (ii) that all fees be adjusted annually by the
Consumer Price Index, (iii) that regulations initially implementing these
provisions be exempt from Chapter 40 (§ 2.2-4000 et seq.) of Title 2.2, Code of
Virginia (the Administrative Process Act), and (iv) that any further amendments
to the fee schedule beyond those initially implementing these provisions would
not be exempt from provisions of the Administrative Process Act.
Purpose: The purpose of 9VAC5-80 is to minimize the
emissions of regulated air pollutants from new and modified stationary sources
through air permit programs. Minimizing those emissions protects the health,
safety, and welfare of the general public. Title V of the federal Clean Air Act
requires that Title V permit programs be fully funded through Title V program
fees. As the permit programs achieve their goal of reducing emissions, Title V
permit program fee revenue has decreased and is projected to decrease to the
point that it will no longer cover the costs of the Title V permit programs.
The purpose of this regulatory action is to (i) increase Title V fees so that
they continue to fully fund the Title V permit program, and (ii) to restructure
the Title V fee schedule to better reflect the actual costs of the Title V
permit program, thereby improving program revenue stability. Fully funding the
Title V permit program is essential to continuing to reduce air pollutant
emissions in the Commonwealth and continuing to protect the health, safety, and
welfare of the citizens of Virginia.
Substance: The substantive provisions were developed
based on the consensus proposal of a stakeholder advisory group established by
the Department of Environmental Quality that consisted of representatives from
industry, environmental groups, and department staff; department analysis; and
information gathered from the federal statutes, regulations, and policies. In
addition, the new and increased fees more accurately reflect and evenly
distribute the permitting and compliance assurance costs incurred by the
department.
1. Definitions of "greenhouse gases" and
"regulated pollutant (for fee calculation)," are added and the
definition of "actual emissions" is revised so that emissions of
greenhouse gases will be excluded from the calculation of permit program
emissions fees.
2. A new section is added to Chapter 80, Part II, Article 2
providing an equivalent method of calculating permit program emissions fees
applicable to future billing years. In this new section, permit program
emission fee rates for billing years 2018 and 2019 are specified, reflecting
incremental 18.6% and 15% increases in the permit program emission fee rates
over those two years, respectively. Also, a new and equivalent method of
calculating CPI adjustments is provided for billing years after 2019. That new
method of calculating CPI adjustments for permit program emissions fees is the
same method that is currently used for annual CPI adjustments for permit
application fees and annual permit maintenance fees. Provisions for excess
emissions fees are unchanged. Various changes are made to the existing permit
program emissions fee calculation section as necessary to conform to and
implement this new section.
3. A new section is added to Chapter 80, Part II, Article 10
specifying new, increased base permit application fee amounts that will be
applicable in future years. Annual CPI adjustments are applied as before except
the annual adjustment for 2019 is specified to be 10% more than the permit
application fee rates applicable in the previous calendar year. Provision is
made for applications filed before the effective date of this amendment and
modified on or after that date such that the new permit application fee
structure is applicable to that application but any permit application fee
amount previously paid for that application is credited toward the new permit
application fee amount. Various changes are made to the existing permit
application fee calculation section as necessary to conform to and implement
this new section.
4. A new section is added to Chapter 80, Part II, Article 11
specifying new, increased base permit maintenance fee amounts that will be
applicable in future years. Annual CPI adjustments are applied as before except
that the fee adjustments for certain permit types are individually specified
for billing years 2019 and 2020. A new minimum permit maintenance fee is
specified for synthetic minor sources and that fee is also adjusted annually.
Various changes are made to the existing permit maintenance fee calculation
section as necessary to conform to and implement this new section.
Issues: The primary advantage to the public of this
proposed action is that it ensures that the Title V permit program will
continue to protect the health and welfare of the Commonwealth's citizens and
ensures that the Commonwealth will continue to maintain control over the
implementation of the Title V permit program within the Commonwealth. The
primary disadvantage of this proposed action is that some increases in the
direct and indirect costs of the Title V permit program will be borne by
businesses in the Commonwealth and will be passed along to the citizens of the
Commonwealth. Changing the fee structure will affect different businesses
differently; some will pay proportionally more in fees, some proportionally
less.
The primary advantage to the department of this proposed action
is that the permit Title V permit program will continue to be fully funded and
fully staffed. There are no disadvantages to the department.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Air
Pollution Control Board (Board) proposes to raise all of its emissions and maintenance
fees, and most of its application fees, for stationary source air pollution
permits. The Board also proposes to institute a new maintenance fee for
synthetic minor sources of air pollution.
Result of Analysis. Because the program funded by these fees is
required by both state and federal law, and the costs of non-compliance would
likely be greater than these proposed fee increases, the benefits of the
Board's proposed changes likely outweigh their costs.
Estimated Economic Impact. The Department of Environmental
Quality (DEQ) and the Board currently manage the stationary source air
pollution permitting program required by Title V of the federal Clean Air Act.
This program is required by federal law to be self-funding. DEQ staff reports
that emissions that are subject to fees per ton have been dropping. While this
is beneficial for the environment as it means that air quality is improving, it
also means that fee revenue that supports this program has been decreasing. In
order to maintain this program as required by law, the Board now proposes to
increase the fee per ton of emissions for all but one of the permit application
fees and increase all of the annual permit maintenance fees. The Board also
proposes to institute a new maintenance fee for synthetic minor source
pollution emitters that only emit, or have the potential to emit, a regulated
pollutant at less than 80 percent of the threshold that would qualify them as a
major source emitter. Board staff reports that this program has been understaffed
so fee increases will allow staffing increases in addition to maintaining
current oversight on permit holders. Board staff additionally reports that the
number of permits has been basically the same over the past several years.
Proposed fee increases will increase costs for permit holders going forward.
DEQ reports that large businesses will easily be able to absorb those costs.
Small businesses may have a harder time paying increased fees without business
disruption; the Board has attempted to minimize any adverse impact of fee
increases for small businesses by phasing in some of the larger increases. The
costs of these proposed changes are likely outweighed by the benefits to
stakeholders of maintaining this state program as the alternative would have the
federal government setting up a program in the state to manage Title V
permitting. Such a program would likely be more expensive for permit holders
and would likely also be less flexible and responsive to their concerns. All
current fees and proposed fees are set, as required by federal law, using the
Consumer Price Index (CPI) for all urban consumers. Current fees for 2017 and
proposed fees for 2018 and going forward are laid out below.
VA.R. Doc. No. R17-4981; Filed May 10, 2017, 9:02 a.m.
TITLE 9. ENVIRONMENT
DEPARTMENT OF ENVIRONMENTAL QUALITY
Final Regulation
REGISTRAR'S NOTICE: The
Department of Environmental Quality is claiming an exemption from Article 2 of
the Administrative Process Act in accordance with § 2.2-4006 A 4 a of the Code
of Virginia, which excludes regulations that are necessary to conform to
changes in Virginia statutory law where no agency discretion is involved. The
Department of Environmental Quality will receive, consider, and respond to
petitions by any interested person at any time with respect to reconsideration
or revision.
Title of Regulation: 9VAC15-40. Small Renewable
Energy Projects (Wind) Permit by Rule (amending 9VAC15-40-10, 9VAC15-40-20,
9VAC15-40-30).
Statutory Authority: § 10.1-1197.6 of the Code of
Virginia.
Effective Date: July 1, 2017.
Agency Contact: Mary E. Major, Department of
Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4423, FAX (804) 698-4510, or email
mary.major@deq.virginia.gov.
Summary:
Pursuant to Chapter 368 of the 2017 Acts of Assembly, the
amendments (i) increase the maximum size of a small renewable wind energy
project from 100 to 150 megawatts; (ii) require certification that the project
is not proposed, developed, constructed, or purchased by a person that is
utility regulated under Title 56 of the Code of Virginia; (iii) stipulate that
any project commencing operation after July 1, 2017, is eligible for the wind
permit by rule and is exempt from State Corporation Commission environmental
review if the project is proposed, developed, constructed, or purchased by (a)
a public utility if the costs are not recovered from Virginia customers under
base rates or (b) a utility aggregation cooperative formed under Article 2 (§
56-231.38 et seq.) of Chapter 9.1 of Title 56.
Part I
Definitions and Applicability
9VAC15-40-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Applicant" means the owner or operator who submits
an application to the department for a permit by rule pursuant to this chapter.
"Coastal Avian Protection Zones" or
"CAPZ" means the areas designated on the map of "Coastal Avian
Protection Zones" generated on the department's Coastal GEMS geospatial
data system (9VAC15-40-120 C 1).
"Department" means the Department of Environmental
Quality, its director, or the director's designee.
"DCR" means the Department of Conservation and
Recreation.
"DGIF" means the Department of Game and Inland
Fisheries.
"Disturbance zone" means the area within the site
directly impacted by construction and operation of the wind energy project, and
within 100 feet of the boundary of the directly impacted area.
"Ecological core" means an area of nonfragmented
forest, marsh, dune, or beach of ecological importance that is at least 100
acres in size and identified in DCR's Natural Landscape Assessment web-based
application (9VAC15-40-120 C 2).
"Historic resource" means any prehistoric or historic
district, site, building, structure, object, or cultural landscape that is
included or meets the criteria necessary for inclusion in the Virginia
Landmarks Register pursuant to the authorities of § 10.1-2205 of the Code
of Virginia and in accordance with 17VAC5-30-40 through 17VAC5-30-70.
"Important Bird Areas" means the designation of
discrete sites by the National Audubon Society as having local, regional,
continental, or global importance for birds because they support significant
numbers of one or more high priority avian species (e.g., T&E, SGCN) during
the breeding, wintering, or migration seasons.
"Interconnection point" means the point or points
where the wind energy project connects to a project substation for transmission
to the electrical grid.
"Invasive plant species" means non-native plant
species that cause, or are likely to cause, economic or ecological harm or harm
to human health as established by Presidential Executive Order 13112 (64 FR
6183, February 3, 1999) and contained on DCR's Invasive Alien Plant Species of
Virginia (9VAC15-40-120 B 3).
"Migratory corridors" means major travel routes
used by significant numbers of birds during biannual migrations between
breeding and wintering grounds.
"Migratory staging areas" means those sites along
migratory corridors where significant numbers of birds stop to feed and rest
during biannual migrations between breeding and wintering grounds that are
essential to successful migration.
"Natural heritage resource" means the habitat of
rare, threatened, or endangered plant and animal species, rare or state
significant natural communities or geologic sites, and similar features of
scientific interest benefiting the welfare of the citizens of the Commonwealth.
"Nearshore waters" means all tidal waters within
the Commonwealth of Virginia and seaward of the mean low-water shoreline to
three nautical miles offshore in the Atlantic Ocean.
"Operator" means the person responsible for the
overall operation and management of a wind energy project.
"Other avian mitigation factors" means Important
Bird Areas, migratory corridors, migratory staging areas, and wintering areas
within the Coastal Avian Protection Zones.
"Owner" means the person who owns all or a portion
of a wind energy project.
"Permit by rule" means provisions of the
regulations stating that a project or activity is deemed to have a permit if it
meets the requirements of the provision.
"Person" means any individual, partnership, firm,
association, joint venture, public or private corporation, trust, estate,
commission, board, public or private institution, utility, cooperative, county,
city, town, or other political subdivision of the Commonwealth, any interstate
body, or any other legal entity.
"Phase of a project" means one continuous period of
construction, startup, and testing activity of the wind energy project. A phase
is deemed complete when 90 calendar days have elapsed since the last previous
wind turbine has been placed in service, except when a delay has been caused by
a significant force majeure event, in which case a phase is deemed complete
when 180 calendar days have elapsed since the last previous wind turbine has
been placed in service.
"Post-construction" means any time after the last
turbine on the wind energy project or phase of that project has been placed in
service.
"Pre-construction" means any time prior to
commencing land-clearing operations necessary for the installation of
energy-generating structures at the small wind energy project.
"Rated capacity" means the maximum capacity of a
wind energy project based on the sum total of each turbine's nameplate
capacity.
"SGCN" or "species of greatest conservation
need" means any vertebrate species so designated by DGIF as Tier 1 or Tier
2 in the Virginia Wildlife Action Plan (9VAC15-40-120 B 6).
"Site" means the area containing a wind energy
project that is under common ownership or operating control. Electrical
infrastructure and other appurtenant structures up to the interconnection point
shall be considered to be within the site.
"Small renewable energy project" means (i) an
electrical generation facility with a rated capacity not exceeding 100 150
megawatts that generates electricity only from sunlight, or wind,;
(ii) an electrical generation facility with a rated capacity not exceeding 100
megawatts that generates electricity only from falling water, wave motion,
tides, or geothermal power; or (ii) (iii) an electrical
generation facility with a rated capacity not exceeding 20 megawatts that
generates electricity only from biomass, energy from waste, or municipal solid
waste.
"Small wind energy project," "wind energy
project," or "project" means a small renewable energy project
that (i) generates electricity from wind, consisting of one or more wind
turbines and other accessory structures and buildings, including substations,
post-construction meteorological towers, electrical infrastructure, and other
appurtenant structures and facilities within the boundaries of the site; and
(ii) is designed for, or capable of, operation at a rated capacity equal to or
less than 100 150 megawatts. Two or more wind energy projects
otherwise spatially separated but under common ownership or operational
control, which are connected to the electrical grid under a single interconnection
agreement, shall be considered a single wind energy project. Nothing in this
definition shall imply that a permit by rule is required for the construction
of meteorological towers to determine the appropriateness of a site for the
development of a wind energy project.
"State-owned submerged lands" means lands that lie
seaward of the mean low-water mark in tidal waters or that have an elevation
below the ordinary mean high-water elevation in nontidal areas that are
considered property of the Commonwealth pursuant to § 28.2-1200 of the
Code of Virginia.
"T&E," "state threatened or endangered
species," or "state-listed species" means any wildlife species
designated as a Virginia endangered or threatened species by DGIF pursuant to
§§ 29.1-563 through 29.1-570 of the Code of Virginia and 4VAC15-20-130.
"VLR" means the Virginia Landmarks Register
(9VAC15-40-120 B 1).
"VLR-eligible" means those historic resources that
meet the criteria necessary for inclusion on the VLR pursuant to 17VAC5-30-40
through 17VAC5-30-70 but are not listed in VLR.
"VLR-listed" means those historic resources that
have been listed in the VLR in accordance with the criteria of 17VAC5-30-40
through 17VAC5-30-70.
"VMRC" means the Virginia Marine Resources
Commission.
"Wildlife" means wild animals; except, however,
that T&E insect species shall only be addressed as part of natural heritage
resources and shall not be considered T&E wildlife.
"Wintering areas" means those sites where a
significant portion of the rangewide population of one or more avian species
overwinter annually.
9VAC15-40-20. Authority and applicability.
This regulation is issued under authority of Article 5
(§ 10.1-1197.5 et seq.) of Chapter 11.1 of Title 10.1 of the Code of
Virginia. The regulation contains requirements for wind-powered electric
generation projects consisting of wind turbines and associated facilities with
a single interconnection to the electrical grid that are designed for, or
capable of, operation at a rated capacity equal to or less than 100 150
megawatts. The department has determined that a permit by rule is required for
small wind energy projects with a rated capacity greater than five megawatts,
and this regulation contains the permit by rule provisions for these projects
in Part II (9VAC15-40-30 et seq.) of this chapter. The department has also
determined that a permit by rule is not required for small wind energy projects
with a rated capacity of five megawatts or less, and this regulation
contains notification and other provisions for these projects in Part III
(9VAC15-40-130) of this chapter. Projects that meet the criteria in Part III of
this chapter are deemed to be covered by the permit by rule.
Part II
Permit by Rule Provisions
9VAC15-40-30. Application for permit by rule for wind energy
projects.
A. The owner or operator of a small wind energy project with
a rated capacity greater than 5 five megawatts shall submit to
the department a complete application, in which he satisfactorily accomplishes
all of the following:
1. In accordance with § 10.1-1197.6 B 1 of the Code of
Virginia, and as early in the project development process as practicable,
furnishes to the department a notice of intent, to be published in the Virginia
Register, that he intends to submit the necessary documentation for a permit by
rule for a small renewable energy project;
2. In accordance with § 10.1-1197.6 B 2 of the Code of
Virginia, furnishes to the department a certification by the governing body of
the locality or localities wherein the small renewable energy project will be
located that the project complies with all applicable land use ordinances;
3. In accordance with § 10.1-1197.6 B 3 of the Code of
Virginia, furnishes to the department copies of all interconnection studies
undertaken by the regional transmission organization or transmission owner, or
both, on behalf of the small renewable energy project;
4. In accordance with § 10.1-1197.6 B 4 of the Code of
Virginia, furnishes to the department a copy of the final interconnection
agreement between the small renewable energy project and the regional
transmission organization or transmission owner indicating that the connection
of the small renewable energy project will not cause a reliability problem for
the system. If the final agreement is not available, the most recent
interconnection study shall be sufficient for the purposes of this section.
When a final interconnection agreement is complete, it shall be provided to the
department. The department shall forward a copy of the agreement or study to
the State Corporation Commission;
5. In accordance with § 10.1-1197.6 B 5 of the Code of
Virginia, furnishes to the department a certification signed by a professional
engineer licensed in Virginia that the maximum generation capacity of the small
wind energy project, as designed, does not exceed 100 150
megawatts;
6. In accordance with § 10.1-1197.6 B 6 of the Code of
Virginia, furnishes to the department an analysis of potential environmental
impacts of the small renewable energy project's operations on attainment of
national ambient air quality standards;
7. In accordance with § 10.1-1197.6 B 7 of the Code of
Virginia, furnishes to the department, where relevant, an analysis of the
beneficial and adverse impacts of the proposed project on natural resources.
The owner or operator shall perform the analyses prescribed in 9VAC15-40-40.
For wildlife, that analysis shall be based on information on the presence,
activity, and migratory behavior of wildlife to be collected at the site for a
period of time dictated by the site conditions and biology of the wildlife
being studied, not exceeding 12 months;
8. In accordance with § 10.1-1197.6 B 8 of the Code of
Virginia, furnishes to the department a mitigation plan pursuant to
9VAC15-40-60 that details reasonable actions to be taken by the owner or
operator to avoid, minimize, or otherwise mitigate such impacts, and to measure
the efficacy of those actions; provided, however, that the provisions of 9VAC15-40-30
A 8 this subdivision shall only be required if the department determines,
pursuant to 9VAC15-40-50, that the information collected pursuant to
§ 10.1-1197.6 B 7 of the Code of Virginia and 9VAC15-40-40 indicates that
significant adverse impacts to wildlife or historic resources are likely. The
mitigation plan shall be an addendum to the operating plan of the wind energy
project, and the owner or operator shall implement the mitigation plan as
deemed complete and adequate by the department. The mitigation plan shall be an
enforceable part of the permit by rule;
9. In accordance with § 10.1-1197.6 B 9 of the Code of
Virginia, furnishes to the department a certification signed by a professional
engineer licensed in Virginia that the project is designed in accordance with
9VAC15-40-80;
10. In accordance with § 10.1-1197.6 B 10 of the Code of
Virginia, furnishes to the department an operating plan that includes a
description of how the project will be operated in compliance with its
mitigation plan, if such a mitigation plan is required pursuant to
9VAC15-40-50;
11. In accordance with § 10.1-1197.6 B 11 of the Code of
Virginia, furnishes to the department a detailed site plan meeting the
requirements of 9VAC15-40-70;
12. In accordance with § 10.1-1197.6 B 12 of the Code of
Virginia, furnishes to the department a certification signed by the applicant
that the small wind energy project has applied for or obtained all necessary
environmental permits;
13. In accordance with § 10.1-1197.6 H and I of the Code of
Virginia, furnishes to the department a certification signed by the applicant
that the small wind energy project is being proposed, developed, constructed,
or purchased by a person that is not a utility regulated pursuant to Title 56
of the Code of Virginia or provides certification that (i) the project's costs
are not recovered from Virginia jurisdictional customers under base rates, a
fuel factor charge, or a rate adjustment clause or (ii) the applicant is a
utility aggregation cooperative formed under Article 2 (§ 56-231.38 et
seq.) of Chapter 9.1 of Title 56 of the Code of Virginia.
14. Prior to authorization of the project and in
accordance with §§ 10.1-1197.6 B 13 and 10.1-1197.6 B 14 of the
Code of Virginia, conducts a 30-day public review and comment period and holds
a public meeting pursuant to 9VAC15-40-90. The public meeting shall be held in
the locality or, if the project is located in more than one locality, in a
place proximate to the location of the proposed project; however, for projects
located in nearshore waters or on state-owned submerged lands, the meeting shall
be held in the locality that is the closest distance from the approximate
center of the project's disturbance zone. Following the public meeting and
public comment period, the applicant shall prepare a report summarizing the
issues raised by the public and include any written comments received and the
applicant's response to those comments. The report shall be provided to the
department as part of this application; and
14. 15. In accordance with 9VAC15-40-110,
furnishes to the department the appropriate fee.
B. Within 90 days of receiving all of the required documents
and fees listed in subsection A of this section, the department shall
determine, after consultation with other agencies in the Secretariat of Natural
Resources, whether the application is complete and whether it adequately meets
the requirements of this chapter, pursuant to § 10.1-1197.7 A of the Code
of Virginia.
1. If the department determines that the application meets the
requirements of this chapter, then the department shall notify the applicant in
writing that he is authorized to construct and operate a small wind energy
project pursuant to this chapter.
2. If the department determines that the application does not
meet the requirements of this chapter, then the department shall notify the
applicant in writing and specify the deficiencies.
3. If the applicant chooses to correct deficiencies in a
previously submitted application, the department shall follow the procedures of
this subsection and notify the applicant whether the revised application meets
the requirements of this chapter within 60 days of receiving the revised
application.
4. Any case decision by the department pursuant to this
subsection shall be subject to the process and appeal provisions of the
Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia).
VA.R. Doc. No. R17-5132; Filed May 10, 2017, 11:46 a.m.
TITLE 9. ENVIRONMENT
DEPARTMENT OF ENVIRONMENTAL QUALITY
Final Regulation
REGISTRAR'S NOTICE: The
Department of Environmental Quality is claiming an exemption from Article 2 of
the Administrative Process Act in accordance with § 2.2-4006 A 4 a of the Code
of Virginia, which excludes regulations that are necessary to conform to
changes in Virginia statutory law where no agency discretion is involved. The
Department of Environmental Quality will receive, consider, and respond to
petitions by any interested person at any time with respect to reconsideration
or revision.
Title of Regulation: 9VAC15-60. Small Renewable
Energy Projects (Solar) Permit by Rule (amending 9VAC15-60-10, 9VAC15-60-20,
9VAC15-60-30, 9VAC15-60-110).
Statutory Authority: § 10.1-1197.6 of the Code of
Virginia.
Effective Date: July 1, 2017.
Agency Contact: Mary E. Major, Department of
Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4423, FAX (804) 698-4510, or email
mary.major@deq.virginia.gov.
Summary:
Pursuant to Chapter 368 of the 2017 Acts of Assembly, the
amendments (i) increase the maximum size of a small renewable solar energy
project from 100 to 150 megawatts; (ii) require certification that the project
is not proposed, developed, constructed, or purchased by a person that is
utility regulated under Title 56 of the Code of Virginia; (iii) stipulate that
any project commencing operation after July 1, 2017, is eligible for the solar
permit by rule and is exempt from State Corporation Commission environmental
review if the project is proposed, developed, constructed, or purchased by (a)
a public utility if the costs are not recovered from Virginia customers under
base rates or (b) a utility aggregation cooperative formed under Article 2 (§
56-231.38 et seq.) of Chapter 9.1 of Title 56.
Part I
Definitions and Applicability
9VAC15-60-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Applicant" means the owner or operator who submits
an application to the department for a permit by rule pursuant to this chapter.
"Archive search" means a search of DHR's cultural
resource inventory for the presence of previously recorded archaeological sites
and for architectural structures and districts.
"Coastal Avian Protection Zones" or
"CAPZ" means the areas designated on the map of "Coastal Avian
Protection Zones" generated on the department's Coastal GEMS geospatial
data system (9VAC15-60-120 C 1).
"Concentrating photovoltaics" or "CPV"
means PV systems with equipment to focus or direct sunlight on the PV cells.
For purposes of this chapter, CPV is included in the definition of PV.
"Department" means the Department of Environmental
Quality, its director, or the director's designee.
"DCR" means the Department of Conservation and
Recreation.
"DGIF" means the Department of Game and Inland
Fisheries.
"DHR" means the Department of Historic Resources.
"Disturbance zone" means the area within the site
directly impacted by construction and operation of the solar energy project and
within 100 feet of the boundary of the directly impacted area.
"Historic resource" means any prehistoric or
historic district, site, building, structure, object, or cultural landscape
that is included or meets the criteria necessary for inclusion in the Virginia
Landmarks Register pursuant to the authorities of § 10.1-2205 of the Code
of Virginia and in accordance with 17VAC5-30-40 through 17VAC5-30-70.
"Integrated PV" means photovoltaics incorporated
into building materials, such as shingles.
"Interconnection point" means the point or points
where the solar energy project connects to a project substation for
transmission to the electrical grid.
"Natural heritage resource" means the habitat of
rare, threatened, or endangered plant and animal species, rare or state
significant natural communities or geologic sites, and similar features of
scientific interest benefiting the welfare of the citizens of the Commonwealth.
"Operator" means the person responsible for the
overall operation and management of a solar energy project.
"Other solar technologies" means materials or
devices or methodologies of producing electricity from sunlight other than PV
or CPV.
"Owner" means the person who owns all or a portion
of a solar energy project.
"Parking lot" means an improved area, usually
divided into individual spaces and covered with pavement or gravel, intended
for the parking of motor vehicles.
"Permit by rule" means provisions of the
regulations stating that a project or activity is deemed to have a permit if it
meets the requirements of the provision.
"Person" means any individual, partnership, firm,
association, joint venture, public or private corporation, trust, estate,
commission, board, public or private institution, utility, cooperative, county,
city, town, or other political subdivision of the Commonwealth, any interstate
body, or any other legal entity.
"Photovoltaic" or "PV" means materials
and devices that absorb sunlight and convert it directly into electricity by
semiconductors.
"Photovoltaic cell" or "PV cell" means a
solid state device that converts sunlight directly into electricity. PV cells
may be connected together to form PV modules, which in turn may be combined and
connected to form PV arrays (often called PV panels).
"Photovoltaic system" or "PV system"
means PV cells, which may be connected into one or more PV modules or arrays,
including any appurtenant wiring, electric connections, mounting hardware,
power-conditioning equipment (inverter), and storage batteries.
"Preconstruction" means any time prior to
commencing land-clearing operations necessary for the installation of
energy-generating structures at the small solar energy project.
"Rated capacity" means the maximum capacity of a
solar energy project based on Photovoltaic USA Test Conditions (PVUSA Test
Conditions) rating.
"Site" means the area containing a solar energy
project that is under common ownership or operating control. Electrical
infrastructure and other appurtenant structures up to the interconnection point
shall be considered to be within the site.
"Small renewable energy project" means (i) an
electrical generation facility with a rated capacity not exceeding 100 150
megawatts that generates electricity only from sunlight, or wind,;
(ii) an electrical generation facility with a rated capacity not exceeding 100
megawatts that generates electricity only from falling water, wave motion,
tides, or geothermal power; or (ii) (iii) an electrical
generation facility with a rated capacity not exceeding 20 megawatts that
generates electricity only from biomass, energy from waste, or municipal solid
waste.
"Small solar energy project," "solar energy
project," or "project" means a small renewable energy project
that (i) generates electricity from sunlight, consisting of one or more PV
systems and other appurtenant structures and facilities within the boundaries
of the site; and (ii) is designed for, or capable of, operation at a rated
capacity equal to or less than 100 150 megawatts. Two or more
solar energy projects otherwise spatially separated but under common ownership
or operational control, which are connected to the electrical grid under a
single interconnection agreement, shall be considered a single solar energy
project. Nothing in this definition shall imply that a permit by rule is required
for the construction of test structures to determine the appropriateness of a
site for the development of a solar energy project.
"T&E," "state threatened or endangered
species," or "state-listed species" means any wildlife species
designated as a Virginia endangered or threatened species by DGIF pursuant to
the § 29.1-563-570 §§ 29.1-563 through 29.1-570 of the Code of
Virginia and 4VAC15-20-130.
"VLR" means the Virginia Landmarks Register
(9VAC15-60-120 B 1).
"VLR-eligible" means those historic resources that
meet the criteria necessary for inclusion on the VLR pursuant to 17VAC5-30-40
through 17VAC5-30-70 but are not listed in VLR.
"VLR-listed" means those historic resources that
have been listed in the VLR in accordance with the criteria of 17VAC5-30-40
through 17VAC5-30-70.
"Wildlife" means wild animals; except, however,
that T&E insect species shall only be addressed as part of natural heritage
resources and shall not be considered T&E wildlife.
9VAC15-60-20. Authority and applicability.
A. This regulation is issued under authority of Article 5
(§ 10.1-1197.5 et seq.) of Chapter 11.1 of Title 10.1 of the Code of
Virginia. The regulation contains requirements for solar-powered electric
generation projects consisting of PV systems and associated facilities with a
single interconnection to the electrical grid that are designed for, or capable
of, operation at a rated capacity equal to or less than 100 150
megawatts.
B. The department has determined that a permit by rule is
required for small solar energy projects with a rated capacity greater than
five megawatts and a disturbance zone greater than 10 acres, provided that the
projects do not otherwise meet the criteria for Part III (9VAC15-60-130) of
this chapter, and this regulation contains the permit by rule provisions for
these projects in Part II (9VAC15-60-30 et seq.) of this chapter.
C. The department has determined that different provisions
should apply to projects that meet the criteria as set forth in Part III
(9VAC15-60-130) of this chapter, and this regulation contains the requirements,
if any, for these projects in Part III (9VAC15-60-130 A and 9VAC15-60-130
B) of this chapter. Projects that meet the criteria for Part III of this
chapter are deemed to be covered by the permit by rule.
D. The department has determined that small renewable energy
projects utilizing other solar technologies shall fulfill all of the
requirements in 9VAC15-40 as prescribed for small wind energy projects, unless
(i) the owner or operator of the proposed project presents to the department
information indicating that the other solar technology presents no greater
likelihood of significant adverse impacts to natural resources than does PV
technology and (ii) the department determines that it is appropriate for the
proposed project utilizing the other solar technology to meet the requirements
of this chapter or of some modification to either 9VAC15-40 or 9VAC15-60
this chapter, as prescribed by the department for that particular
project.
Part II
Permit by Rule Provisions
9VAC15-60-30. Application for permit by rule for solar energy
projects with rated capacity greater than five megawatts and disturbance zone
greater than 10 acres.
A. The owner or operator of a small solar energy project with
a rated capacity greater than five megawatts and a disturbance zone
greater than 10 acres, provided that the project does not otherwise meet the
criteria for Part III (9VAC15-60-130 A or B) of this chapter, shall submit to
the department a complete application in which he satisfactorily accomplishes
all of the following:
1. In accordance with § 10.1-1197.6 B 1 of the Code of
Virginia, and as early in the project development process as practicable,
furnishes to the department a notice of intent, to be published in the Virginia
Register, that he intends to submit the necessary documentation for a permit by
rule for a small renewable energy project;
2. In accordance with § 10.1-1197.6 B 2 of the Code of
Virginia, furnishes to the department a certification by the governing body of
the locality or localities wherein the small renewable energy project will be
located that the project complies with all applicable land use ordinances;
3. In accordance with § 10.1-1197.6 B 3 of the Code of
Virginia, furnishes to the department copies of all interconnection studies
undertaken by the regional transmission organization or transmission owner, or
both, on behalf of the small renewable energy project;
4. In accordance with § 10.1-1197.6 B 4 of the Code of
Virginia, furnishes to the department a copy of the final interconnection
agreement between the small renewable energy project and the regional
transmission organization or transmission owner indicating that the connection
of the small renewable energy project will not cause a reliability problem for
the system. If the final agreement is not available, the most recent
interconnection study shall be sufficient for the purposes of this section.
When a final interconnection agreement is complete, it shall be provided to the
department. The department shall forward a copy of the agreement or study to
the State Corporation Commission;
5. In accordance with § 10.1-1197.6 B 5 of the Code of
Virginia, furnishes to the department a certification signed by a professional
engineer licensed in Virginia that the maximum generation capacity of the small
solar energy project, as designed, does not exceed 100 150
megawatts;
6. In accordance with § 10.1-1197.6 B 6 of the Code of
Virginia, furnishes to the department an analysis of potential environmental
impacts of the small renewable energy project's operations on attainment of
national ambient air quality standards;
7. In accordance with § 10.1-1197.6 B 7 of the Code of
Virginia, furnishes to the department, where relevant, an analysis of the
beneficial and adverse impacts of the proposed project on natural resources.
The owner or operator shall perform the analyses prescribed in 9VAC15-60-40.
For wildlife, that analysis shall be based on information on the presence,
activity, and migratory behavior of wildlife to be collected at the site for a
period of time dictated by the site conditions and biology of the wildlife
being studied, not exceeding 12 months;
8. In accordance with § 10.1-1197.6 B 8 of the Code of
Virginia, furnishes to the department a mitigation plan pursuant to
9VAC15-60-60 that details reasonable actions to be taken by the owner or
operator to avoid, minimize, or otherwise mitigate such impacts, and to measure
the efficacy of those actions; provided, however, that the provisions of this
subdivision shall only be required if the department determines, pursuant to
9VAC15-60-50, that the information collected pursuant to § 10.1-1197.6 B 7
of the Code of Virginia and 9VAC15-60-40 indicates that significant adverse
impacts to wildlife or historic resources are likely. The mitigation plan shall
be an addendum to the operating plan of the solar energy project, and
the owner or operator shall implement the mitigation plan as deemed complete
and adequate by the department. The mitigation plan shall be an enforceable
part of the permit by rule;
9. In accordance with § 10.1-1197.6 B 9 of the Code of
Virginia, furnishes to the department a certification signed by a professional
engineer licensed in Virginia that the project is designed in accordance with
9VAC15-60-80;
10. In accordance with § 10.1-1197.6 B 10 of the Code of
Virginia, furnishes to the department an operating plan that includes a
description of how the project will be operated in compliance with its
mitigation plan, if such a mitigation plan is required pursuant to
9VAC15-60-50;
11. In accordance with § 10.1-1197.6 B 11 of the Code of
Virginia, furnishes to the department a detailed site plan meeting the
requirements of 9VAC15-60-70;
12. In accordance with § 10.1-1197.6 B 12 of the Code of
Virginia, furnishes to the department a certification signed by the applicant
that the small solar energy project has applied for or obtained all necessary
environmental permits;
13. In accordance with § 10.1-1197.6 H and I of the Code of
Virginia, furnishes to the department a certification signed by the applicant
that the small solar energy project is being proposed, developed, constructed,
or purchased by a person that is not a utility regulated pursuant to Title 56
of the Code of Virginia or provides certification that (i) the project's costs
are not recovered from Virginia jurisdictional customers under base rates, a
fuel factor charge, or a rate adjustment clause, or (ii) the applicant is a
utility aggregation cooperative formed under Article 2 (§ 56-231.38 et seq.) of
Chapter 9.1 of Title 56 of the Code of Virginia.
14. Prior to authorization of the project and in
accordance with § 10.1-1197.6 B 13 and B 14 of the Code of
Virginia, conducts a 30-day public review and comment period and holds a public
meeting pursuant to 9VAC15-60-90. The public meeting shall be held in the
locality or, if the project is located in more than one locality, in a place
proximate to the location of the proposed project. Following the public meeting
and public comment period, the applicant shall prepare a report summarizing the
issues raised by the public and include any written comments received and the
applicant's response to those comments. The report shall be provided to the
department as part of this application; and
14. 15. In accordance with 9VAC15-60-110,
furnishes to the department the appropriate fee.
B. Within 90 days of receiving all of the required documents
and fees listed in subsection A of this section, the department shall
determine, after consultation with other agencies in the Secretariat of Natural
Resources, whether the application is complete and whether it adequately meets
the requirements of this chapter pursuant to § 10.1-1197.7 A of the Code
of Virginia.
1. If the department determines that the application meets the
requirements of this chapter, then the department shall notify the applicant in
writing that he is authorized to construct and operate a small solar energy
project pursuant to this chapter.
2. If the department determines that the application does not
meet the requirements of this chapter, then the department shall notify the
applicant in writing and specify the deficiencies.
3. If the applicant chooses to correct deficiencies in a
previously submitted application, the department shall follow the procedures of
this subsection and notify the applicant whether the revised application meets
the requirements of this chapter within 60 days of receiving the revised
application.
4. Any case decision by the department pursuant to this
subsection shall be subject to the process and appeal provisions of the
Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia).
9VAC15-60-110. Fees for projects subject to Part II of this
chapter.
A. Purpose. The purpose of this section is to establish
schedules and procedures pertaining to the payment and collection of fees from
any applicant seeking a new permit by rule or a modification to an existing
permit by rule for a small solar energy project subject to Part II
(9VAC15-60-30 et seq.) of this chapter.
B. Permit fee payment and deposit. Fees for permit by rule
applications or modifications shall be paid by the applicant as follows:
1. Due date. All permit application fees or modification fees
are due on submittal day of the application or modification package.
2. Method of payment. Fees shall be paid by check, draft, or
postal money order made payable to "Treasurer of Virginia/DEQ" and
shall be sent to the Department of Environmental Quality, Receipts Control,
P.O. Box 1104, Richmond, VA 23218.
3. Incomplete payments. All incomplete payments shall be
deemed nonpayments.
4. Late payment. No application or modification submittal will
be deemed complete until the department receives proper payment.
C. Fee schedules. Each application for a permit by rule and
each application for a modification of a permit by rule is a separate action
and shall be assessed a separate fee. The amount of the permit application fee
is based on the costs associated with the permitting program required by this
chapter. The fee schedules are shown in the following table:
Type of Action
|
Fee
|
Permit by rule application – by rated capacity:
>5 MW up to and including 25 MW
>25 MW up to and including 50 MW
>50 MW up to and including 75 MW
>75 MW up to and including 100 150 MW
|
$8,000
$10,000
$12,000
$14,000
|
Permit by rule modification – for any project subject to
Part II of this chapter
|
$4,000
|
D. Use of fees. Fees are assessed for the purpose of
defraying the department's costs of administering and enforcing the provisions
of this chapter including, but not limited to, permit by rule
processing, permit by rule modification processing, and inspection and
monitoring of small solar energy projects to ensure compliance with this
chapter. Fees collected pursuant to this section shall be used for the
administrative and enforcement purposes specified in this chapter and in
§ 10.1-1197.6 E of the Code of Virginia.
E. Fund. The fees, received by the department in accordance
with this chapter, shall be deposited in the Small Renewable Energy Project Fee
Fund.
F. Periodic review of fees. Beginning July 1, 2013, and
periodically thereafter, the department shall review the schedule of fees
established pursuant to this section to ensure that the total fees collected
are sufficient to cover 100% of the department's direct costs associated with
use of the fees.
VA.R. Doc. No. R17-5131; Filed May 10, 2017, 11:45 a.m.
TITLE 9. ENVIRONMENT
DEPARTMENT OF ENVIRONMENTAL QUALITY
Final Regulation
REGISTRAR'S NOTICE: The
Department of Environmental Quality is claiming an exemption from Article 2 of
the Administrative Process Act in accordance with § 2.2-4006 A 4 a of the Code
of Virginia, which excludes regulations that are necessary to conform to
changes in Virginia statutory law where no agency discretion is involved. The
Department of Environmental Quality will receive, consider, and respond to
petitions by any interested person at any time with respect to reconsideration
or revision.
Title of Regulation: 9VAC15-70. Small Renewable
Energy Projects (Combustion) Permit by Rule (amending 9VAC15-70-10, 9VAC15-70-30).
Statutory Authority: § 10.1-1197.6 of the Code of
Virginia.
Effective Date: July 1, 2017.
Agency Contact: Mary E. Major, Department of
Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,
telephone (804) 698-4423, FAX (804) 698-4510, or email mary.major@deq.virginia.gov.
Summary:
Pursuant to Chapter 368 of the 2017 Acts of Assembly, the
amendments (i) adjust the definition of "small renewable energy
project"; (ii) require certification that the project is not proposed,
developed, constructed, or purchased by a person that is utility regulated
under Title 56; and (iii) stipulate that any project commencing operation after
July 1, 2017, is eligible for the combustion permit by rule and is exempt from
State Corporation Commission environmental review if the project is proposed,
developed, constructed, or purchased by (a) a public utility if the costs are
not recovered from Virginia customers under base rates, a fuel factor charge,
or a rate adjustment clause, or (b) a utility aggregation cooperative formed
under Article 2 (§ 56-231.38 et seq.) of Chapter 9.1 of Title 56.
9VAC15-70-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Applicant" means the owner or operator who submits
an application to the department for a permit by rule pursuant to this chapter.
"Archive search" means a search of DHR's cultural
resource inventory for the presence of previously recorded archaeological sites
and for architectural structures and districts.
"Coastal Avian Protection Zones" or
"CAPZ" means the areas designated on the map of "Coastal Avian
Protection Zones" generated on the department's Coastal GEMS geospatial
data system (9VAC15-70-120 C 1).
"Combustion energy project," or "project"
means a small renewable energy project that:
1. Is an electrical generation facility with a rated capacity
not exceeding 20 megawatts that generates electricity only from biomass, energy
from waste, or municipal solid waste; and
2. Utilizes a fuel or feedstock that is addressed as a
regulated solid waste by 9VAC20-81, 9VAC20-60 9VAC20-60, 9VAC20-81,
or 9VAC20-120; is defined as biomass pursuant to § 10.1-1308.1 of the Code
of Virginia; or both.
"Department" means the Department of Environmental
Quality, its director, or the director's designee.
"DCR" means the Department of Conservation and
Recreation.
"DGIF" means the Department of Game and Inland
Fisheries.
"DHR" means the Department of Historic Resources.
"Disturbance zone" means the area within the site
directly impacted by construction and operation of the combustion energy
project.
"Historic resource" means any prehistoric or
historic district, site, building, structure, object, or cultural landscape
that is included or meets the criteria necessary for inclusion in the Virginia
Landmarks Register pursuant to the authorities of § 10.1-2205 of the Code
of Virginia and in accordance with 17VAC5-30-40 through 17VAC5-30-70.
"Interconnection point" means the point or points
where the combustion energy project connects to a project substation for
transmission to the electrical grid.
"Natural heritage resource" means the habitat of
rare, threatened, or endangered plant and animal species, rare or state
significant natural communities or geologic sites, and similar features of
scientific interest benefiting the welfare of the citizens of the Commonwealth.
"Operator" means the person responsible for the
overall operation and management of a combustion energy project.
"Owner" means the person who owns all or a portion
of a combustion energy project.
"Parasitic load" means the maximum amount of
electricity (in megawatts or kilowatts) a combustion energy project uses to run
its electricity-producing processes while operating at the rated capacity.
"Parking lot" means an improved area, usually
divided into individual spaces and covered with pavement or gravel, intended
for the parking of motor vehicles.
"Permit by rule" means provisions of this chapter
stating that a project or activity is deemed to have a permit if it meets the
requirements of the provision.
"Person" means any individual, partnership, firm,
association, joint venture, public or private corporation, trust, estate,
commission, board, public or private institution, utility, cooperative, county,
city, town, or other political subdivision of the Commonwealth, any interstate
body, or any other legal entity.
"Preconstruction" means any time prior to
commencing land-clearing operations necessary for the installation of
energy-generating structures at the combustion energy project.
"Rated capacity" means the maximum designed
electrical generation capacity (in megawatts or kilowatts) of a combustion
energy project, minus the parasitic load; sometimes known as "net
capacity."
"Site" means the area encompassed by the combustion
energy project, plus appurtenant structures and facilities such as fuel
processing, delivery, storage, and associated conveyance equipment areas if
they (i) are contiguous and (ii) primarily exist to supply fuel for the
generation of electricity at that project, to the extent that these areas are
under common ownership or operating control by the owner or operator of the
combustion energy project.
"Small renewable energy project" means (i) an
electrical generation facility with a rated capacity not exceeding 100 150
megawatts that generates electricity only from sunlight, or wind,;
(ii) an electrical generation facility with a rated capacity not exceeding 100
megawatts that generates electricity only from falling water, wave motion,
tides, or geothermal power,; or (ii) (iii) an
electrical generation facility with a rated capacity not exceeding 20 megawatts
that generates electricity only from biomass, energy from waste, or municipal
solid waste.
"T&E," "state threatened or endangered
species," or "state-listed species" means any wildlife species
designated as a Virginia endangered or threatened species by DGIF pursuant to § 29.1-563-570
§§ 29.1-563 through 29.1-570 of the Code of Virginia and 4VAC15-20-130.
"VLR" means the Virginia Landmarks Register
(9VAC15-70-120 B 1).
"VLR-eligible" means those historic resources that
meet the criteria necessary for inclusion on the VLR pursuant to 17VAC5-30-40
through 17VAC5-30-70 but are not listed in the VLR.
"VLR-listed" means those historic resources that
have been listed in the VLR in accordance with the criteria of 17VAC5-30-40
through 17VAC5-30-70.
"Wildlife" means wild animals; except, however,
that T&E insect species shall only be addressed as part of natural heritage
resources and shall not be considered T&E wildlife.
Part II
Permit by Rule Provisions for Combustion Energy Projects with Rated Capacity
Greater Than Five Megawatts and Not Otherwise Meeting Criteria for Part III
9VAC15-70-30. Application.
A. The owner or operator of a combustion energy project with
a rated capacity greater than five megawatts, provided that the project does
not otherwise meet the criteria for Part III (9VAC15-70-130) of this chapter,
shall submit to the department a complete application in which he
satisfactorily accomplishes all of the following:
1. In accordance with § 10.1-1197.6 B 1 of the Code of
Virginia, and as early in the project development process as practicable,
furnishes to the department a notice of intent, to be published in the Virginia
Register of Regulations, that he intends to submit the necessary documentation
for a permit by rule for a small renewable energy project;
2. In accordance with § 10.1-1197.6 B 2 of the Code of
Virginia, furnishes to the department a certification by the governing body of
the locality or localities wherein the small renewable energy project will be
located that the project complies with all applicable land use ordinances;
3. In accordance with § 10.1-1197.6 B 3 of the Code of
Virginia, furnishes to the department copies of all interconnection studies
undertaken by the regional transmission organization or transmission owner, or
both, on behalf of the small renewable energy project;
4. In accordance with § 10.1-1197.6 B 4 of the Code of
Virginia, furnishes to the department a copy of the final interconnection
agreement between the small renewable energy project and the regional
transmission organization or transmission owner indicating that the connection
of the small renewable energy project will not cause a reliability problem for
the system. If the final agreement is not available, the most recent
interconnection study shall be sufficient for the purposes of this section.
When a final interconnection agreement is complete, it shall be provided to the
department. The department shall forward a copy of the agreement or study to
the State Corporation Commission;
5. In accordance with § 10.1-1197.6 B 5 of the Code of
Virginia, furnishes to the department a certification signed by a professional
engineer licensed in Virginia that the maximum generation capacity of the
combustion energy project, as designed, does not exceed 20 megawatts;
6. In accordance with § 10.1-1197.6 B 6 of the Code of
Virginia, furnishes to the department an analysis of potential environmental
impacts of the small renewable energy project's operations on attainment of
national ambient air quality standards;
7. In accordance with § 10.1-1197.6 B 7 of the Code of
Virginia, furnishes to the department, where relevant, an analysis of the
beneficial and adverse impacts of the proposed project on natural resources.
The owner or operator shall perform the analyses prescribed in 9VAC15-70-40.
For wildlife, that analysis shall be based on information on the presence,
activity, and migratory behavior of wildlife to be collected at the site for a
period of time dictated by the site conditions and biology of the wildlife
being studied, not exceeding 12 months;
8. In accordance with § 10.1-1197.6 B 8 of the Code of
Virginia, furnishes to the department a mitigation plan pursuant to
9VAC15-70-70 that details reasonable actions to be taken by the owner or
operator to avoid, minimize, or otherwise mitigate such impacts, and to measure
the efficacy of those actions; provided, however, that the provisions of this
subdivision shall only be required if the department determines pursuant to
9VAC15-70-50 that the information collected pursuant to § 10.1-1197.6 B 7
of the Code of Virginia and 9VAC15-70-40 indicates that significant adverse
impacts to wildlife or historic resources are likely;
9. In accordance with § 10.1-1197.6 B 9 of the Code of
Virginia, furnishes to the department a certification signed by a professional
engineer licensed in Virginia that the project is designed in accordance with
9VAC15-70-80;
10. In accordance with § 10.1-1197.6 B 10 of the Code of
Virginia, furnishes to the department an operating plan describing how any
standards established in this chapter applicable to the permit by rule will be
achieved;
11. In accordance with § 10.1-1197.6 B 11 of the Code of
Virginia, furnishes to the department a detailed site plan meeting the
requirements of 9VAC15-70-70;
12. In accordance with § 10.1-1197.6 B 12 of the Code of
Virginia, furnishes to the department a certification signed by the applicant
that the combustion energy project has applied for or obtained all necessary
environmental permits;
13. In accordance with § 10.1-1197.6 H and I of the Code of
Virginia, furnishes to the department a certification signed by the applicant
that the small combustion energy project is being proposed, developed,
constructed, or purchased by a person that is not a utility regulated pursuant
to Title 56 of the Code of Virginia or provides certification that (i) the
project's costs are not recovered from Virginia jurisdictional customers under
base rates, a fuel factor charge, or a rate adjustment clause, or (ii) the
applicant is a utility aggregation cooperative formed under Article 2 (§
56-231.38 et seq.) of Chapter 9.1 of Title 56 of the Code of Virginia.
14. Prior to authorization of the project and in
accordance with §§ 10.1-1197.6 B 13 and 10.1-1197.6 B 14 of the
Code of Virginia, conducts a 30-day public review and comment period and holds
a public meeting pursuant to 9VAC15-70-90. The public meeting shall be held in
the locality or, if the project is located in more than one locality, in a
place proximate to the location of the proposed project. Following the public
meeting and public comment period, the applicant shall prepare a report
summarizing the issues raised by the public and include any written comments
received and the applicant's response to those comments. The report shall be
provided to the department as part of this application; and
14. 15. In accordance with 9VAC15-70-110,
furnishes to the department the appropriate fee.
B. Within 90 days of receiving all of the required documents
and fees listed in subsection A of this section, the department shall
determine, after consultation with other agencies in the Secretariat of Natural
Resources, whether the application is complete and whether it adequately meets
the requirements of this chapter, pursuant to § 10.1-1197.7 A of the Code
of Virginia.
1. If the department determines that the application meets the
requirements of this chapter, then the department shall notify the applicant in
writing that he is authorized to construct and operate a combustion energy
project pursuant to this chapter.
2. If the department determines that the application does not
meet the requirements of this chapter, then the department shall notify the
applicant in writing and specify the deficiencies.
3. If the applicant chooses to correct deficiencies in a
previously submitted application, the department shall follow the procedures of
this subsection and notify the applicant whether the revised application meets
the requirements of this chapter within 60 days of receiving the revised
application.
4. Any case decision by the department pursuant to this
subsection shall be subject to the process and appeal provisions of the
Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia).
VA.R. Doc. No. R17-5133; Filed May 10, 2017, 11:46 a.m.
TITLE 12. HEALTH
STATE BOARD OF HEALTH
Notice of Extension of Emergency Regulation
Title of Regulation: 12VAC5-221. Virginia's Rules and
Regulations Governing Cooperative Agreements (adding 12VAC5-221-10 through 12VAC5-221-150).
Statutory Authority: § 32.1-12 of the Code of
Virginia; Chapter 741 of the 2015 Acts of Assembly.
Expiration Date Extended Through: January 16, 2018.
The Governor approved the State Board of Health's request to
extend the expiration date of the above-referenced emergency regulation as
provided for in § 2.2-4011 D of the Code of Virginia. Therefore, the emergency
regulation will continue in effect through January 16, 2018. The emergency
regulation was published in 32:12 VA.R. 1897-1906 February 8, 2016.
On March 16, 2017, the State Board of Health approved a fast-track rulemaking
action pursuant to § 2.2-4012.1 of the Code of Virginia to promulgate a
permanent regulation to replace the emergency regulation.
Agency Contact: Susan Puglisi, Policy Analyst,
Department of Health, 9960 Mayland Drive, Suite 401, Richmond, VA 23233,
telephone (804) 367-2157, FAX (804) 527-4502, or email
susan.puglisi@vdh.virginia.gov.
VA.R. Doc. No. R16-4430; Filed April 26, 2017, 1:10 p.m.
TITLE 12. HEALTH
STATE BOARD OF HEALTH
Proposed Regulation
Title of Regulation: 12VAC5-450. Rules and
Regulations Governing Campgrounds (amending 12VAC5-450-10, 12VAC5-450-30 through
12VAC5-450-150, 12VAC5-450-170 through 12VAC5-450-200; adding 12VAC5-450-15,
12VAC5-450-115, 12VAC5-450-183, 12VAC5-450-187; repealing 12VAC5-450-210,
12VAC5-450-230).
Statutory Authority: §§ 35.1-11 and 35.1-17 of the Code
of Virginia.
Public Hearing Information:
June 20, 2017 - 1 p.m. - Perimeter Center, Conference
Center, 9960 Mayland Drive, Suite 200, Richmond, Virginia 23233
Public Comment Deadline: July 28, 2017.
Agency Contact: David Tiller, Environmental Health
Coordinator, Department of Health, P.O. Box 298, Shacklefords, VA 23156,
telephone (804) 785-2135, FAX (804) 864-7475, or email
dave.tiller@vdh.virginia.gov.
Basis: Section 35.1-11 of the Code of Virginia
authorizes the Board of Health to make, adopt, promulgate, and enforce
regulations necessary to carry out the provisions of Title 35.1 of the Code of
Virginia and to protect the public health and safety. The regulations of the
board specifically governing campgrounds pursuant to § 35.1-17 of the Code
of Virginia shall include minimum standards for drinking water, sewage
disposal, solid waste disposal, maintenance, vector and pest control, toilet
and shower facilities, swimming facilities, control of animals and pets,
procedures and safeguards for hazardous situations, maintenance and sale of
propane gas, and procedures for obtaining a permit. Additionally, the
department may also establish classes of campgrounds and concomitant
requirements for each as authorized by § 35.1-17 B of the Code of
Virginia.
Purpose: The Rules and Regulations Governing Campgrounds
(12VAC5-450) have remained unchanged since first becoming effective in 1971.
Amending the chapter is essential to protect the health and safety of visitors
to the Commonwealth's campgrounds. The current definition of a campground
(contained in § 35.1-1 of the Code of Virginia) requires an owner to comply
with the regulations when three or more designated campsites are intended for
occupancy for periods of overnight or longer. However, festivals and short-term
outdoor events occur today that draw large attendance, and temporary camping is
often provided. Attempting to meet the requirements of the existing regulations
for these short-term duration events has proven burdensome to property owners,
and public health and safety can be protected with other controls in place. For
these festivals and related events to proceed under the current regulations
without undue hardship, waivers must be granted by the commissioner. The
commissioner granted 44 waivers to allow for temporary camping throughout the
Commonwealth in 2015, and 41 in 2016. Processing waiver requests drains limited
staff resources away from mandated services provided by the department and can
lead to regulatory inconsistency. Creating new requirements to govern
short-term events will provide needed consistency and minimize waiver requests.
Primitive camping, commonly referred to as back country
camping, zero-impact camping, or neutral footprint camping, is characterized by
the absence of what are generally understood as modern conveniences.
Requirements to provide numbered campsites, drinking water, solid waste
disposal, and service buildings with modern sanitary facilities for all types
of primitive camping is not only an undue hardship placed upon many campground
owners, but is also not desired by all campers. By creating an allowance for
primitive camping, campers will be permitted to provide their own water supply
or means of waste disposal when camping, and campgrounds will not be required
to provide numbered sites or showers and flush toilets. Creating distinct
provisions for primitive camping areas will be less burdensome on campground
owners, while still protecting public health and safety.
The current regulations do not require campground operators to
have an emergency response plan in place. Campgrounds, having few or no
permanent structures, can be high risk areas during natural disasters or other
weather-related emergency events. The proposed amendments will better protect
the safety of campers in Virginia by requiring campground operators to compose
and maintain an emergency response plan that prepares for camper safety and
potential evacuation, promote availability of emergency contact information for
campers, and prepare for the communication of emergency response information to
campers.
Substance: The proposed action:
1. Creates a new section, and repeals and replaces certain
sections related to enforcement, penalties, constitutionality, and exemptions
to comply with the Administrative Process Act.
2. Revises definitions for clarity, removes several definitions
not needed or used elsewhere in the regulation, and adds a definition for
"operator."
3. Revises the description of campground permits to include
temporary camping permits and establishes minimum requirements for campground
inspection.
4. Adds a requirement for campgrounds utilizing private wells
to test for coliform bacteria and nitrates on an annual basis.
5. Reorganizes provisions for sewage disposal and sanitary
facilities for clarity.
6. Creates a new section that describes provisions for cabins
and other lodging units.
7. Creates a requirement for emergency preparedness planning.
8. Creates a new section to address primitive campgrounds with
exemptions and replacement requirements that will protect public health and
safety.
9. Creates a new section to address temporary camping events
with exemptions and replacement requirements that will protect public health
and safety.
Issues: The primary advantage of the proposed amendments
is the removal of burdensome requirements for primitive and temporary camping,
while still protecting public health and safety. The proposed amendments
provide organization and clarity to the existing text, which better facilitates
the public's understanding of the regulation. The agency and regulated
businesses will benefit from these revisions as they will reduce or eliminate
the need for waivers. Including provisions for cabins and other rental units in
the regulations reduces additional permitting requirements borne by both
campground operators and the agency, as these units have been permitted under
the Sanitary Regulations for Hotels (12VAC5-431) in many local health
districts. There are no anticipated disadvantages to the public or the
Commonwealth with the adoption of the proposed amendments.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. Pursuant to a
2013 periodic review,1 the State Board of Health (Board) proposes to
amend its Rules and Regulations Governing Campgrounds. The Board proposes to
reorganize and make clarifying changes to this regulation. The Board also
proposes several substantive changes, which include:
1. Adding new rules for cabins and other lodging units.
2. Adding a new regulatory section for primitive campgrounds
3. Adding a new regulatory section for temporary campgrounds.
4. Restricting temporary camping permits to a total length of
14 days during a 60-day period.
5. Increasing the number of portable toilets required for
temporary camping events from one portable toilet to every 100 campers to one
portable toilet to every 75 campers.
6. Requiring the Virginia department of Health (VDH)
Commissioner issue a decision on variance (waiver) requests within 90 days of
receiving a variance (waiver) application.
7. Changing the permit renewal schedule to an annual basis.
8. Eliminating a restriction on campgrounds being located
adjacent to swamps, marshes, landfills, or abandoned landfills or breeding
places for insects or rodents of public health importance.
9. Requiring campgrounds that use private wells to test for
coliform bacteria and nitrates annually.
10. Amending the water supply requirements by prohibiting
open-bin type ice machines and increasing the required distance between water
and sewer connections at most individual campsites from five to ten feet.
11. Eliminating the requirement for a dump station at
campgrounds where all campsites that allow self-contained camping units have
direct sewer connections.
12. Requiring campgrounds to supply soap and sanitary disposal
bins.
13. Requiring doors to the exterior from service buildings to
be self-closing.
14. Requiring emergency preparedness planning to include the
development of an emergency response plan, development of a written plan for
communicating emergency response information to campers, designation of an
emergency contact and the posting of contact numbers for police, fire response,
and emergency medical services.
Result of Analysis. Benefits likely outweigh costs for most
proposed changes. For at least one proposed change, there is insufficient
information to ascertain whether benefits will outweigh costs.
Estimated Economic Impact. Many of the changes that the Board
proposes for this regulation will not add any new requirements for any entity
but instead are intended to reorganize rules in a more orderly, logical fashion
and change regulatory language so it is more easily understood by interested
parties. For instance, current regulatory language authorizes the Health
Commissioner to "make such inspections as are necessary to determine
satisfactory compliance with" this regulation but is silent on how
frequently inspections will be done. Virginia Code § 35.1-22,2
however, requires that inspections occur at least annually. The Board now
proposes to add language to this regulation that specifies inspections will
occur at least annually for campgrounds that are annually permitted and will
occur at least once during any operational period for temporary campgrounds.
Changes such as these do not cause any change in practice, so no affected
entity is likely to incur any additional costs. To the extent that these
changes better detail what is required of regulated entities, interested
parties will benefit from the additional clarity they bring to the regulation.
Benefits outweigh costs for all such changes.
Current regulation does not have any statewide rules for cabins
and other lodging units that are part of permitted campgrounds. As a
consequence, different localities are regulating these facilities differently.
Some localities are requiring that cabins and other lodging units be permitted
as hotel rooms while other localities are just inspecting these units under
general rules that address issues of cleanliness and vermin and insect control.
To address this enforcement disparity, and to eliminate the need for cabins in
some localities to be permitted as hotel rooms, the Board now proposes to add
rules for cabins and other rental units to this regulation.
These proposed rules will require that fixtures, equipment and
furnishings in "all cabins, yurts and other camping units" offered
for rent be clean, in good repair, free of vermin, and maintained so as to
protect the health and safety of people who use such facilities. The Board does
not propose to require that cabins and other rental units provide dishes, pots
and pans, mattresses, bedding or other linens. If such amenities are provided,
however, they must be maintained in a clean, sanitary condition. If the
campgrounds do not provide cleaning services that wash dishes, glassware,
silverware and cooking implements between occupants, there must be a sign
posted that notifies campers that kitchen items are not washed under management
supervision.
The proposed rules for cabins and other rental units do not
impose any new requirements on campgrounds since such cabins would already be
required to be kept clean, in good repair and vermin free. Campgrounds that are
in localities that currently impose hotel room requirements on cabins and other
rental units, however, may see some fairly large cost savings from these
proposed regulations. They could choose, for instance, to not provide linens or
bedding in their cabins and rental units. This would save them both the costs
of those linens and bedding and the laundering and housekeeping costs
associated with keeping linens and bedding clean and in good repair.3
Current regulation has a definition for primitive camps
(primitive campsites)4 and exempts such camps (campsites) from
regulatory requirements for lavatories and showers. The Board now proposes to
add specific rules for primitive campgrounds that also exempt primitive
campsites from requirements that individual campsites be marked and that exempt
primitive campgrounds with 10 or fewer campsites from having to provide potable
water and from normal garbage and refuse disposal requirements (so long as
there is signage clearly posted that informs campers that there is no potable
water at the campgrounds and signage that informs campers that they are
expected to remove their own garbage from the campgrounds). These changes will
make rules for primitive campgrounds less strict. These proposed changes will
likely lower costs for some primitive campgrounds and may provide an aesthetic
benefit for campers who prefer to camp with fewer to no amenities.
Current regulation does not have specific provision for events
like music festivals, Civil War reenactments, scout jamborees and other short
duration programs that may want to allow camping during the event but would
have difficulty meeting campground regulation requirements that, for instance,
require permanent bathroom structures or a permanent water supply. Currently,
event organizers apply to the VDH Commissioner for a waiver (i.e., a variance
from current regulation). The Board now proposes to promulgate current waiver
standards for temporary camping into regulation and require the Commissioner to
issue a decision on waiver requests within 90 days of application receipt. The
Board proposes to restrict the duration of temporary camping permits to 14 days
within any 60 day period and proposes to change the number of required portable
toilets from one for every 100 campers (event attendants) to one for every 75
campers (event attendants). Most of these proposed changes do not represent a
change in practice but are only intended to reduce the number of waivers that
are processed and issued each year and provide greater clarity and certainty
for event organizers who currently must seek waivers. The Board's proposal to
decrease the number of campers per required portable toilet will likely
increase costs for larger events. The cost of renting additional portable
toilets will likely be between $75 and $100 per toilet. The benefits of these
proposed rules for temporary campgrounds likely outweigh the costs.
Currently, all Board issued campground permits expire on
December 31st of each year. This means that some permits issued during any
given year may be valid for a far shorter time period than a year. The Board
now proposes to have permits expire one year after they are issued. This change
will benefit campgrounds as it may allow them to avoid having to pay for two
annual permits in the same year. This change may also benefit Board staff by
allowing them to spread out the workload of approving permits over the year
rather than having to process them all at once.
Current regulation prohibits campgrounds from being located in,
or adjacent to, swamps, marshes, landfills or abandoned landfills, or breeding
places for insect or rodents of public health importance. The Board proposes to
change this prohibition to remove the "adjacent to" language. Bugs
and rodents of all sorts breed in the wild, including in woods and forests near
campgrounds. As a practical matter, it is impossible for campgrounds not to be
adjacent to breeding places for insects and rodents. Additionally, the Board
does not think it is necessary to restrict campgrounds from being adjacent to
swamps, marshes or landfills in order to protect public health and safety. This
change will benefit owners of campgrounds as it will allow them greater freedom
as to where they locate their facilities.
Current regulation only requires private wells to be tested for
coliform bacteria when the well is dug. The Board proposes to require
campgrounds that use private wells to test those wells annually for both
coliform bacteria and nitrates. Board staff reports that these tests will cost
between $15 and $60 per test, per well, per year. These costs would need to be
weighed against any benefit that might accrue to campers from not being exposed
to bacteria and nitrates in campground drinking water. There is insufficient information
to ascertain whether benefits will outweigh costs for this change.
The Board also proposes to change campground water requirements
to prohibit open-bin type ice machines and to require that water and sewer
connections at new campsites be located 10 feet apart rather than the currently
required five feet. Campsites that were permitted on or before the effective
date of this proposed regulation will be exempt from the changing footage
requirement between water and sewer connections unless they conduct
construction or renovation that would impact those connections. Board staff
reports that larger camps already have to meet the 10 feet requirement that is
also in regulations for the Office of Drinking Water (ODW).5 Board
staff reports that all other currently permitted campgrounds would be exempt
from this requirement unless they are doing renovations that include the water
and sewer connections. Board staff reports that campgrounds that are undergoing
such renovations would likely incur additional costs of several hundred to
$1,000 for moving either the water or the sewer connection so that water and
sewer connections are 10 feet apart. Some campgrounds might also incur costs
for replacing open-bin type ice machines or modifying them so that they can be
closed. These costs would need to be weighed against any benefit that might
accrue to campers from not being exposed to bacteria contaminated ice or
drinking water. There is insufficient information to ascertain whether benefits
will outweigh costs for this change.
Current regulation requires all campgrounds to have dump
stations.6 The Board proposes to exempt campgrounds whose campsites
all have direct sewer connections for self-contained camping units (RVs or
campers) from also having to have a dump station. This change will not
adversely impact any entities as direct sewer connections are at least as
protective of public health and safety as dump stations are. Owners of affected
campgrounds would likely save between $5,000 and $25,000 on account of not having
to install a dump station at qualifying campgrounds.
Current regulation does not require campgrounds to have
sanitary disposal bins in women's bathrooms or soap in any bathrooms. The Board
proposes to require both of these items. Board staff reports that the Board has
not specified the type of soap that campgrounds must provide so campgrounds
will have flexibility to use whatever type of soap they choose. Board staff
also reports that bar soap can cost between $0.40 to $0.50 per bar and that
wall mounted soap dispensers can cost between $9 and $30 (and $12 per gallon
for liquid soap to fill dispensers). Board staff did not have an estimate for
what sanitary disposal bins might cost but that cost is likely minimal. These
changes will provide the benefit of convenience for campers and may also impede
the spread of diseases that can be spread by fecal matter on unwashed hands.
The Board also proposes to newly require the exterior doors of
service buildings to be self-closing to prevent animals and insects from having
unimpeded access to such buildings. Board staff reports that the costs of
meeting this requirement could be as little as a few cents for a spring that
will swing a door shut after it is opened.
Current regulation does not require that campgrounds have
an emergency response plan for natural disasters or other emergencies. In
response to a tornado emergency that resulted in deaths at a campground, the
Board now proposes to require campgrounds to engage in emergency preparedness
planning to include the development of an emergency response plan, designation
of an emergency contact, development of a written plan for communicating
emergency response information to campers and the posting of contact numbers
for police, fire response, and emergency medical services. Owners of
campgrounds will incur time costs for developing required emergency plans as
well as printing costs for required written plans as well as for printing off
emergency numbers to post on account of this proposed change. Campers may greatly
benefit from this requirement as it may allow them to find out about impending
or ongoing emergencies in time to minimize the impact of those emergencies.
Businesses and Entities Affected. These proposed regulatory
changes will affect all permitted campgrounds located in the Commonwealth as
well as any time-limited festivals, events or jamborees that might seek permits
as temporary camping sites. Board staff reports there are 370 campgrounds
currently permitted in Virginia. Of these, 27 are located in state parks and 13
are owned by the KOA Corporation. The remainder (330) are owned and operated by
small businesses.
Localities Particularly Affected. No locality will be
particularly affected by these proposed regulatory changes.
Projected Impact on Employment. These proposed regulatory
changes are unlikely to significantly affect employment in the Commonwealth.
Effects on the Use and Value of Private Property. These
proposed regulatory changes are unlikely to affect the use or value of private
property in the Commonwealth.
Real Estate Development Costs. These proposed regulatory
changes are unlikely to affect real estate development costs in the
Commonwealth.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. Affected small businesses will likely
incur costs for well water testing, providing soap and sanitary disposal bins
and for time spent on formulating and writing emergency response plans.
Affected small businesses will also likely incur costs for replacing or
repairing open-bin type ice machines and for modifying exterior doors for
service buildings so that they are self-closing. Affected small businesses may
incur costs for moving sewer or water connections if they initiate renovations
that affect those connections at some point in the future.
Alternative Method that Minimizes Adverse Impact. There are
likely no alternative methods that would both meet the Board's aims and further
minimize costs.
Adverse Impacts:
Businesses. Affected businesses will likely incur costs for
well water testing, providing soap and sanitary disposal bins and for time
spent on formulating and writing emergency response plans. Affected businesses
will also likely incur costs for replacing or repairing open-bin type ice
machines and for modifying exterior doors for service buildings so that they
are self-closing. Affected businesses may incur costs for moving sewer or water
connections if they initiate renovations that affect those connections at some
point in the future.
Localities. No localities are likely to incur costs on account
of these proposed regulatory changes.
Other Entities. These proposed regulatory changes are unlikely
to adversely affect other entities in the Commonwealth.
_____________________________
1 http://townhall.virginia.gov/l/ViewPReview.cfm?PRid=1280
2 http://law.lis.virginia.gov/vacode/title35.1/chapter3/section35.1-22/
3 Board staff estimates that such costs may include
$12-$24 per sheet set, $3-$13 per pillow case, $100-$2,500 per mattress,
$50-$200 per box spring, $6 per towel, $300-$1,300 per washer and $350-$1,200
per dryer. Cost would also include the time spent by campground staff in
cleaning and maintenance activities. All of these costs are imposed by hotel
room requirements but may be avoided under new rules for cabins and other
rental units contained in this proposed regulation.
4 Campsites that generally do not have water-flushed
toilets, showers, sinks or electrical connections are primitive campsites.
5 ODW rules apply to any campground that "serves
piped water for human consumption to at least 15 service connections or 25 or
more individuals for at least 60 days out of the year".
6 Dump stations are a facility specifically designed to
receive sewage and grey water from portable toilets and holding tanks in RVs
and campers. Dump stations do not include lavatories or restrooms.
Agency's Response to Economic Impact Analysis: The
Virginia Department of Health (VDH) concurs, in part, with the findings of the
Department of Planning and Budget's (DPB) analysis of the Board of Health Rules
and Regulations Governing Campgrounds (12VAC5-450).
As part of the analysis, DPB raised concerns as to whether the
cost would outweigh the benefit of a few of VDH's proposed regulatory
revisions. Specifically, concerns regarding those revisions that would require
campground operators who utilize private wells to test those wells for nitrates
and coliform bacteria and the cost associated with replacing or modifying
open-bin type ice machines so as to prevent exposing campers to bacteria.
Per the proposed regulations, campground operators will be
required to comply with new provisions for private well water quality testing,
as well as the prohibition of open-bin type ice machines. These new provisions
are intended to decrease the risk of waterborne infections in campers who use
campground water supplies and to decrease the risk of nitrate toxicity
(methemoglobinemia) in infants.
Testing well water for nitrate content and total coliform would
incur additional costs ($15 to $60 per test, per well, per year) to campground
operators; however, there are two important points among many that substantiate
the new proposed requirement: (1) this practice is currently required as part
of the Food Regulations (12VAC5-421) to ensure the safety of consumers at food
establishments and is an established process to determine well water safety
when potentially the food establishment is the only source of water for the
consumer similar to that of a camper at a campground and (2) the testing of
well water to prevent nitrate toxicity in small children is strongly
recommended by the American Academy of Pediatrics.1 By including
this provision in the regulations, the board is following a common practice
"prevention" public health approach. In addition, methemoglobinemia
and waterborne infections (e.g., Norovirus, Cryptosporidium, and E. coli) can
be fatal. According to the Centers for Disease Control and Prevention,2
Norovirus and E. coli accounted for over 45% of the etiologic agents associated
with waterborne disease outbreaks from 2011-2012. In 2016,3 Virginia
confirmed 218 cases of Cryptosporidium and 124 cases of E. coli, of which two
individuals were hospitalized. The estimated costs associated with treating E.
coli alone in 2013 was approximately $271 million dollars nationwide, according
to the United States Department of Agriculture.4
Requiring campground water supplies to comply with the
requirements of the Office of Drinking Water and obtain a permit to operate a
waterworks is another viable alternative. However, said requirements are more
stringent, with an exponentially higher cost to the campground operator than
what is currently proposed.
The proposed language regarding the replacement or modification
of open-bin type ice machines is necessary to reduce the risk of waterborne
infections to those campers who utilize the campground's ice supply. Open-bin
type ice machines are susceptible to contamination from yeast, mold, biofilm,
bacteria, and other organic and biological pollution. Many of these agents are
not visible to the naked eye and could cause illness similar to those listed
above. The use of an automatically dispensing ice machine considerably
decreases the risk of contamination, as it reduces the exposure of the ice to
the outside environment and the hands and utensils of the campers using the
machine. Lastly, the analysis also outlined several areas where the proposed
regulations served as a cost savings to campgrounds. In some areas, cost
savings rose to several tens of thousands of dollars. VDH has, during this most
recent amendment to the regulations, attempted to remove potentially burdensome
regulatory requirements with little public health significance and focus on
addressing the public health impact of water and sewage at campgrounds.
Many of the day-to-day activities at campgrounds are small
gatherings while others host events where the number of campers exceeds 40,000
over a course of several days. Each individual is susceptible to illness if
exposed to contaminated water or ice. Such events could have a negative impact
on not only the campground and its operator, but on travel tourism in the
Commonwealth of Virginia. VDH believes that the benefits resulting from efforts
designed to reduce potential events related to contaminated water sources
outweigh the minimal costs associated with these efforts.
______________________________
1 Greer, Frank R., MD & Shannon, Michael, MD
(September 01, 2015) "Infant Methemoglobinemia: The Role of Dietary
Nitrate in Food and Water." Pediatrics, Vol 11 No. 3. Doi: 10.1542/peds.2005-1497
2 Centers for Disease Control and Prevention. (2011-2012)
2011-2012 "Drinking Water-associated Outbreak Surveillance Report:
Supplemental Tables." Retrieved from https://www.cdc.gov/healthywater/surveillance/drinking/2011-2012-tables.html
3 Centers for Disease Control and Prevention. (2016).
"Morbidity and Mortality Weekly Report" [Data set Week 52]. Retrieved
from: https://wonder.cdc.gov/mmwr/mmwrmorb.asp?mmwr_year=2016&mmwr_week=53
4 United States Department of Agriculture. 2013.
"Cost of Foodborne illness estimates for Escherichia coli" O157.[Data
file]. Retrieved from
https://www.ers.usda.gov/data-products/cost-estimates-of-foodborne-illnesses/
Summary:
The proposed amendments update the regulations to reflect
current public health and camping industry practices and terminology and remove
outdated requirements.
12VAC5-450-10. Definitions.
For the purpose of this chapter, the The
following words and terms when used in this chapter shall have
the following meanings respectively indicated unless another
meaning is clearly intended or required by the context. clearly
indicates otherwise:
"Approved" means a procedure of operation or
construction which is in accordance with the standards established by
the Virginia Department of Health, or which is acceptable to the Health
Commissioner based on his a determination as to the conformance
with appropriate standards and good public health practice.
"Campgrounds" means and includes, but is not
limited to tourist camps, travel trailer camps, recreation camps, family
campgrounds, camping resorts, camping communities, or any other area,
place, parcel or tract of land, by whatever name called, on which three or more
campsites are occupied or intended for occupancy, or facilities are established
or maintained, wholly or in part, for the accommodation of camping units for
periods of overnight or longer, whether the use of the campsites and/or or
facilities is granted gratuitously, by a rental fee, by lease, by conditional
sale or by covenants, restrictions and easements. This definition is not
intended to include summer camps, and migrant labor camps as defined in
§§ 35.1-16 32.1-203 and 32.1-203 35.1-16 of the
Code of Virginia, construction camps, permanent mobile manufactured
home parks, or storage areas for unoccupied camping units, or property
upon which the individual owner may choose to camp and not be prohibited or
encumbered by covenants, restrictions and conditions from providing his
sanitary facilities within his established property lines.
"Camping unit" means and includes tents,
tent trailers, travel trailers, camping trailers, pick-up campers, motor homes,
yurts, cabins, or any other device or vehicular-type structure as may be
developed marketed and used by the camping trade for use as temporary living
quarters or shelter during periods of recreation, vacation, leisure time, or
travel.
"Campsite" means and includes any plot of
ground within a campground used or intended for the exclusive occupation by a
camping unit or units under the control of a camper.
"Emergency" means a condition that in the
exercise of the sound discretion of the Health Commissioner is found
deleterious to the public health, safety, and welfare and requires
immediate action.
"Health Commissioner" means the chief executive
officer of the State Board of Health or his authorized agent.
"Independent camping unit" means a unit which
contains a water- flushed toilet, lavatory and shower as an integral part of
the structure, and which requires an on-site sewer connection due to the
absence of a waste holding tank on the unit.
"Non-self-contained camping unit" means a unit
which is dependent upon a service building for toilet and lavatory facilities.
"Outdoor bathing facilities" means lakes, ponds,
rivers, tidal waters, impoundments, beaches, streams or other places, whether
natural or man-made, in which an area is held out for swimming or bathing
purposes.
"Operator" means any person employed or
contracted by a campground owner who is responsible for the management and
general administrative operation of the campground.
"Overflow area" means a plot of ground in or
adjacent to the campground set apart for accommodating those campers for whom
no designated sites are available in the general geographical area, and which
is subject to certain restrictions as to size, length of stay, temporary
facilities, etc.
"Overnight" means the occupation of a camping unit
as a temporary habitation between the hours of 7 p.m. and 7 a.m., or major
portion thereof.
"Permit" means a written permit issued by the
Health Commissioner authorizing a designated person to operate a specific
camping place.
"Person" means and include any individual or
group of individuals, named party, partnership, firm, private or public
association or corporation, state, county, city, town, or anyone who by
covenant, restriction, or agreement has care, control, custody,
ownership, or management of property or parts thereof, or any combination
of the above or other legal entity.
"Primitive camps" campsites"
means camps which campsites that are characterized by the absence
of what is generally understood as modern conveniences such as water-flushed
flush toilets, showers, sinks, and electrical connections. A
campground shall be classified as a primitive camp when half or more of the
required number of toilet seats are nonflush type.
"Self-contained camping unit" means a unit which
contains a water-flushed flush toilet, lavatory, shower,
and kitchen sink, all of which are connected, as an integral part
of the structure, to water storage and sewage holding tanks located
within the unit.
"Service building" means a structure housing toilet
toilets, showers, or lavatories.
"Sewage" means the water-carried and
non-water-carried human excrement from service buildings, sanitary
stations, camping units or other places together with such, kitchen,
laundry or, shower, bath, or lavatory wastes separately
or together with such underground surface, storm, or other water and liquid
industrial waste as may be present from residences, buildings, vehicles,
industrial establishments, or other places. Other places include service
buildings, dump stations, campsites, and camping units.
"Swimming pool" means any swimming, wading,
or spray pool, including all appurtenant equipment, structures, and
facilities provided for the use of the campers.
12VAC5-450-15. Compliance with the Virginia Administrative
Process Act.
The provisions of the Virginia Administrative Process Act
(§ 2.2–4000 et seq. of the Code of Virginia) shall govern the promulgation
and administration of this chapter, including the procedures for rendering and
appealing any case decision based upon this chapter.
12VAC5-450-30. Approval of plans required.
A. In order to insure ensure the provision of
adequate, properly designed sanitation facilities at campgrounds, any person
planning construction, major alteration renovation, or extensive
addition to any campground shall, prior to the initiation of any such
construction, submit to the Health Commissioner, through the local
health department in the county locality in which the proposed
project is located, complete plans or statements which that show
the following, as applicable:
1. The proposed method and location of the sewage
disposal system.
2. The proposed sources and location of the water supply.
3. The number, location, and dimensions of all
campsites.
4. The number, description, and location of proposed
sanitary facilities such as toilets, privies, dump stations, sewer
lines, etc.
5. Name The name and address of applicant.
6. Location The location, boundaries, and
dimensions of the proposed project.
7. Such other pertinent information as the Health Commissioner
may deem necessary.
B. When, upon review of the plans, the Health Commissioner is
satisfied that the proposed plans, if executed, will meet the requirements of
this regulation chapter and other pertinent laws and regulations
designed to protect the public health, written approval shall be issued.
C. When upon review of the plans, the Health Commissioner
determines that the proposed plans preclude prevent a safe,
sanitary operation, the plans shall be disapproved and the applicant shall be
notified in writing of any deficiency in the plans that constitute the
basis for disapproval.
D. No person shall begin construction, major alteration
renovation, or addition to a campground until written approval has been
granted by the Health Commissioner.
E. If construction is not begun within one year from the date
of the approval of the plans, such approval shall be considered null and
void.
F. All construction, reconstruction renovation,
or alteration shall be done in accordance with and limited to work covered by
the plans and recorded changes which that have been approved by
the Health Commissioner.
G. Any person whose plans have been disapproved may request
and shall be granted a hearing on the matter under the procedure provided by
12VAC5-450-60 an appeal as described by the Administrative Process Act
(§ 2.2-4000 et seq. of the Code of Virginia).
H. Owners or operators of temporary campgrounds shall
submit complete plans as described in subsection A of this section as a part of
the permit application. No written approval of this material is required
separate from the campground permit.
12VAC5-450-40. Permits.
A. No person or persons, directly or indirectly,
shall conduct, control, manage, operate, or maintain a campground, or
offer campsites for occupancy within the Commonwealth, without first
making application for and receiving a valid permit from the Health
Commissioner for the operation of said camp the campground.
B. Any campground for which a permit was not issued during
the previous year An authorized representative of a campground shall
file an application for a permit with the local health department in writing
on a form and in a manner prescribed by the Health Commissioner at least 30
days before such camp is to be opened.
C. If, after receipt of an application to operate a
campground, the Health Commissioner finds that the campground is does
not in compliance comply with the provisions of this regulation
chapter, he the Health Commissioner shall notify the
applicant in writing (i) citing the noncomplying items that constitute his
reason the reasons for denying the a permit and
(ii) providing the applicant with the opportunity for administrative process as
provided by the Administrative Process Act (§ 2.2-4000 et seq. of the Code of
Virginia).
D. A permit may be revoked by the Health Commissioner, or
his authorized agent, if he finds that the camp for which the permit was issued
is operated, maintained, or occupied in violation of this chapter, or any law,
ordinance or regulation applicable to such establishments, or in violation of
the conditions stated in the permit. If the Health Commissioner finds
that the campground complies with this chapter, a permit shall be issued.
Permits may be issued to the campground's owner or operator.
E. The permit shall be conspicuously posted in the office of
the camp campground or on the premises if no office is available.
F. The permit shall not be transferable Permits
shall either be (i) annual and shall expire on December 31 of each year,
unless stated otherwise in special permits such as temporary permits
that may be granted by the Health Commissioner to allow a reasonable time to
conform to the requirements of this chapter, or to correct existing
violations 12 months from the date of issuance or (ii) temporary and
granted for a specific period of time to allow temporary camping of 14 days
duration or less. Temporary permits may be valid for periods of 60 days or
less, but the total days of operation may not exceed 14 days during a 60-day
period. Permits shall not be transferable.
12VAC5-450-50. Inspection of camping places.
A. The Health Commissioner is hereby authorized and
directed to make shall conduct such inspections as are
necessary to determine satisfactory compliance with this chapter, including
the following:
1. Before permit issuance, the Health Commissioner shall
conduct one or more preoperational inspections of annually permitted
campgrounds that (i) have not been permitted in the previous year; (ii) have
undergone modifications in their water delivery, sewage conveyance, or sewage
disposal systems; (iii) have modified their sanitary facilities; or (iv) have
changed the number of offered campsites since the issuance of their last annual
permit.
2. Annually permitted campgrounds shall be inspected at
least once per permit period.
3. Temporary campgrounds shall be inspected at least once
during each operational period.
4. Campground inspection schedules may be adjusted if the
Virginia Department of Health develops a written risk-based plan for adjusting
the frequency of inspections, and this plan is uniformly applied throughout the
Commonwealth.
B. It Upon presentation of appropriate credentials
and consent of the owner, permit holder, or authorized agent of the owner or
permit holder, the Health Commissioner shall be the duty of the operator
or occupant(s) of a campground to give the Health Commissioner given
free access to such premises at reasonable times for the purpose of inspection,
in accordance with § 35.1-5 of the Code of Virginia.
C. A register shall be kept indicating name and address of
the camper, the date of the campsite occupancy, and the number of the campsite
occupied. Such register shall be made available to the Health Commissioner,
upon request, during his inspection of the campground.
C. Whenever an inspection is conducted, a completed
inspection report shall be provided to the permit holder of the campground. The
inspection report shall contain descriptions of observed alleged violations and
citations to the alleged regulatory violations. The report shall establish
reasonable timelines for compliance with this chapter and provide an
opportunity for due process in accordance with the Administrative Process Act
(§ 2.2-4000 et seq. of the Code of Virginia).
12VAC5-450-60. Enforcement, notices, hearings informal
conferences.
A. Whenever the Health Commissioner finds violations of
this chapter, an inspection report shall be filled out and left with the person
in charge of the campground. Such inspection report shall be legible, contain
written notation of the violation and remedial action to be taken to effect
compliance with this chapter.
B. If, after a reasonable time has elapsed for the
correction of noted items, the violation is found to continue to exist, a
formal notice shall be issued which; (i) includes a written statement of the
reasons for its issuance; (ii) sets forth a time for the performance of the
corrections; (iii) is served upon the operator or his agent; Provided: that
such notice shall be deemed to have been properly served upon such operator or
agent when a copy has been sent by certified mail to his last known address; or
when he has been served with such notice by any other method authorized or
required by the laws of this Commonwealth; (iv) contains an outline of remedial
action which, if taken will effect compliance with the provisions of this
chapter; (v) informs the person to whom the notice is directed of his right to
a hearing and of his responsibility to request the hearing and to whom the
request should be made.
C. Periods of time allowed to elapse between notation of
the violation on the inspection report and issuance of a formal notice, and
time allowed in formal notice for performance of correction shall depend upon
the nature and seriousness of the violation, but shall generally not exceed 30
days.
D. Whenever the Health Commissioner finds that an
emergency exists which requires immediate action to protect the public health,
he may, without notice or hearing, issue an order reciting the existence of
such an emergency and requiring that such action be taken as he may deem
necessary to meet the emergency including the suspension of the permit. Notwithstanding
any other provisions of this chapter, such order shall be effective
immediately. Any person to whom such an order is directed shall comply
therewith immediately, by upon petition to the Health Commissioner, shall be
afforded a hearing as soon as possible.
A. The Health Commissioner may, after providing a notice
of intent to revoke the permit, and after providing an opportunity for an
informal conference in accordance with § 2.2-4019 of the Code of Virginia,
revoke a permit for flagrant or continuing violation of this chapter. Any
person to whom a notice of revocation is directed shall immediately comply with
the notice. Upon revocation, the former permit holder shall be given an
opportunity for appeal of the revocation in accordance with the Administrative
Process Act (§ 2.2-4000 et seq. of the Code of Virginia).
B. The Health Commissioner may summarily suspend a permit
to operate a campground if continued operation constitutes a substantial and
imminent threat to public health. Upon receipt of such notice that a permit is
suspended, the permit holder shall cease campground operations immediately and
begin corrective action. Whenever a permit is suspended, the holder of the
permit shall be notified in writing by certified mail or by hand delivery. Upon
service of notice that the permit is immediately suspended, the former permit
holder shall be given an opportunity for an informal conference in accordance
with § 2.2-4019 of the Code of Virginia. The request for an informal conference
shall be in writing and shall be filed with the local health department by the
former holder of the permit. If written request for an informal conference is
not filed within 10 working days after the service of notice, the suspension is
sustained. Each holder of a suspended permit shall be afforded an opportunity
for an informal conference within three working days of receipt of a request
for the informal conference. The Health Commissioner may end the suspension at
any time if the reasons for the suspension no longer exist.
E. C. Any person affected by any notice
which has been a determination issued in connection with the
enforcement of any provision of this chapter may request and shall be
granted a hearing challenge such determination in accordance with
the provisions of Title 9, Chapter 1.1:1 of the Administrative Process
Act (§ 2.2-4000 et seq. of the Code of Virginia).
F. If a request for a hearing is not made within 10 days
after the receipt of a formal notice of violation of this chapter, or
correction of the violation has not taken place within the prescribed time, the
permit may be revoked and the continued operation of the campground shall be
considered unlawful.
G. Nothing D. All campgrounds shall be constructed,
operated, and maintained in compliance with the requirements as set forth in
this chapter. The Health Commissioner may enforce this chapter through any
means lawfully available pursuant to § 35.1-7 of the Code of Virginia, and
nothing in this chapter shall be construed as preventing the Health
Commissioner from making efforts to obtain voluntary compliance through
warning, conference, or any other appropriate enforcement means.
12VAC5-450-70. Location.
A. Each campground shall be located on ground which has
have good surface drainage and which is be free of natural
and man-made hazards such as mine pits, shafts, and quarries. Camps
Campgrounds shall not be located on ground which that is
in or adjacent to swamps, marshes, landfills or abandoned landfills, or
breeding places for insects or rodents of public health importance,
unless adequate, approved safeguards or preventive measures are taken.
B. The density of campsites in a campground shall not exceed
an average of 20 campsites per acre inclusive of service roads, toilet
buildings, recreational areas, etc.
C. Each campsite (including parking space) shall provide a
minimum of 1600 square feet of space and shall not be less than 25 feet at its
narrowest point.
D. Each campsite shall be identified by number and section.
Camping units within a campground shall be required to locate within the
designated campsites.
12VAC5-450-80. Water supplies.
A. The water supply, storage reservoirs and distribution
system shall be approved by the Health Commissioner. An adequate supply
of safe, sanitary, potable water shall be provided. The water supply shall
either be an approved private well or a permitted waterworks. Waterworks must
be maintained and operated in compliance with 12VAC5-590. Private wells shall
be constructed, maintained, and operated in compliance with 12VAC5-630.
Additionally, campgrounds utilizing private wells for potable water shall
sample and test for total coliform and nitrate annually and prior to permit
application; water shall be satisfactory for the total coliform standards
identified in 12VAC5-630-370 and shall not have more than 10 mg/L nitrate.
Samples shall be analyzed by a laboratory certified by the Department of
General Services, Division of Consolidated Laboratory Services.
B. An adequate supply of safe, sanitary, potable water
capable of supplying a total capacity of at least 50 gallons per campsite per
day if privies are used, and at least 100 gallons per campsite per day if
water-flushed toilets are used, Water shall be provided at one or
more easily accessible locations within the camping area campground.
Adequate water storage facilities shall be provided to meet the demands for
The water system shall be capable of meeting the demand for water during
periods of peak use by the campers campground.
C. Water delivery systems utilizing private wells as a
water source must meet the following construction and operational standards:
1. All water storage reservoirs shall be covered,
watertight, and constructed of impervious material.
2. Overflows and vents of such reservoirs shall be
effectively screened.
3. Manholes shall be constructed with over-lapping
overlapping covers so as to prevent the entrance of contaminating
material.
4. Reservoir overflow pipes shall discharge through an
acceptable air gap.
5. All cross connections between approved and unapproved
water supply systems are prohibited.
6. All water supplies shall be protected against the
hazards of backflow or back siphonage.
D. All cross connections, between approved and nonapproved
water supply systems are prohibited, and the supply shall be protected against
the hazards of backflow or back siphonage.
E. Drinking fountains and water coolers, if provided,
shall be of an approved type. D. Common water coolers,
drinking cups, glasses, or vessels are prohibited.
F. Unsafe E. Unapproved wells or springs in the
camp area campground shall be eliminated or made inaccessible for
human consumption.
G. F. All ice provided shall be from an
approved source. All ice and shall be handled and stored in such
a manner as to prevent contamination. Ice-making machines shall be of
approved construction automatic dispensing, and water shall be from a
source approved under subsection A of this section. Open-bin type ice machines
are prohibited.
H. G. Portable water tanks or watering stations
shall not be approved, except in emergencies, and then unless
such tanks, stations, and dispensing shall be are reviewed and
approved by the Health Commissioner.
I. H. The area surrounding a pump or hydrant
used for a water supply shall be maintained in a properly drained and sanitary
condition, to prevent the accumulation of standing water or the creation
of muddy conditions.
J. I. The connection for potable water piped to
individual campsites shall be so installed so that it will not be
damaged by the parking of camping vehicles.
K. J. If installed above the ground, the riser
shall terminate at least four inches above the ground surface. If installed in
a pit, the riser shall terminate at least 12 inches above the floor of the pit,
and the pit shall be drained to prevent it from containing standing water. The
drain for the pit shall not be connected to a sanitary sewerage system.
L. K. If a water connection and a sewer
connection are provided at individual campsites a campsite, the
two connections shall be separated by a minimum horizontal distance of five
10 feet. Campgrounds that have been issued a permit before (insert
the effective date of this regulation) shall be exempt and required to maintain
a minimum horizontal distance of five feet between water and sewer connections.
If an exempt campground conducts construction or renovation activity impacting
water and sewer connections, current regulations shall apply to all campsites
where work is conducted. Normal maintenance work will not constitute
construction or renovation.
M. L. Adequate provisions shall be made to
prevent the freezing of service lines, valves, and riser pipes.
12VAC5-450-90. Sewage disposal.
A. Every campground shall be provided with an approved method
of collection, conveying, and disposing of all sewage and liquid wastes.
B. Privies shall be an acceptable method of sewage
disposal when the location, design, construction, and quantity have been
approved by the Health Commissioner provided their use is not prohibited or
restricted by local requirements.
C. B. All methods or systems of collecting and
disposing of sewage and liquid wastes, whether temporary or permanent,
shall be subject to the approval of the Health Commissioner.
D. C. It shall be unlawful to discharge sewage,
sink waste water, shower waste water, or other putrescible wastes in such a
manner as to enter the ground surface or, subsurface, or a body
of water, except following a treatment device or process approved prior
to construction by the Health Commissioner.
E. A sanitary or D. Campgrounds shall provide a
dump station for the disposal of sewage and other liquid wastes from
self-contained camping units shall be provided which that
complies with the following requirements:
1. Campgrounds having less fewer than 200
campsites shall provide a minimum of one sanitary dump station,
unless all campsites that allow self-contained camping units provide direct
sewer connections.
2. Campgrounds having more than 200 campsites shall provide an
additional sanitary dump station for each additional 200
campsites or major fraction thereof, provided that campsites equipped with
sewer connections shall not be included in the total.
3. Where two or more sanitary dump stations are
required, they shall be so located as to facilitate the
simultaneous discharge of sewage wastes from different units.
4. Each sanitary station shall be so located and
designed as to be easily accessible and facilitate ingress and egress
for camping vehicles.
F. E. The sanitary dump station
shall consist of the following:
1. A four-inch sewer pipe trapped below the frost line
connected to an approved sewage disposal system or suitable holding tank.
2. The sewer pipe, at the inlet, shall be surrounded by a
reinforced, concrete apron sloped to drain to the sewer pipe.
3. The minimum dimensions of the concrete apron shall be 36
inches wide, 60 inches long, and four inches thick. The sewer pipe shall
be located such that the major portion of the apron will project under the
camping unit when it is discharging.
4. The inlet of the sewer pipe shall be provided with a
suitable fly-tight cover.
5. The sanitary station shall be provided with a water
outlet to permit wash down of the immediate area after each use and so arranged
as to prevent a cross-connection or back siphonage.
6. Each water outlet used for such purposes shall display a
sign stating, in effect, "Notice: Unsafe Water Outlet-This water is
for wash-down purposes only."
F. A slop sink or suitable drain shall be provided within
500 feet of all campsites for the disposal of liquid cooking and wash water
wastes, unless a dump station is accessible for this purpose. Adequate
provision shall be made by the permit holder of a campground to assure that the
slop sink or other suitable drain is kept in a sanitary condition and is used
for the purpose for which it was intended.
G. Individual sewer connections for camping vehicles, if
provided, shall be installed in accordance with the following provisions:
1. The individual sewer (equivalent to the building sewer for
a permanent building), shall be at least four inches in diameter, shall
be trapped below the frost line, and shall be laid at depths sufficient to
provide adequate protection against physical injury.
2. The sewer inlet shall (i) consist of a
four-inch riser extending, at a minimum, four inches above the surface
of the surrounding ground to accommodate a hose connection from the camping
vehicle, or so (ii) be designed as to divert
surface drainage away from the riser. The riser shall be imbedded firmly in the
ground and be protected against heaving and shifting.
3. The sewer riser shall be equipped with a standard ferrule
and close nipple provided with a tight cap or expanding sewer plug. The screw
cap or sewer plug shall be fastened by a durable chain to prevent removal while
the sewer riser is in use. When the sewer riser is not in use, it shall be
capped or plugged.
4. The sewer hose between the camping vehicle drain and the
sewer riser shall be watertight, and shall be of flexible,
noncollapsible, corrosion and weather-resistant material of suitable diameter
to fit the camping vehicle drain. Its lower end shall be secured into the open
sewer riser with a gasket of rubber or other suitable material. All joints
shall be effected so as to prevent the leakage of sewage, or
odor or prevent the entrance of rodents.
12VAC5-450-100. Service buildings Sanitary facilities.
A. Each campground shall be provided with one or
more service buildings which contain provide an adequate number of toilet
and sanitary facilities. The minimum ratio of sanitary facilities to the
number of campsites shall be provided according to is established in
the following schedule. Facilities shall either be gender-balanced in number
or single-occupant access with no gender designation.
VA.R. Doc. No. R16-4752; Filed May 10, 2017, 11:24 a.m.
TITLE 12. HEALTH
STATE BOARD OF HEALTH
Fast-Track Regulation
Title of Regulation: 12VAC5-613. Regulations for
Alternative Onsite Sewage Systems (amending 12VAC5-613-10, 12VAC5-613-90).
Statutory Authority: §§ 32.1-12 and 32.1-164 of the Code
of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: June 28, 2017.
Effective Date: July 17, 2017.
Agency Contact: Allen Knapp, Director, Office of
Environmental Health Services, Department of Health, 109 Governor Street,
Richmond, VA 23219, telephone (804) 864-7458, FAX (804) 864-7476, or email
allen.knapp@vdh.virginia.gov.
Basis: Section 32.1-12 of the Code of Virginia
authorizes the board to make, adopt, promulgate, and enforce regulations that
protect, improve, and preserve public health and the environment for the
general welfare of the citizens of the Commonwealth. Subsections A and B of §
32.1-164 of the Code of Virginia authorize the board to adopt regulations
governing the collection, conveyance, transportation, treatment, and disposal
of sewage, including sewerage systems and treatment works as they affect public
health and welfare.
Purpose: Currently, there is no single technology that
can comply with all of the performance requirements for direct dispersal. Different
technologies must be combined. However, the amendments would allow the
possibility of using a single treatment technology to meet the performance
requirements, thereby reducing costs while still being protective of public
health. When the regulations were first adopted in 2011, the general sentiment
at that time was to require best available technology, and costs would reduce
over time. However, costs have not substantially decreased, and to date, no
property owner has submitted an application to comply with the requirements for
direct dispersal. Private industry is trying to meet the current standard;
however, there is a need to allow for upgrades and repairs in the interim. The
change in performance standards improves public health protection and reverts
to the regulatory requirements that were in effect under the emergency
alternative onsite sewer system (AOSS) regulations from 2009 until December 7,
2011, with the addition of total nitrogen (TN) reduction.
In regulating direct dispersal of treated effluent to ground
water, 12VAC5-613-90 D 4 establishes a discharge limit of 3 mg/l TN and 0.3
mg/l TP in the Chesapeake Bay Watershed, which is the limit of technologies
available in the marketplace. These requirements took effect on December 7,
2013. The limit of technology is not economically possible for many homeowners
with older septic systems that already disperse septic tank effluent directly
into ground water. By some estimates, compliance with current requirements can
cost nearly $40,000 for many owners with previously developed properties.
Operation and maintenance costs can exceed $2,000 per year. In contrast, the
cost to comply with the amendments is estimated to be at least 50% less. Any
system that fully complies with the more stringent requirements of the
regulations (on or after December 7, 2013) would be required to continue
adhering to those requirements if repaired or upgraded, unless another solution
that fully complied became available.
Many existing systems do not meet site and soil criteria
established under current regulations. When the existing system fails, the
owner is faced with the cost of installing additional treatment or pressure
dosing to repair the system. In some cases, the cost of the new treatment or
pressure dosing is a barrier to repairing a failing onsite sewage system. In
2004, the General Assembly approved legislation to address this issue by
amending § 32.1-164.1:1 of the Code of Virginia to allow property owners to
request a waiver from additional treatment or pressure dosing requirements
beyond the level provided by the existing system when repairing a failing
onsite sewage system. A waiver granted under § 32.1-164.1:1 to repair a
failing system is not transferable (unless specifically exempt) and expires
upon property transfer.
In 2011, the General Assembly of Virginia approved legislation,
which again amended § 32.1-164.1:1 and added § 32.1-164.1:3 of the
Code of Virginia, to allow for the voluntary upgrade of onsite sewage systems
and alternative discharging sewage systems. As amended, a property owner who
voluntarily upgrades his onsite sewage system can request a waiver from
additional treatment or pressure dosing requirements, similar to a waiver
granted to repair failing onsite sewage systems. However, unlike waivers
granted to repair failing systems, waivers granted for voluntary upgrades do
not become null and void upon sale of the property.
Waivers pursuant to § 32.1-164.1:1 of the Code of Virginia
allow homeowners located anywhere within the Commonwealth, including within the
Chesapeake Bay Watershed, to waive additional treatment and continue to
discharge untreated septic effluent into ground water. Waivers do not apply to
operation and maintenance (O&M) requirements. The amendments change the
performance requirements and O&M schedule for direct dispersal of a
voluntary upgrade or repair; it does not change the statute, and the law allows
the property owner to receive a waiver.
12VAC5-613-90 C sets stringent performance and operational
requirements for all sewage systems that result in direct dispersal. These
stringent requirements include: (i) quarterly sampling and remote monitoring;
(ii) BOD5 and TSS equal to or less than 5 mg/l; (iii) fecal coliform
concentration less than or equal to 2.2 col/100 ml with no sample exceeding 14
col/100 ml; (iv) Total Nitrogen less than 5 mg/l; high level disinfection;
average turbidity of less than or equal to 2 Nephelometric turbidity units
prior to disinfection; (v) a renewable operating permit; and (vi) a
hydrogeologic analysis of the receiving ground water. These requirements, while
appropriate for new construction and undeveloped properties, present a
significant financial barrier for a homeowner wanting to repair or upgrade an
older septic system that already disperses effluent to ground water. In many
cases, the owner cannot avoid having a repair or upgrade that does not directly
disperse effluent to ground water.
Since promulgation of the AOSS regulations on December 7, 2011,
and the effective date of December 7, 2013, for 12VAC5-613-90, the Commissioner
of Health has granted more than 30 variances to owners claiming financial
hardship for repairs and voluntary upgrades, and over 750 owners have waived
additional requirements pursuant to § 32.1-164.1:1 of the Code of Virginia. The
amendments are essential to protect the health, safety, and welfare of citizens
in that they will provide a more financially attainable level of treatment for
previously developed properties, still provide a high level of public health
protection, and encourage owners to not waive regulatory requirements. The
amendments will also eliminate the need for an individualized variance for most
situations.
Rationale for Using Fast-Track Rulemaking Process: The
amendments will allow more owners to affordably repair or upgrade old sewage
systems that already disperse effluent to ground water while upholding strict
requirements for new systems seeking to disperse effluent to ground water. This
action is not considered to be controversial as it reduces a financial burden
to homeowners and small business owners while improving public health and the
environment.
For the fast-track rulemaking process, Virginia Department of
Health staff consulted with the Sewage Handling and Disposal Advisory Committee
(advisory committee), which comprises over 15 stakeholder groups, including
homebuilders, realtors, well drillers, septic contractors, professional
engineers, operators, onsite soil evaluators, environmental groups, and
regulatory interests. On June 3, 2015, and September 16, 2016, the advisory
committee discussed the amendments to the AOSS Regulations to address voluntary
upgrades and repairs that disperse effluent directly to ground water. At the
September 16, 2016, meeting, the advisory committee recommended the amendments
be approved for the Board of Health's consideration. Only one stakeholder, Mr.
Joel Pinnix, representing the American Council of Engineering Companies of
Virginia, opposed the amendment because it did not include undeveloped property
or new construction activities, only repairs and upgrades. The amendments do
not include new construction activities because that idea is considered
controversial, which requires vetting through the routine and normal regulatory
adoption process. During executive branch review of the amendments in 2017,
staff added 12VAC5-613-90 F to ensure that alternative onsite sewage systems
that already comply with direct dispersal requirements will continue to do so
when repaired or voluntarily upgraded.
Substance: The amendment to the definition of direct
dispersal of effluent to ground water at 12VAC5-613-10 clarifies that
excavation excludes a preexisting soil disturbance not designed to create a
direct conduit or preferential path to ground water. The amendment to 12VAC5-613-90
adds subsection E to require a repaired or voluntarily upgraded direct
dispersal system to meet 50% reduction of total nitrogen as compared to a
conventional gravity drainfield system, TL-3 treatment, and standard
disinfection in accordance with Table 2 of subdivision 13 of 12VAC5-613-80 for
systems with less than 12 inches of vertical separation to ground water.
Subsection F clarifies that any system designed to meet the performance
requirements of 12VAC5-613-90 D and installed on or after December 7, 2013
(which is the date on which more stringent nitrogen reduction requirements took
effect), will have to continue to meet the stringent performance requirements
of 12VAC5-613-90 D and will be ineligible for the reduced requirements of
12VAC5-613-90 E unless another design would otherwise fully comply.
Issues: The primary advantages to the public are
increased public health protection and a reduced financial burden to repair or
upgrade sewage systems when requirements for direct dispersal apply. The public
will also receive faster permitting because a variance or waiver to the
regulation would no longer be necessary in most cases. The advantage to the
agency is it will reduce staff time processing waivers and individual variances
to the regulations, and, in most cases, the regulatory amendments will lead to
better defined expectations for repairing and upgrading sewage systems.
Currently, the commissioner has granted over 30 variances to allow for the
repair or voluntary upgrade of existing direct dispersal systems. The
amendments, while having less stringent requirements for treatment and
monitoring of older systems seeking repair or upgrade, are still protective of
public health and are within the requirements of the EPA's model program for
the total maximum daily load. The amendments ease the financial burden on the
homeowner or small business owner while streamlining the agency's processing of
applications. There are no disadvantages to the public or the Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Health (Board) proposes amendments to reduce the burden for property owners
when the owner has an installed sewage system that disperses effluent into
groundwater with an average daily sewage flow of less than 1,000 gallons per
day, and the owner wants to repair or upgrade the installed sewage system.
Additionally, the Board proposes clarifying amendments.
Result of Analysis. The benefits likely exceed the costs.
Estimated Economic Impact. The Regulations for Alternative
Onsite Sewage Systems (Regulations) establish performance and operation and
maintenance requirements for alternative onsite sewage systems. In the
Regulations, alternative onsite sewage system (AOSS) is defined as "a
treatment works that is not a conventional onsite sewage system and does not
result in a point source discharge."
Conventional onsite sewage systems use a septic tank and rely
on unsaturated soil below the drainfield to treat septic tank effluent. Septic
tank effluent has many of the same characteristics as raw sewage and typically
contains viruses and bacteria that number in the millions per 100 ml. Typical
soil treatment processes include biological breakdown of organic material,
physical filtering, predation and die-off between pathogens and naturally
occurring microorganisms, and chemical reactions. A septic tank and drainfield
combination is the oldest and most common type of conventional onsite sewage
system.
AOSSs typically utilize a treatment device that resembles a
scaled-down municipal treatment plant to produce an effluent that is
"cleaner" than septic tank effluent with respect to the amount of
organic material, the total nitrogen load, and the number of microorganisms present
in the effluent. Typically, AOSSs remove 90 to 95% of contaminants before the
effluent is released into the soil. Using technology to treat wastewater before
it is released into the soil allows AOSSs to achieve high performance levels on
sites where limited drainfield area, soil permeability, soil saturation,
groundwater, or landscape position preclude the use of conventional systems.
Under the current regulation, property owners who have an
installed sewage system that disperses effluent into groundwater with an
average daily sewage flow of less than 1,000 gallons per day, and wish to
repair or upgrade their system, must meet the same requirements that exist for
new systems. According to the Department of Health, compliance with current
requirements can cost in excess of $40,000 for many owners with previously
developed properties, and operation and maintenance costs can exceed $2,000 per
year. In order to improve affordability and compliance, the Board proposes less
stringent requirements for existing property owners to repair or upgrade
systems that would cost less than fifty percent of the compliance cost in the
current regulation (see Appendix for detail).
Many existing systems do not meet site and soil criteria
established under the current regulations. When the existing system fails the
owner is faced with the cost of installing additional treatment or pressure
dosing to repair the system. In some cases, the cost of the new treatment or
pressure dosing requirements is a barrier for property owners seeking to repair
a failing onsite sewage system. In 2004, the General Assembly of Virginia
approved legislation to address this issue by amending § 32.1-164.1:1 of the
Code of Virginia to allow property owners to request a waiver from additional
treatment or pressure dosing requirements beyond the level provided by the
existing system when repairing a failing onsite sewage system.
A waiver granted under § 32.1-164.1:1 of the Code of
Virginia to repair a failing system is not transferable (unless specifically
exempt) and expires upon property transfer. In 2011, the General Assembly of
Virginia approved legislation which again amended § 32.1-164.1:1 of the Code of
Virginia and added § 32.1-164.1:3 of the Code of Virginia to allow for the
voluntary upgrade of onsite sewage systems and alternative discharging sewage
systems. As amended, property owners who voluntarily upgrade their onsite
sewage system can also request a waiver from additional treatment or pressure
dosing requirements, similar to waivers granted to repair failing onsite sewage
systems. However, unlike waivers granted to repair failing systems, waivers
granted for voluntary upgrades do not become null and void upon sale of the
property.
Waivers pursuant to § 32.1-164.1:1 of the Code of Virginia
allow homeowners located anywhere within the Commonwealth, including within the
Chesapeake Bay Watershed, to simply waive additional treatment and continue to
discharge untreated septic effluent into groundwater. Waivers do not apply to
operation and maintenance (O&M) requirements. The Board's proposed
amendments change the performance requirements and O&M schedule for direct
dispersal of a voluntary upgrade or repair; it does not change the statute, and
the law allows the property owner to receive a waiver.
Since promulgation of the AOSS Regulations on December 7, 2011,
the Commissioner of Health has granted more than 30 variances to owners
claiming financial hardship for repairs and voluntary upgrades, and about 750
owners have waived requirements pursuant to § 32.1-164.1:1 of the Code of
Virginia. The proposed amendments will provide a more financially attainable
level of treatment for previously developed properties, while still providing a
high level of public health protection and encouraging owners to not waive regulatory
requirements. The proposed amendments will also eliminate the need for an
individualized variance for most situations. To the extent that the proposed
less costly requirements do result in more affected property owners complying
with the requirements, there will likely be reductions in contaminants released
into groundwater and potential improvements in public health. Additional
compliance would also produce additional business for septic contractors that
repair or upgrade AOSSs, as well as engineering firms and authorized onsite
soil evaluators that design AOSSs.
Businesses and Entities Affected. The proposed amendments
potentially affect property owners with an installed sewage system that
disperses effluent into groundwater with an average daily sewage flow of less
than 1,000 gallons per day, septic contractors, authorized onsite soil
evaluators, and engineering firms that design alternative onsite sewage
systems.
Localities Particularly Affected. The Board proposes amendments
that particularly affect localities near the Chesapeake Bay and within the
coastal plain physiographic province of the Commonwealth since these regions
are more likely to have shallow groundwater and sewage systems dispersing
effluent close to, or into, the shallow groundwater.
Projected Impact on Employment. To the extent that the proposed
less costly requirements do result in more affected property owners complying
with the requirements, septic contractors that repair or upgrade AOSSs, as well
as engineering firms and authorized onsite soil evaluators that design AOSSs
may have more business, which may moderately increase employment.
Effects on the Use and Value of Private Property. The proposed
amendments potentially increase the likelihood that owners of property with an
installed sewage system that disperses effluent into groundwater with an
average daily sewage flow of less than 1,000 gallons per day have their system
repaired or upgraded.
Real Estate Development Costs. The proposed amendments do not
affect costs of new real estate development, but do lower costs for repairing
or upgrading some sewage systems on existing developed real estate.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendments reduce the
costs of repairing or upgrading sewage systems that disperse effluent to
groundwater for small businesses that own property with such systems.
Alternative Method that Minimizes Adverse Impact. The proposed
amendments do not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendments do not adversely affect
businesses.
Localities. The proposed amendments do not adversely affect
localities.
Other Entities. The proposed amendments do not adversely affect
other entities.
VA.R. Doc. No. R17-4214; Filed May 9, 2017, 7:17 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Proposed Regulation
Title of Regulation: 12VAC30-141. Family Access to
Medical Insurance Security Plan (amending 12VAC30-141-740, 12VAC30-141-760).
Statutory Authority: §§ 32.1-325 and 32.1-351 of the
Code of Virginia; 42 USC § 1397aa et seq.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: July 28, 2017.
Agency Contact: Emily McClellan, Regulatory Supervisor,
Policy Division, Department of Medical Assistance Services, 600 East Broad
Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX (804)
786-1680, or email emily.mcclellan@dmas.virginia.gov.
Basis: Section 32.1-325 of the Code of Virginia grants
to the Board of Medical Assistance Services the authority to administer and
amend the Plan for Medical Assistance and directs that such Plan include a
provision for the Family Access to Medical Insurance Security (FAMIS) program,
and § 32.1-324 of the Code of Virginia authorizes the Director of the
Department of Medical Assistance Services (DMAS) to administer and amend the
Plan for Medical Assistance when the board is not in session, subject to such
rules and regulations as may be prescribed by the board. Section 32.1-351 of
the Code of Virginia authorizes DMAS, or the director, as the case may be, to
develop and submit to the federal Secretary of Health and Human Services an
amended Title XXI plan for the FAMIS Plan and revise such plan and promulgate
regulations as may be necessary. Section 2105 of Title XXI of the Social
Security Act (42 USC § 1397ee) provides governing authority for payments
for services.
Section 1115 of the Social Security Act (42 USC § 1315)
provides states with the opportunity to implement demonstration projects that
extend benefits to additional population groups with the intent of promoting
program objectives, including those of Title XXI. Virginia implements the FAMIS
MOMS program through a § 1115 Health Insurance Flexibility and
Accountability (HIFA) Demonstration called "FAMIS MOMS and FAMIS
Select." The Centers for Medicare and Medicaid Services (CMS) has approved
the HIFA waiver amendment to allow state employees and their dependents, who
otherwise qualify, to enroll in FAMIS MOMS.
Purpose: Lower-income families face a barrier when
accessing health care services. The barrier is high out-of-pocket costs, which
for low-income pregnant women can add up to a substantial part of their income.
The proposed amendments permit pregnant women in families who have access to
state employee benefits, and who have incomes greater than 143% and less than
or equal to 200% of the federal poverty level (FPL), to enroll in FAMIS MOMS.
Pregnant women in working families who cannot afford insurance
due to high out-of-pocket costs suffer from lack of access to health care.
While state employees may be covered through their subsidized employee health
insurance, for many low-income families this is not an affordable option due to
high out-of-pocket costs such as premium contributions, copayments, and
deductibles that can add up to a substantial proportion of earned income. The
FAMIS MOMS change permits pregnant women who have access to subsidized health
insurance through state employment, and are otherwise eligible (e.g., by virtue
of family income, residency) to be enrolled for health coverage under the FAMIS
MOMS program. By removing the exclusion of such women from enrollment, the
proposed amendments allow the Commonwealth's employees to be treated the same
as other families with access to employer-sponsored health insurance.
As a result of the FAMIS MOMS change, more lower-income
pregnant women are permitted to obtain insurance coverage for critically
important prenatal care. This is essential to protect the health, safety, and
welfare of these affected individuals by providing an opportunity to access
high quality health care services that they might otherwise not be able to
afford. It does not otherwise affect the health, safety, or welfare of other
citizens of the Commonwealth.
Substance: DMAS submitted a HIFA § 1115 Waiver
amendment, which was approved by CMS, that expands coverage for FAMIS MOMS to
include pregnant women with access to state employee health benefit coverage in
accordance with the hardship exception specified in § 2110(b)(6)(C) of the
Social Security Act.
To meet the financial hardship test, the Commonwealth showed
that the annual aggregate amount of premiums and cost-sharing imposed for
coverage of the family of the pregnant woman exceeded five percent of such
family's income for the year involved. An analysis of annual aggregate
out-of-pocket expenses for employees of the Commonwealth of Virginia,
University of Virginia, and Virginia Commonwealth University Health System
Authority demonstrated that Virginia currently meets the federal financial
hardship test.
Under the FAMIS MOMS change, applicable qualified state
employees, and their otherwise-eligible dependents, are permitted to enroll in
FAMIS MOMS. This change only affects state employees who are qualified for
employer-sponsored health insurance; wage employees are not eligible to receive
a state contribution toward the cost of their health coverage, but are eligible
to enroll in FAMIS MOMS if they otherwise qualify.
In order to alert potentially eligible employees about this
policy change, DMAS and the Department of Human Resources Management (DHRM)
implemented communication strategies to include agency website postings of a
fact sheet, electronic newsletters to state benefit administrators, the annual
notice to all state employees about premium assistance, and the state employee
open enrollment newsletter for 2015.
Issues: The primary advantage of the FAMIS MOMS change
is that more low-income working families had access to the FAMIS MOMS program,
with significantly reduced out-of-pocket expenses for pregnancy-related care,
perhaps resulting in more disposable income for such families to cover their
basic necessities or other expenses. Businesses that offer health insurance to
their employees may see a reduction in health insurance costs if any of their
employees have spouses employed by the state, and could enroll their eligible
dependents in FAMIS MOMS. The primary disadvantage for the affected families is
the administrative process of having to rejoin the state health benefit plan
within the 60-day qualifying event period once the pregnancy ends.
One advantage to the Commonwealth is cost savings associated
with the state employee health benefit plan. The Commonwealth agencies that
currently cover a pregnant woman on the state health plan might have been able
to reduce their benefit option to that of an employee only, or employee plus
spouse (depending on their family size and situation), thus reducing the
state's share of premium for family coverage. Since the state employee health
plan is self-insured, a reduction in the costs of claims incurred for pregnant
women covered under the state health plan would contribute additional savings
if those women were enrolled in FAMIS MOMS instead. Another advantage to the
Commonwealth is the sharing of the costs, with the DMAS Federal Financial
Participation, of care of these women and their infants. The Federal Financial
Participation rate for FAMIS MOMS is 88%.
Another advantage to the Commonwealth is reduction of the
social and economic costs associated with reducing the number of births to
uninsured women. To the extent that FAMIS MOMS participants deliver fewer
preterm or low birth weight infants, the program contributes to reduced medical
costs for women in the income range served. In 2013, 7.1% of babies born to
FAMIS MOMS were of low birth weight, compared to 8.0% of all births in
Virginia; 7.9% of babies born to FAMIS MOMS were delivered preterm, compared to
11% of all births in Virginia ("Calendar Year 2013 Improving Birth
Outcomes through Adequate Prenatal Care: Delmarva Foundation 2014").
There is no identified disadvantage to the Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. On behalf of
the Board of Medical Assistance Services, the Director (Director) of the
Department of Medical Assistance Services (DMAS) proposes to amend this
regulation to allow low income state employees, their spouses, or their
dependents to participate in the Family Access to Medical Insurance Security (FAMIS)
MOMs program. In practice, DMAS has already implemented this change.
Result of Analysis. The benefits likely exceed the costs for
all proposed changes.
Estimated Economic Impact. The Children's Health Insurance
Program (CHIP) is the federal program under Title XXI of the Social Security
Act that provides funds to states to enable them to initiate and expand the
provision of child health insurance to uninsured, low-income children. In
Virginia CHIP is known as the Family Access to Medical Insurance Security
(FAMIS) Plan and the CHIP waiver program for pregnant women is known as FAMIS
MOMS. FAMIS MOMS is only available to uninsured pregnant women whose household
meets the family size and income limits in the following table.
FAMIS MOMS INCOME LIMITS* (GROSS INCOME**) - EFFECTIVE
JANUARY 31, 2017
|
Family Size***
|
Monthly
|
Yearly
|
2
|
$2,775
|
$33,292
|
3
|
$3,490
|
$41,861
|
4
|
$4,203
|
$50,430
|
5
|
$4,917
|
$58,999
|
6
|
$5,632
|
$67,568
|
7
|
$6,345
|
$76,137
|
8
|
$7,060
|
$84,706
|
*includes 5% standard disregard.
**gross income is household income before taxes and deductions
***counts the unborn children as additional family members
This regulation (12VAC30-141, Family Access to Medical
Insurance Security Plan) sets out provisions regarding FAMIS and FAMIS MOMS.
The current regulation excludes state employees who have access to employer
subsidized health coverage from enrolling themselves or their dependents in the
FAMIS MOMS program, even if they are otherwise eligible by income, residency,
and family size. The Director proposes to remove this exclusion from the
regulation. Removing the exclusion allows the Commonwealth's employees to be
treated the same as other families with access to employer-sponsored health
insurance.
While the Commonwealth of Virginia subsidizes health insurance
for full-time state employees, some lower-earning employees may still believe
they cannot afford to enroll in one of the state sponsored plans. There are no
premiums, copayments, or other charges associated with FAMIS MOMS
participation. Thus, the proposal to remove the exclusion for state employees
and their dependents may result in some pregnant women enrolling in FAMIS MOMS
and receiving prenatal care who otherwise would not have. For these women and
their babies there would be reduced risk of adverse health outcomes.1
For example, a study done for DMAS by the Delmarva Foundation found that in
2013, 7.1% of babies born to FAMIS MOMS were of low birth weight, compared to
8.0% of all births in Virginia; and 7.9% of babies born to FAMIS MOMS were
delivered preterm, compared to 11% of all births in Virginia.
The federal government pays 88% of the cost of FAMIS MOMS. Each
Virginia participant costs the Commonwealth approximately $5,000.
Additionally, some low-income state employee families who
participate in one of the state sponsored plans may choose to drop coverage for
a pregnant member of the family, and have her enroll in FAMIS MOMS during the
pregnancy. This would enable the family to save on premiums and copayments,
while still maintaining pregnancy-related care. Pursuing this strategy may
result in gaps in health coverage though. Employees and their family members
cannot rejoin the state health plan at any time of the year. There is a 60-day
open enrollment period each year where the state employee can change the
coverage. Thus there would likely not be many state employee families who would
drop state coverage for FAMIS MOMS. To the extent that some do, there would be
some cost savings for Virginia. The Commonwealth agencies that currently cover
a pregnant woman on the state health plan might be able to reduce their benefit
option to that of an employee only, or employee plus spouse (depending on their
family size and situation), thus reducing the state's share of premium for
family coverage.
In practice, DMAS has accepted and encouraged low-income
pregnant state employees to enroll in FAMIS MOMS since the 2015 enrollment
period. In order to alert potentially eligible employees about this policy
change, DMAS and the Department of Human Resources Management implemented
communication strategies to include: agency website postings of a Fact Sheet,
electronic newsletters to state benefit administrators, inclusion in the annual
notice to all state employees about premium assistance, and the state employee open
enrollment newsletter for 2015. DMAS has not formally tracked the number of
state employees who have enrolled, but specifically knows of only a couple who
did so in 2015, and is not aware of how many have enrolled since.2
Businesses and Entities Affected. The proposed amendment
potentially affects all state employees and their families with household
income that qualifies for FAMIS MOMS (see previous table), and have a household
member who could become pregnant.
Localities Particularly Affected. The proposed amendment does
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendment does not
significantly affect employment.
Effects on the Use and Value of Private Property. The proposed
amendment does not significantly affect the use and value of private property.
Real Estate Development Costs. The proposed amendment does not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendment does not affect
costs for small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
amendment does not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendment does not adversely affect
businesses.
Localities. The proposed amendment does not adversely affect
localities.
Other Entities. The proposed amendment does not adversely
affect other entities.
________________________________
1 U.S. Department of Health and Human Services, National
Institutes of Health.
2 DMAS tracks the number of FAMIS MOMS enrollees, but
does not know how many are state employees.
Agency's Response to Economic Impact Analysis: The
agency has reviewed the economic impact analysis prepared by the Department of
Planning and Budget. The agency raises no issues with this analysis.
Summary:
In Virginia the federal Children's Health Insurance Program
(CHIP) is known as the Family Access to Medical Insurance Security (FAMIS)
Plan, and the CHIP waiver program for pregnant women is known as FAMIS MOMS.
FAMIS MOMS is only available to pregnant women, according to their income who
are uninsured. Under the authority of the federal Centers for Medicare and
Medicaid Services, pregnant, low-income state employees and their pregnant
dependents who are otherwise eligible for FAMIS MOMS have been permitted to
enroll in the FAMIS MOMS program. The proposed amendments reflect these
changes.
12VAC30-141-740. Eligibility requirements.
A. This section shall be used to determine eligibility of
pregnant women for FAMIS MOMS.
B. FAMIS MOMS shall be in effect statewide.
C. Eligible pregnant women must:
1. Be determined ineligible for Medicaid due to excess income
by a local department of social services or by DMAS eligibility staff
co-located at the FAMIS CPU;
2. Be a pregnant woman at the time of application;
3. Be a resident of the Commonwealth;
4. Be either a U.S. citizen, U.S. national or a qualified
noncitizen;
5. Be uninsured, that is, not have comprehensive health
insurance coverage; and
6. Not be a member of a family eligible for subsidized
dependent coverage, as defined in 42 CFR 457.310(c)(1)(ii) under any
Virginia state employee health insurance plan on the basis of the family
member's employment with a state agency; and
7. 6. Not be an inpatient in an institution for
mental diseases (IMD), or an inmate in a public institution that is not a
medical facility.
D. Income.
1. Screening. All applications for FAMIS MOMS coverage
received at the FAMIS central processing unit must be screened to identify applicants
who are potentially eligible for Medicaid. Pregnant women screened and found
potentially eligible for Medicaid cannot be enrolled in FAMIS MOMS until there
has been a finding of ineligibility for Medicaid. Pregnant women who do not
appear to be eligible for Medicaid due to excess income shall have their
eligibility for FAMIS MOMS determined and, if eligible, will be enrolled in the
FAMIS MOMS program. Applications for FAMIS MOMS received at a local department
of social services shall have a full Medicaid eligibility determination
completed. Pregnant women determined to be ineligible for Medicaid due to
excess income will have their eligibility for FAMIS MOMS determined and, if
eligible, the local department of social services will enroll the pregnant
woman in the FAMIS MOMS program.
2. Standards. Income standards for FAMIS MOMS are based on a
comparison of countable income to 200% of the federal poverty level for the
family size. Countable income and family size are based on the methodology
utilized by the Medicaid program as defined in 12VAC30-40-100 e. Pregnant women
who have income at or below 200% of the federal poverty level, but are
ineligible for Medicaid due to excess income, will be income eligible to
participate in FAMIS MOMS.
3. Spenddown. Deduction of incurred medical expenses from
countable income (spenddown) shall not apply in FAMIS MOMS. If the family
income exceeds the income limits described in this section, the individual
shall be ineligible for FAMIS MOMS regardless of the amount of any incurred
medical expenses.
E. Residency. The requirements for residency, as set forth in
42 CFR 435.403, will be used when determining whether a pregnant woman is
a resident of Virginia for purposes of eligibility for FAMIS MOMS. A child who
is not emancipated and is temporarily living away from home is considered
living with her parents, adult relative caretaker, legal guardian, or person
having legal custody if the absence is temporary and the child intends to
return to the home when the purpose of the absence (such as education, medical
care, rehabilitation, vacation, visit) is completed.
F. U.S. citizenship or nationality. Upon signing the
declaration of citizenship or nationality required by § 1137(d) of the
Social Security Act, the applicant or recipient is required under § 2105(c)(9)
to furnish satisfactory documentary evidence of U.S. citizenship or nationality
and documentation of personal identify unless citizenship or nationality has
been verified by the Commissioner of Social Security or unless otherwise
exempt.
G. Qualified noncitizen. The requirements for qualified
aliens set out in Public Law 104-193, as amended, and the requirements for
noncitizens set out in subdivisions 3 b, c, and e of 12VAC30-40-10 will be used
when determining whether a pregnant woman is a qualified noncitizen for
purposes of FAMIS MOMS eligibility.
H. Coverage under other health plans.
1. Any pregnant woman covered under a group health plan or
under health insurance coverage, as defined in § 2791 of the Public Health
Services Act (42 USC § 300gg-91(a) and (b)(1)), shall not be eligible for FAMIS
MOMS.
2. No substitution for private insurance.
a. Only uninsured pregnant women shall be eligible for FAMIS
MOMS. A pregnant woman is not considered to be insured if the health insurance
plan covering the pregnant woman does not have a network of providers in the
area where the pregnant woman resides. Each application for FAMIS MOMS coverage
shall include an inquiry about health insurance the pregnant woman has at the
time of application.
b. Health insurance does not include Medicare, Medicaid, FAMIS
or insurance for which DMAS paid premiums under Title XIX through the Health
Insurance Premium Payment (HIPP) Program or under Title XXI through the SCHIP
premium assistance program.
12VAC30-141-760. Pregnant women ineligible for FAMIS MOMS.
A. If a pregnant woman is:
1. Eligible for Medicaid, or would be eligible if she applied
for Medicaid, she shall be ineligible for coverage under FAMIS MOMS. A pregnant
woman found through the screening process to be potentially eligible for
Medicaid but who fails to complete the Medicaid application process for any
reason, cannot be enrolled in FAMIS MOMS;
2. A member of a family eligible for coverage under any
Virginia state employee health insurance plan, she shall be ineligible for
FAMIS MOMS;
3. 2. An inmate of a public institution as
defined in 42 CFR 435.1009, she shall be ineligible for FAMIS MOMS; or
4. 3. An inpatient in an institution for mental
disease (IMD) as defined in 42 CFR 435.1010, she shall be ineligible for
FAMIS MOMS.
B. If a pregnant woman age 18 years or older or, if under
younger than age 18 years, a parent or other authorized
representative does not meet the requirements of assignment of rights to
benefits or requirements of cooperation with the agency in identifying and
providing information to assist the Commonwealth in pursuing any liable third
party, the pregnant woman shall be ineligible for FAMIS MOMS.
C. If a pregnant woman age 18 years or older, or if under
younger than age 18 years, a parent, adult relative caretaker,
guardian, or legal custodian obtained benefits for a pregnant woman who would
otherwise be ineligible by willfully misrepresenting material facts on the
application or failing to report changes, the pregnant woman for whom the
application is made shall be ineligible for FAMIS MOMS. The pregnant woman age
18 years or older, or if under younger than age 18 years,
the parent, adult relative caretaker, guardian, or legal custodian who signed
the application shall be liable for repayment of the cost of all benefits
issued as the result of the misrepresentation.
VA.R. Doc. No. R16-4365; Filed April 26, 2017, 1:30 p.m.
TITLE 12. HEALTH
STATE BOARD OF BEHAVIORAL HEALTH AND DEVELOPMENTAL SERVICES
Emergency Regulation
Title of Regulation: 12VAC35-250. Certification of
Peer Recovery and Resiliency Specialists (adding 12VAC35-250-10 through 12VAC35-250-50).
Statutory Authority: §§ 37.2-203 and 37.2-304 of
the Code of Virginia.
Effective Dates: May 12, 2017, through November 11,
2018.
Agency Contact: Ruth Anne Walker, Regulatory
Coordinator, Department of Behavioral Health and Developmental Services,
Jefferson Building, 1220 Bank Street, 11th Floor, Richmond, VA 23219, telephone
(804) 225-2252, FAX (804) 786-8623, or email
ruthanne.walker@dbhds.virginia.gov.
Preamble:
Section 2.2-4011 of the Code of Virginia states that
agencies may adopt emergency regulations in situations in which Virginia
statutory law or the appropriation act or federal law or federal regulation
requires that a regulation be effective in 280 days or less from its enactment,
and the regulation is not exempt under the provisions of § 2.2-4006 A 4 of
the Code of Virginia. Chapters 418 and 426 of the 2017 Acts of Assembly
authorized the State Board of Behavioral Health and Developmental Specialists
to adopt regulations that establish the qualifications, education, and
experience for registration of peer recovery specialists by the Board of
Counseling.
This emergency regulation is necessary for individuals who
will be designated as "peer recovery specialists" to have a pathway
to provide peer recovery services through the Virginia Medicaid Addiction and
Recovery Treatment Services benefit, which will be made available to Medicaid
members receiving addiction treatment services at all levels of care effective
July 1, 2017. The emergency regulation will ensure that individuals providing
peer recovery services in Virginia's public system of behavioral health
services demonstrate a baseline of practical knowledge and appropriate
education and qualifications.
CHAPTER 250
PEER RECOVERY SPECIALISTS
12VAC35-250-10. Definitions.
"Certifying body" means an organization approved
by DBHDS that has as one of its purposes the certification of peer recovery
specialists.
"DBHDS" means the Department of Behavioral
Health and Developmental Services.
"DBHDS peer recovery specialist training" means
the curriculum developed and approved by DBHDS for the training of persons
seeking registration as peer recovery specialists.
"Individual" means a person who is receiving
peer recovery support services. This term includes the terms
"consumer," "patient," "resident,"
"recipient," and "client."
"Peer recovery support services" means
nonclinical, peer-to-peer activities that engage, educate, and support an
individual's self-help efforts to improve his health recovery resiliency and
wellness.
"Recovery, resiliency, and wellness plan" means a
set of goals, strategies, and actions an individual creates to guide him and
his health care team to move the individual toward the maximum achievable
independence and autonomy in the community.
"Peer recovery specialist" means a person who by
education and experience is professionally qualified to provide collaborative
services to assist individuals in achieving sustained recovery from the effects
of mental illness, addiction, or both.
12VAC35-250-20. Peer recovery specialist.
A. Any person seeking to be a peer recovery specialist
under this chapter shall (i) meet the qualifications, education, and experience
requirements established in this chapter and (ii) hold a certification as a
peer recovery specialist from a certifying body approved by DBHDS.
B. If the conditions in clauses (i) and (ii) of subsection
A of this section are met, a person who is one of the following may act as a
peer recovery specialist:
1. A parent of a minor or adult child with a mental illness
or substance use disorder or co-occurring mental illness and substance use
disorder similar to the individual receiving peer recovery services; or
2. An adult with personal experience with a family member
with a mental illness or substance use disorder or co-occurring mental illness
and substance use disorder similar to the individual receiving peer recovery
services.
C. A peer recovery specialist shall provide such services
as an employee or independent contractor of DBHDS, a provider licensed by
DBHDS, a practitioner licensed by or holding a permit issued from the
Department of Health Professions, or a facility licensed by the Department of
Health.
12VAC35-250-30. Qualifications.
A. Any person seeking to be a peer recovery specialist
under this chapter shall:
1. Have a high school diploma or equivalent.
2. Sign and abide by the Virginia Peer Recovery Specialist
Code of Ethics, Department of Behavioral Health and Developmental Services,
effective April 4, 2017.
3. Complete the DBHDS peer recovery specialist training by
April 1, 2018.
4. Show current certification in good standing by the U.S.
Department of Veterans Affairs or one of the following certifying bodies:
a. National Association for Alcoholism and Drug Abuse
Counselors (NAADAC);
b. A member board of the International Certification and Reciprocity
Consortium (IC&RC); or
c. Any other certifying body approved by DBHDS.
B. Individuals certified through the Virginia member board
of the IC&RC between April 16, 2015, through December 31, 2016, shall be
exempt from completing the DBHDS peer recovery specialist training.
12VAC35-250-40. Minimum standards for certifying bodies.
DBHDS may approve a certification obtained from a
certifying body that requires its certificate holders to:
1. Adhere to a code of ethics that is substantially
comparable to the Virginia Peer Recovery Specialist Code of Ethics, Department
of Behavioral Health and Developmental Services, effective April 4, 2017.
2. Have at least one year of recovery for persons having
lived experience with mental illness or substance use disorder conditions, or
lived experience as a family member of someone with mental illness or substance
use disorder conditions.
3. Complete at least 46 hours of training from the list of
curriculum subjects in 12VAC35-250-50.
4. Obtain a passing score on an examination offered by the
certifying body testing knowledge of the curriculum subjects identified in
12VAC35-250-50.
5. Obtain and document at least 500 hours of supervised
paid or volunteer experience providing peer recovery services in the three
years prior to applying for certification. The experience hours shall have been
in nonclinical, peer-to-peer recovery-oriented support activities designed to
address an individual's recovery and wellness goals.
12VAC35-250-45. Continuing education.
Any person seeking to be a peer recovery specialist under
this chapter shall be required to complete a minimum of 20 hours of continuing
education every two years from the date of his certification by a certifying
body. These hours shall be in courses that cover the topics listed in
12VAC35-250-50.
12VAC35-250-50. Curriculum requirements.
A. Any person seeking to be a peer recovery specialist
under this chapter shall complete the DBHDS peer recovery specialist training.
B. The curriculum of the peer recovery specialist training
shall include training on the following topics:
1. The current body of mental health and substance abuse
knowledge;
2. The recovery process;
3. Promoting services, supports, and strategies for
recovery;
4. Peer-to-peer services;
5. Crisis intervention;
6. The value of the role of a peer recovery specialist;
7. Basic principles related to health and wellness;
8. Recovery, resiliency, and wellness plans;
9. Stage-appropriate pathways in recovery support;
10. Ethics and ethical boundaries;
11. Cultural sensitivity and practice;
12. Trauma and its impact on recovery;
13. Community resources; and
14. Delivering peer services within agencies and
organizations.
DOCUMENTS INCORPORATED BY REFERENCE (12VAC35-250)
The
Virginia Peer Recovery Support Specialist Code of Ethics, Department of
Behavioral Health and Developmental Services (eff. 4/2017)
VA.R. Doc. No. R17-4808; Filed May 8, 2017, 4:30 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
COMMON INTEREST COMMUNITY BOARD
Final Regulation
Title of Regulation: 18VAC48-50. Common Interest
Community Manager Regulations (amending 18VAC48-50-253, 18VAC48-50-255).
Statutory Authority: § 54.1-2349 of the Code of
Virginia.
Effective Date: July 1, 2017.
Agency Contact: Trisha Henshaw, Executive Director,
Common Interest Community Board, Department of Professional and Occupational
Regulation, 9960 Mayland Drive, Suite 400, Richmond, VA 23233, telephone (804)
367-8510, FAX (866) 490-2723, or email cic@dpor.virginia.gov.
Summary:
The amendments clarify (i) that the requirement to complete
a minimum of two contact hours in common interest community law and regulation
in addition to fair housing training applies only to the renewal of
certificates for principal or supervisory employees and is not a prerequisite
to initial certification and (ii) the topic areas and course of study regarding
the two contact hours pertaining to common interest community law and
regulation. The board has updated a form since the proposed stage.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
18VAC48-50-253. Virginia common interest community law and
regulation training program requirements.
In order to qualify as a Virginia common interest community
law and regulation training program for applicants for and renewal of
certificates issued by the board, the common interest community law and
regulation program must include a minimum of two contact hours and the syllabus
shall encompass updates to Virginia laws and regulations directly
related to common interest [ community communities ] management
and creation, governance, administration, and operations of associations.
18VAC48-50-255. Fair housing training program requirements.
In order to qualify as a fair housing training program for applicants
for and renewal of certificates issued by the board, the fair housing
training program must include a minimum of two contact hours and the syllabus
shall encompass Virginia fair housing laws and any updates, all as
related to the management of common interest communities.
NOTICE: The following
forms used in administering the regulation were filed by the agency. The forms
are not being published; however, online users of this issue of the Virginia Register
of Regulations may click on the name of a form with a hyperlink to access it.
The forms are also available from the agency contact or may be viewed at the
Office of the Registrar of Regulations, General Assembly Building, 2nd Floor,
Richmond, Virginia 23219.
[ FORMS (18VAC48-50)
Common Interest Community Manager Change of
Personnel Form, A492-0501MGTCHG-v1 (eff. 10/2013)
Common Interest Community Manager License
Application, A492-0501LIC-v1 (eff. 10/2013)
Common Interest Community Manager Training Program
Approval Application, A492-05TRAPRV-v1 (eff. 10/2013)
Common
Interest Community Manager Training Program Approval Application, A492-05TRAPRV-v2
(eff. 5/2017)
Certified Principals/Supervisory Employee
Experience Verification Form, A492-0510EXP-v1 (eff. 10/2013)
Common Interest Community Manager Application
Comprehensive Training Program Equivalency Form, A492-0501TREQ-v1 (eff. 9/2013)
Common Interest Community Manager License Renewal
Application, A492-0501REN-v1 (eff. 10/2013)
Common Interest Community Manager Principal or
Supervisory Employee Certificate Application, A492-0510CERT-v1 (eff. 10/2013)
Common Interest Community Manager Application
Supplement Experience Verification Form, A492-0510EXP-v1 (eff. 10/2013) ]
VA.R. Doc. No. R16-4618; Filed May 2, 2017, 10:46 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD FOR CONTRACTORS
Proposed Regulation
Title of Regulation: 18VAC50-22. Board for
Contractors Regulations (amending 18VAC50-22-30 through 18VAC50-22-60,
18VAC50-22-260).
Statutory Authority: §§ 54.1-201 and 54.1-1102 of the
Code of Virginia.
Public Hearing Information:
June 27, 2017 - 10 a.m. - Commonwealth of Virginia
Conference Center, Perimeter Center, 9960 Mayland Drive, Hearing Room 5,
Richmond, VA 23233
Public Comment Deadline: July 28, 2017.
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.
Basis: Section 54.1-1102 of the Code of Virginia
provides the authority for the Board of Contractors to promulgate regulations
for the licensure of contractors in the Commonwealth. The content of the
regulations is pursuant to the board's discretion, but the content may not be
in conflict with the purposes of the statutory authority.
This particular proposed regulation is the result of Chapter
527 of the 2016 Acts of Assembly, which expanded the statutory definition of
contractor in § 54.1-1100 of the Code of Virginia to encompass remediation work
done in accordance with state guidelines for clean-up of residential property
formerly used to manufacture methamphetamine. The Department of Health
establishes such guidelines pursuant to § 32.1-11.7 of the Code of Virginia.
Purpose: During the 2016 Session of the General
Assembly, legislation was enacted that amended the definition of
"contractor" found in § 54.1-1100 of the Code of Virginia to include
remediation of residential property formerly used to manufacture methamphetamine.
As a result of the legislative action, the Board for Contractors must expand
its current list of available specialties to provide for remediation activities
that now require a license. This proposal is intended to ensure that
remediation of former methamphetamine labs, which present health and safety
risks to residents and the public, is performed by licensed contractors with
minimum competency to do so safely.
Substance: The proposed amendments add a specialty
designation for contractors that perform remediation of property that was
formerly used to manufacture methamphetamine, as well as criteria that must be
met in order to obtain and maintain the license specialty.
Issues: The residue left behind at a property where
methamphetamine was manufactured can contaminate indoor air and surfaces,
causing serious health problems. Many of the ingredients used to make the
illegal drug are known to permeate building material such as drywall, carpet,
and flooring and include chemicals such as pseudoephedrine, acetone, phosphine,
and materials such as drain cleaners, paint thinners, ammonia, lye, engine
starting fluid, and more. The production of hazardous waste and toxic vapors,
even in residual amounts, can put individuals at risk for cancer, birth defects,
and other illnesses. Structures formerly used as methamphetamine labs are
treated as hazardous material sites, which require the donning of protective
clothing (even by law-enforcement investigators) and special remediation
techniques.
There are currently 25 states that have regulations or statutes
in place that outline requirements for the remediation of former drug
laboratories or regulate the individuals or businesses that perform such work.
According to the U.S. Drug Enforcement Agency, in calendar year 2014 there were
309 methamphetamine lab incidents in Virginia (defined as labs, dumpsites, or
chemical and glassware seizures).
In 2016, legislation was enacted to add the remediation of
former methamphetamine labs to the definition of "contractor" found in
§ 54.1-1100 of the Code of Virginia. These businesses will now be required to
be licensed by the Board for Contractors and must demonstrate that they have
both the technical ability and financial stability to perform such work in a
way that protects the public's health, safety, and welfare.
Although the board did not have a say in the passage of the
legislation - nor is its implementation discretionary - it is generally
accepted that the remediation, demolition, or removal of properties that were
used for the production of methamphetamine requires additional knowledge and
skills that are not generally part of what would be considered regular
construction work. The improper removal of the contaminated materials can put
people (private citizens and residents, as well as the contractors themselves)
at an increased risk of health problems that can even lead to death.
Law-enforcement investigators have been taking special precautions for more
than a decade when dealing with these structures as first responders, but there
was has been no requirement that contractors remediating such properties have
any special training or demonstrate any qualifications.
The primary advantage to the public by adding this specialty,
and the board's decision to make it an exclusive specialty, is that it will
provide an additional layer of protection to citizens who purchase properties
that were formerly used to manufacture methamphetamine, as well as to the
communities surrounding these properties, by ensuring that the contaminated materials
are disposed of properly. The proposed regulatory action also benefits the
regulated community of contractors by ensuring those businesses and workers are
properly trained in necessary safety precautions.
The advantages to this proposed action include an increased
layer of protection for citizens purchasing property used as a former
methamphetamine lab and to the community as licensed contractors performing the
work would be aware of the special steps that must be taken to remove,
encapsulate, and dispose of contaminated materials. There are no disadvantages
posed by these regulations to the board, the Department of Professional and
Occupational Regulation, or the Commonwealth.
In other states that have found it necessary to regulate
businesses and individuals performing this type of remediation work, a
stand-alone regulatory program often results. These proposed regulations will
incorporate remediation work into the already existing Board of Contractors
regulations and will use the same eligibility criteria that are in place for
all other contractors, avoiding the need for a separate licensing program and
the additional fees and regulatory burden on the businesses. These proposed
amendments offer the least burdensome compliance option available to businesses
while providing much needed protection to citizens, striking an appropriate
balance that should be attained when looking at regulations. No disadvantages
have been identified.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. Pursuant to
Chapter 527 of the 2016 Acts of Assembly, the Board for Contractors proposes to
establish a contracting specialty for remediation of properties formerly used
to manufacture methamphetamine.
Result of Analysis. The benefits likely exceed the costs for
the proposed regulation absent excessive training requirements. A different
design specifying content and length of the training would reduce the
uncertainty on the magnitude of the potential training costs.
Estimated Economic Impact. Methamphetamine is a potent central
nervous system stimulant. It is sometimes illegally produced in makeshift labs
commonly referred to as "meth labs." The production uses a variety of
chemicals including pseudoephedrine, acetone, phosphine, and materials such as
drain cleaners, paint thinners, ammonia, lye, engine starting fluid, and more.
These hazardous contaminants permeate into drywall, carpet, and flooring.
Contaminants may be found in waste water and heating, ventilation, and air
conditioning systems. Exposure to even small amounts of some of these chemicals
can pose serious health risks. Structures formerly used as meth labs are
treated as hazardous material sites, which require the donning of protective
clothing and special remediation techniques. However, prior to this regulatory
action, there had been no requirement that contractors remediating such
properties have any special training or experience.
Chapter 527 of the 2016 Acts of Assembly1 added the
remediation of former meth labs to the definition of "contractor"
found in § 54.1-1100 of the Code of Virginia. In response to the amendment, the
Board for Contractors (Board) proposes to establish a new contracting specialty
for remediation of such properties. Currently, there are 47 other contracting
classifications or specialties. In general, a firm wishing to perform a
specialty contracting is required to designate a qualified individual who has
two years of experience in the specialty and who must disclose financial and
criminal background information with the application. The Board also proposes
to require that the qualified individual take an approved remediation course
and pass an examination for the proposed drug lab remediation specialty. The
work performed by the specialty contractor is required to conform to the
remediation standards set forth by state and federal agencies charged with
overseeing such activity.
According to the Department of Professional Occupational
Regulation (DPOR), there are twenty-five states that regulate remediation of
former meth labs. Furthermore, DPOR reports that based on U.S. Drug Enforcement
Agency, in 2014, there were 309 meth lab incidents in Virginia (defined as
labs, dumpsites, or chemical and glassware seizures). It is estimated that
approximately 50 contractors may be interested in seeking drug lab remediation
specialty.
One of the economic effects of the proposed regulation is the
added cost of acquiring the required experience, training, taking the exam, and
taking continuing education classes. Experience may be gained in other types of
remediation activities such as lead or mold remediation. Qualified individuals
must have Board approved training in remediation and pass an exam. However, the
regulation does not specify the details of the required training such as its
content or the length. The Board staff anticipates that a 40-hour Hazardous
Waste Operations and Emergency Response (HAZWOPER) training followed by a
two-day training on drug lab remediation will likely be required. The
examinations are given in Richmond, Virginia Beach, Fairfax, Falls Church,
Charlottesville, and Roanoke and will likely have a 120-minute time limit to
complete. Furthermore, to stay current in HAZWOPER or remediation
certification, the qualified individual will likely be required to take
refresher training periodically. The combined course fee for the initial
certifications for HAZWOPER and drug lab remediation is estimated to be in
$900-$1,100 range. The cost of the exam is estimated to be about $85. The cost
of the periodic refresher training is estimated to be in $30-$50 range. In
addition to the training, exam, and continuing education fees, the value of the
qualified individual's time spent acquiring the required training must be
considered.
While the magnitude of the anticipated training costs seems
reasonable, the regulation does not specify the content or the length of the
required coursework. Without the specific language in the regulation, the Board
may choose to require an entirely different training design. Thus, the ultimate
cost of the training may vary from what is now anticipated. It should also be
noted that while training may come at a cost, the proposed regulation would
require hiring of a qualified individual improving his job prospects. On
balance, an individual would not be interested in gaining experience or
training if the expected benefits did not exceed the costs.
Another economic effect is having to pay a fee to add a
specialty. During the initial contractor licensure, a firm may designate as
many specialties as it wishes without an extra fee provided it pays the
contractor licensing fee, which is $210 for class C, $345 for class B, and $360
for class A license. Therefore, a contractor may add the drug lab remediation
specialty without an added cost if it is obtaining the license for the first
time. However, a contractor must pay a one-time $110 fee to add a specialty to
its existing license later on. In addition, the firm would have to hire a
qualified individual who satisfies the criteria. Similar to the qualified
individual, a firm would not be interested in hiring a qualified individual and
pay additional fees if the expected benefits did not exceed the costs.
The proposed regulation will also provide an additional layer
of protection to future residents of former drug labs by ensuring that
remediation is done properly as licensed contractors performing the work would
be aware of the special steps that must be taken to detect, remove,
encapsulate, and dispose of the contaminated materials.
While the proposed regulation introduces additional compliance
costs, it appears that exposure to methamphetamine residue or by-products poses
significant health risks. Thus, the public health benefits of the proposed drug
lab remediation specialty appear to justify the additional costs of compliance
assuming that the Board will not establish excessive training requirements.
Businesses and Entities Affected. DPOR estimates that
approximately 50 businesses may be interested in pursuing a specialty license
in drug lab remediation.
Localities Particularly Affected. The proposed regulation
applies statewide. The Board notes that majority of properties formerly used to
manufacture methamphetamine were found in the Southwest and Hampton Roads regions
while recognizing that such properties are discovered in every area of the
Commonwealth.
Projected Impact on Employment. The proposed regulation is
unlikely to significantly affect the number of former meth labs remediated.
Thus, no significant impact on employment is expected. However, under the
proposed regulation, some individuals or contractors may no longer be able to
perform drug lab remediation if they do not comply with the experience and
training requirements. In addition, the proposed regulation would increase the
demand for HAZWOPER and drug lab remediation training.
Effects on the Use and Value of Private Property. Remediation
of private property formerly used as a meth lab by trained and qualified
contractors should minimize potential health risks and add to its value
relative to what its value would be if such work was performed by untrained
contractors.
Real Estate Development Costs. No impact on real estate
development costs is expected.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. Most of the contractors pursuing
remediation specialty are expected to be small businesses. The economic effects
discussed above apply to them.
Alternative Method that Minimizes Adverse Impact. The proposed
regulation establishes a specialty designation instead of establishment of new
license type to avoid higher licensing fees and administrative costs. There is
no known alternative to reduce compliance costs to perform meth lab remediation
work while accomplishing the same goals.
Adverse Impacts:
Businesses. The proposed regulation is not anticipated to have
an adverse impact on non-small businesses.
Localities. The proposed regulation is not anticipated to have
an adverse impact on localities.
Other Entities. The proposed amendments will not adversely
affect other entities.
____________________________
1 http://leg1.state.va.us/cgi-bin/legp504.exe?161+ful+CHAP0527
Agency's Response to Economic Impact Analysis: The
agency concurs with the economic impact analysis prepared by the Department of
Planning and Budget.
Summary:
Pursuant to Chapter 527 of the 2016 Acts of Assembly, the
proposed amendments (i) add an exclusive specialty for businesses that perform,
manage, or supervise the remediation of property formerly used to manufacture
methamphetamine; (ii) establish the criteria to obtain and maintain the license
specialty, including experience and examination requirements; and (iii) require
that the remediation work is consistent with applicable remediation standards
of other federal or state agencies.
18VAC50-22-30. Definitions of specialty services.
The following words and terms when used in this chapter
unless a different meaning is provided or is plainly required by the context
shall have the following meanings:
"Accessibility services contracting" (Abbr: ASC)
means the service that provides for all work in connection with the
constructing, installing, altering, servicing, repairing, testing, or
maintenance of wheelchair lifts, incline chairlifts, dumbwaiters with a
capacity limit of 300 pounds, and private residence elevators in accordance
with the Virginia Uniform Statewide Building Code (13VAC5-63). The EEC
specialty may also perform this work. This specialty does not include work on
limited use-limited application (LULA) elevators.
"Accessibility services contracting - LULA" (Abbr:
ASL) means the service that provides for all work in connection with the
constructing, installing, altering, servicing, repairing, testing, or
maintenance of wheelchair lifts, incline chairlifts, dumbwaiters with a
capacity limit of 300 pounds, private residence elevators, and limited
use-limited application (LULA) elevators in accordance with the Virginia
Uniform Statewide Building Code (13VAC5-63). The EEC specialty may also perform
this work.
"Alternative energy system contracting" (Abbr: AES)
means the service that provides for the installation, repair or improvement,
from the customer's meter, of alternative energy generation systems,
supplemental energy systems and associated equipment annexed to real property.
This service does not include the installation of emergency generators powered
by fossil fuels. No other classification or specialty service provides this
function. This specialty does not provide for electrical, plumbing, gas
fitting, or HVAC functions.
"Asbestos contracting" (Abbr: ASB) means the
service that provides for the installation, removal, or encapsulation of
asbestos containing materials annexed to real property. No other classification
or specialty service provides for this function.
"Asphalt paving and sealcoating contracting" (Abbr:
PAV) means the service that provides for the installation of asphalt paving or
sealcoating, or both, on subdivision streets and adjacent intersections,
driveways, parking lots, tennis courts, running tracks, and play areas, using
materials and accessories common to the industry. This includes height
adjustment of existing sewer manholes, storm drains, water valves, sewer cleanouts
and drain grates, and all necessary excavation and grading. The H/H
classification also provides for this function.
"Billboard/sign contracting" (Abbr: BSC) means the
service that provides for the installation, repair, improvement, or dismantling
of any billboard or structural sign permanently annexed to real property. H/H
and CBC are the only other classifications that can perform this work
except that a contractor in this specialty may connect or disconnect signs to
existing electrical circuits. No trade related plumbing, electrical, or HVAC
work is included in this function.
"Blast/explosive contracting" (Abbr: BEC) means the
service that provides for the use of explosive charges for the repair,
improvement, alteration, or demolition of any real property or any structure
annexed to real property.
"Commercial improvement contracting" (Abbr: CIC)
means the service that provides for repair or improvement to structures not
defined as dwellings and townhouses in the USBC. The CBC classification also
provides for this function. The CIC specialty does not provide for the
construction of new buildings, accessory buildings, electrical, plumbing, HVAC,
or gas work.
"Concrete contracting" (Abbr: CEM) means the
service that provides for all work in connection with the processing,
proportioning, batching, mixing, conveying, and placing of concrete composed of
materials common to the concrete industry. This includes but is not limited
to finishing, coloring, curing, repairing, testing, sawing, grinding,
grouting, placing of film barriers, sealing, and waterproofing. Construction
and assembling of forms, molds, slipforms, and pans, centering, and the use of
rebar are also included. The CBC, RBC, and H/H classifications also provide for
this function.
"Drug lab remediation contracting" (Abbr: DLR)
means the service that provides for the cleanup, treatment, containment, or
removal of hazardous substances at or in a property formerly used to
manufacture methamphetamine or other drugs and may include demolition or
disposal of structures or other property. No other classification or specialty
provides for this function.
"Drywall contracting" (Abbr: DRY) means the service
that provides for the installation, taping, and finishing of drywall, panels
and assemblies of gypsum wallboard, sheathing, and cementitious board and the
installation of studs made of sheet metal for the framing of ceilings and
nonstructural partitioning. The CBC and RBC classifications and HIC and CIC
specialties also provide for this function.
"Electronic/communication service contracting"
(Abbr: ESC) means the service that provides for the installation, repair,
improvement, or removal of electronic or communications systems annexed to real
property including telephone wiring, computer cabling, sound systems, data
links, data and network installation, television and cable TV wiring, antenna
wiring, and fiber optics installation, all of which operate at 50 volts or
less. A firm holding an ESC license is responsible for meeting all applicable
tradesman licensure standards. The ELE classification also provides for this
function.
"Elevator/escalator contracting" (Abbr: EEC) means
the service that provides for the installation, repair, improvement, or removal
of elevators or escalators permanently annexed to real property. A firm holding
an EEC license is responsible for meeting all applicable individual license and
certification regulations. No other classification or specialty service
provides for this function.
"Environmental monitoring well contracting" (Abbr:
EMW) means the service that provides for the construction of a well to monitor
hazardous substances in the ground.
"Environmental specialties contracting" (Abbr: ENV)
means the service that provides for installation, repair, removal, or
improvement of pollution control and remediation devices. No other specialty
provides for this function. This specialty does not provide for electrical,
plumbing, gas fitting, or HVAC functions.
"Equipment/machinery contracting" (Abbr: EMC) means
the service that provides for the installation or removal of equipment or
machinery including but not limited to conveyors or heavy machinery.
Boilers exempted by the Virginia Uniform Statewide Building Code (13VAC5-63)
but regulated by the Department of Labor and Industry are also included in this
specialty. This specialty does not provide for any electrical, plumbing,
process piping, or HVAC functions.
"Farm improvement contracting" (Abbr: FIC) means
the service that provides for the installation, repair, or improvement of a
nonresidential farm building or structure, or nonresidential farm accessory-use
structure, or additions thereto. The CBC classification also provides for this
function. The FIC specialty does not provide for any electrical, plumbing,
HVAC, or gas fitting functions.
"Finish carpentry contracting" (Abbr: FIN) means
the service that provides for the installation, repair, and finishing of
cabinets, sash casing, door casing, wooden flooring, baseboards, countertops,
and other millwork. Finish carpentry does not include the installation of
ceramic tile, marble, and artificial or cultured stone. The CBC and RBC
classifications and HIC and CIC specialties also provide for this function.
"Fire alarm systems contracting" (Abbr: FAS) means
the service that provides for the installation, repair, or improvement of fire
alarm systems that operate at 50 volts or less. The ELE classification also
provides for this function. A firm with an FAS license is responsible for
meeting all applicable tradesman licensure standards.
"Fire sprinkler contracting" (Abbr: SPR) means the
service that provides for the installation, repair, alteration, addition,
testing, maintenance, inspection, improvement, or removal of sprinkler systems
using water as a means of fire suppression when annexed to real property. This
specialty does not provide for the installation, repair, or maintenance of
other types of fire suppression systems. The PLB classification allows for the
installation of systems permitted to be designed in accordance with the
plumbing provisions of the USBC. This specialty may engage in the installation
of backflow prevention devices in the fire sprinkler supply main and incidental
to the sprinkler system installation when the installer has received formal
vocational training approved by the board that included instruction in the
installation of backflow prevention devices.
"Fire suppression contracting" (Abbr: FSP) means
the service that provides for the installation, repair, improvement, or removal
of fire suppression systems including but not limited to halon and other
gas systems, dry chemical systems, and carbon dioxide systems annexed to real property.
No other classification provides for this function. The FSP specialty does not
provide for the installation, repair, or maintenance of water sprinkler
systems.
"Flooring and floor covering contracting" (Abbr:
FLR) means the service that provides for the installation, repair, improvement,
or removal of materials that are common in the flooring industry. This includes,
but is not limited to, wood and wood composite flooring, tack strips or
other products used to secure carpet, vinyl and linoleum, ceramic, marble,
stone, and all other types of tile, and includes the installation or
replacement of subflooring, leveling products, or other materials necessary to
facilitate the installation of the flooring or floor covering. This does not
include the installation, repair, or removal of floor joists or other
structural components of the flooring system. The CBC and RBC classifications
and HIC and CIC specialties also provide for this function.
"Framing subcontractor" (Abbr: FRM) means the
service which, while serving in the role of a subcontractor to a licensed prime
contractor, provides for the construction, removal, repair, or improvement to
any framing or rough carpentry necessary for the construction of framed
structures, including the installation and repair of individual components of
framing systems. The CBC and RBC classifications and HIC and CIC specialties
also provide for this function.
"Gas fitting contracting" (Abbr: GFC) means the
service that provides for the installation, repair, improvement, or removal of
gas piping and appliances annexed to real property. A firm holding a GFC
license is responsible for meeting all applicable individual (tradesman)
licensure regulations.
"Glass and glazing contracting" (Abbr: GLZ) means
the service that provides for the installation, assembly, repair, improvement,
or removal of all makes and kinds of glass, glass work, mirrored glass, and
glass substitute for glazing; executes the fabrication and glazing of frames,
panels, sashes and doors; or installs these items in any structure. This
specialty includes the installation of standard methods of weatherproofing,
caulking, glazing, sealants, and adhesives. The CBC and RBC classifications and
HIC and CIC specialties also provide for this function.
"Home improvement contracting" (Abbr: HIC) means
the service that provides for repairs or improvements to dwellings and
townhouses as defined in the USBC or structures annexed to those dwellings or
townhouses as defined in the USBC. The RBC classification also provides for
this function. The HIC specialty does not provide for electrical, plumbing,
HVAC, or gas fitting functions. It does not include new construction functions
beyond the existing building structure other than decks, patios, driveways, and
utility out buildings that do not require a permit per the USBC.
"Industrialized building contracting" (Abbr: IBC)
means the service that provides for the installation or removal of an
industrialized building as defined in the Virginia Industrialized Building
Safety Regulations (13VAC5-91). This classification covers foundation work in
accordance with the provisions of the Virginia Uniform Statewide Building Code
(13VAC5-63) and allows the licensee to complete internal tie-ins of plumbing,
gas, electrical, and HVAC systems. It does not allow for installing additional
plumbing, gas, electrical, or HVAC work such as installing the service meter,
or installing the outside compressor for the HVAC system. The CBC and RBC
classifications also provide for this function.
"Insulation and weather stripping contracting"
(Abbr: INS) means the service that provides for the installation, repair,
improvement, or removal of materials classified as insulating media used for
the sole purpose of temperature control or sound control of residential and
commercial buildings. It does not include the insulation of mechanical
equipment and ancillary lines and piping. The CBC and RBC classifications and
HIC and CIC specialties also provide for this function.
"Landscape irrigation contracting" (Abbr: ISC)
means the service that provides for the installation, repair, improvement, or
removal of irrigation sprinkler systems or outdoor sprinkler systems. The PLB
and H/H classifications also provide for this function. This specialty may
install backflow prevention devices incidental to work in this specialty when
the installer has received formal vocational training approved by the board
that included instruction in the installation of backflow prevention devices.
"Landscape service contracting" (Abbr: LSC) means
the service that provides for the alteration or improvement of a land area not
related to any other classification or service activity by means of excavation,
clearing, grading, construction of retaining walls for landscaping purposes, or
placement of landscaping timbers. This specialty may remove stumps and roots
below grade. The CBC, RBC, and H/H classifications also provide for this
function.
"Lead abatement contracting" (Abbr: LAC) means the
service that provides for the removal or encapsulation of lead-containing
materials annexed to real property. No other classification or specialty
service provides for this function, except that the PLB and HVA classifications
may provide this service incidental to work in those classifications.
"Liquefied petroleum gas contracting" (Abbr: LPG)
means the service that includes the installation, maintenance, extension,
alteration, or removal of all piping, fixtures, appliances, and appurtenances
used in transporting, storing, or utilizing liquefied petroleum gas. This
excludes hot water heaters, boilers, and central heating systems that require
an HVA or PLB license. The GFC specialty also provides for this function. A
firm holding an LPG license is responsible for meeting all applicable
individual license and certification regulations.
"Manufactured home contracting" (Abbr: MHC) means
the service that provides for the installation or removal of a manufactured
home as defined in the Virginia Manufactured Home Safety Regulations
(13VAC5-95). This classification does not cover foundation work; however, it
does allow installation of piers covered under HUD regulations. It does allow a
licensee to do internal tie-ins of plumbing, gas, electrical, or HVAC
equipment. It does not allow for installing additional plumbing, gas,
electrical, or HVAC work such as installing the service meter or installing the
outside compressor for the HVAC system. No other specialty provides for this
function.
"Marine facility contracting" (Abbr: MCC) means the
service that provides for the construction, repair, improvement, or removal of
any structure the purpose of which is to provide access to, impede, or alter a
body of surface water. The CBC and H/H classifications also provide for this
function. The MCC specialty does not provide for the construction of accessory
structures or electrical, HVAC, or plumbing functions.
"Masonry contracting" (Abbr: BRK) means the service
that includes the installation of brick, concrete block, stone, marble, slate,
or other units and products common to the masonry industry, including
mortarless type masonry products. This includes installation of grout,
caulking, tuck pointing, sand blasting, mortar washing, parging, and cleaning
and welding of reinforcement steel related to masonry construction. The CBC and
RBC classifications and the HIC and CIC specialties also provide for this
function.
"Natural gas fitting provider contracting" (Abbr:
NGF) means the service that provides for the incidental repair, testing, or
removal of natural gas piping or fitting annexed to real property. This does
not include new installation of gas piping for hot water heaters, boilers,
central heating systems, or other natural gas equipment that requires an HVA or
PLB license. The GFC specialty also provides for this function. A firm holding
an NGF license is responsible for meeting all applicable individual license and
certification regulations.
"Painting and wallcovering contracting" (Abbr: PTC)
means the service that provides for the application of materials common to the
painting and decorating industry for protective or decorative purposes, the
installation of surface coverings such as vinyls, wall papers, and cloth
fabrics. This includes surface preparation, caulking, sanding, and cleaning
preparatory to painting or coverings and includes both interior and exterior
surfaces. The CBC and RBC classifications and the HIC and CIC specialties also
provide for this function.
"Radon mitigation contracting" (Abbr: RMC) means
the service that provides for additions, repairs or improvements to buildings
or structures, for the purpose of mitigating or preventing the effects of radon
gas. No electrical, plumbing, gas fitting, or HVAC functions are provided by
this specialty.
"Recreational facility contracting" (Abbr: RFC)
means the service that provides for the construction, repair, or improvement of
any recreational facility, excluding paving and the construction of buildings,
plumbing, electrical, and HVAC functions. The CBC classification also provides
for this function.
"Refrigeration contracting" (Abbr: REF) means the
service that provides for installation, repair, or removal of any refrigeration
equipment (excluding HVAC equipment). No electrical, plumbing, gas fitting, or
HVAC functions are provided by this specialty. This specialty is intended for
those contractors who repair or install coolers, refrigerated casework,
ice-making machines, drinking fountains, cold room equipment, and similar
hermetic refrigeration equipment. The HVA classification also provides for this
function.
"Roofing contracting" (Abbr: ROC) means the service
that provides for the installation, repair, removal, or improvement of
materials common to the industry that form a watertight, weather resistant
surface for roofs and decks. This includes roofing system components when
installed in conjunction with a roofing project, application of dampproofing or
waterproofing, and installation of roof insulation panels and other roof
insulation systems above roof deck. The CBC and RBC classifications and the HIC
and CIC specialties also provide for this function.
"Sewage disposal systems contracting" (Abbr: SDS)
means the service that provides for the installation, repair, improvement, or
removal of septic tanks, septic systems, and other onsite sewage disposal
systems annexed to real property.
"Steel erection contracting" (Abbr: STL) means the
service that provides for the fabrication and erection of structural steel
shapes and plates, regardless of shape or size, to be used as structural
members, or tanks, including any related riveting, welding, and rigging. This
specialty includes the fabrication, placement and tying of steel reinforcing
bars (rods), and post-tensioning to reinforce concrete buildings and
structures. The CBC and RBC classifications and HIC and CIC specialties also
provide for this function.
"Swimming pool construction contracting" (Abbr:
POL) means the service that provides for the construction, repair, improvement,
or removal of in-ground swimming pools. The CBC and RBC classifications and the
RFC specialty also provide for this function. No trade related plumbing,
electrical, backflow, or HVAC work is included in this specialty.
"Tile, marble, ceramic, and terrazzo contracting"
(Abbr: TMC) means the service that provides for the preparation, fabrication,
construction, and installation of artificial marble, burned clay tile, ceramic,
terrazzo, encaustic, faience, quarry, semi-vitreous, cementitious board, and
other tile, excluding hollow or structural partition tile. The CBC and RBC
classifications and HIC and CIC specialties also provide for this function.
"Underground utility and excavating contracting"
(Abbr UUC) means the service that provides for the construction, repair,
improvement, or removal of main sanitary sewer collection systems, main water
distribution systems, storm sewer collection systems, and the continuation of utility
lines from the main systems to a point of termination up to and including the
meter location for the individual occupancy, sewer collection systems at
property line, or residential or single-occupancy commercial properties, or on
multi-occupancy properties at manhole or wye lateral extend to an invert
elevation as engineered to accommodate future building sewers, water
distribution systems, or storm sewer collection systems at storm sewer
structures. This specialty may install empty underground conduits in rights-of
way, easements, platted rights-of-way in new site development, and sleeves for
parking lot crossings if each conduit system does not include installation of
any conductor wiring or connection to an energized electrical system. The H/H
classification also provides for this function.
"Vessel construction contracting" (Abbr: VCC) means
the service that provides for the construction, repair, improvement, or removal
of nonresidential vessels, tanks, or piping that hold or convey fluids other
than sanitary, storm, waste, or potable water supplies. The H/H classification
also provides for this function.
"Water well/pump contracting" (Abbr: WWP) means the
service that provides for the installation of a water well system, including
geothermal wells, which includes construction of a water well to reach
groundwater, as defined in § 62.1-255 of the Code of Virginia, and the
installation of the well pump and tank, including pipe and wire, up to and
including the point of connection to the plumbing and electrical systems. No
other classification or specialty service provides for construction of water
wells. This regulation shall not exclude the PLB, ELE, or HVA classification
from installation of pumps and tanks.
Note: Specialty contractors engaging in construction that
involves the following activities or items or similar activities or items may
fall under the CIC, HIC, and FIC specialty services, or they may fall under the
CBC or RBC classification.
Appliances
|
Fences
|
Railings
|
Awnings
|
Fiberglass
|
Rigging
|
Blinds
|
Fireplaces
|
Rubber linings
|
Bulkheads
|
Fireproofing
|
Sandblasting
|
Carpeting
|
Fixtures
|
Scaffolding
|
Ceilings
|
Grouting
|
Screens
|
Chimneys
|
Guttering
|
Shutters
|
Chutes
|
Interior decorating
|
Siding
|
Curtains
|
Lubrication
|
Skylights
|
Curtain walls
|
Metal work
|
Storage bins and lockers
|
Decks
|
Millwrighting
|
Stucco
|
Doors
|
Mirrors
|
Vaults
|
Drapes
|
Miscellaneous iron
|
Wall panels
|
Epoxy
|
Ornamental iron
|
Waterproofing
|
Exterior decoration
|
Partitions
|
Windows
|
Facings
|
Protective coatings
|
|
Part II
Entry
18VAC50-22-40. Requirements for a Class C license.
A. A firm applying for a Class C license must meet the
requirements of this section.
B. For every classification or specialty in which the firm
seeks to be licensed, the firm shall name a qualified individual who meets the
following requirements:
1. Is at least 18 years old;
2. Has a minimum of two years experience in the classification
or specialty for which he is the qualifier;
3. Is a full-time employee of the firm as defined in this
chapter or is a member of the responsible management of the firm; and
4. a. Has obtained the appropriate certification for the
following specialties:
(1) Blast/explosive contracting (Department of Fire
Programs explosive use certification),
(2) Fire sprinkler (NICET Sprinkler III certification),
and
(3) Radon mitigation (EPA or DEQ accepted radon
certification).
b. Has obtained, pursuant to the Individual Licensing and
Certification Regulations, a master license for Plumbing, HVAC, Electrical, Gas
Fitting, Natural Gas Fitting Provider, and Liquefied Petroleum Gas Contracting.
c. Has completed, for the drug lab remediation specialty, a
remediation course approved by the board and a board-approved examination.
c. d. Has obtained, pursuant to the Individual
Licensing and Certification Regulations, certification as an Elevator Mechanic
for Elevator Escalator Contracting and certification as a Water Well Systems
Provider for Water Well/Pump Contracting.
d. e. Has completed a board-approved examination
for all other classifications and specialties that do not require other
certification or licensure.
C. The firm shall provide information for the past five years
prior to application on any outstanding, past-due debts and judgments;
outstanding tax obligations; defaults on bonds; or pending or past
bankruptcies. The firm and all members of the responsible management of the
firm shall submit information on any past-due debts and judgments or defaults
on bonds directly related to the practice of contracting as defined in Chapter
11 (§ 54.1-1100 et seq.) of Title 54.1 of the Code of Virginia.
D. The firm and all members of the responsible management of
the firm shall disclose at the time of application any current or previous
contractor licenses held in Virginia or in other jurisdictions and any
disciplinary actions taken on these licenses. This includes but is not
limited to any monetary penalties, fines, suspensions, revocations,
surrender of a license in connection with a disciplinary action, or voluntary
termination of a license in Virginia or in any other jurisdiction.
E. In accordance with § 54.1-204 of the Code of Virginia, all
applicants shall disclose the following information about the firm, all members
of the responsible management, and the qualified individual or individuals for
the firm:
1. All misdemeanor convictions within three years of the date
of application; and
2. All felony convictions during their lifetimes.
Any plea of nolo contendere shall be considered a conviction
for purposes of this subsection. The record of a conviction received from a
court shall be accepted as prima facie evidence of a conviction or finding of
guilt. The board, in its discretion, may deny licensure to any applicant in
accordance with § 54.1-204 of the Code of Virginia.
F. A member of responsible management shall have successfully
completed a board-approved basic business course.
18VAC50-22-50. Requirements for a Class B license.
A. A firm applying for a Class B license must meet the
requirements of this section.
B. A firm shall name a designated employee who meets the
following requirements:
1. Is at least 18 years old;
2. Is a full-time employee of the firm as defined in this
chapter, or is a member of responsible management as defined in this chapter;
3. Has passed a board-approved examination as required by § 54.1-1108
of the Code of Virginia or has been exempted from the exam requirement in
accordance with § 54.1-1108.1 of the Code of Virginia; and
4. Has followed all rules established by the board or by the
testing service acting on behalf of the board with regard to conduct at the
examination. Such rules shall include any written instructions communicated
prior to the examination date and any oral or written instructions given at the
site on the date of the exam.
C. For every classification or specialty in which the firm
seeks to be licensed, the firm shall name a qualified individual who meets the
following requirements:
1. Is at least 18 years old;
2. Has a minimum of three years experience in the
classification or specialty for which he is the qualifier;
3. Is a full-time employee of the firm as defined in this
chapter or is a member of the responsible management of the firm;
4. a. Has obtained the appropriate certification for the
following specialties:
(1) Blast/explosive contracting (Department of Fire
Programs explosive use certification),
(2) Fire sprinkler (NICET Sprinkler III certification),
and
(3) Radon mitigation (EPA or DEQ accepted radon
certification).
b. Has obtained, pursuant to the Individual Licensing and
Certification Regulations, a master license for Plumbing, HVAC, Electrical, Gas
Fitting, Natural Gas Fitting Provider, and Liquefied Petroleum Gas Contracting.
c. Has completed, for the drug lab remediation specialty, a
remediation course approved by the board and a board-approved examination.
c. d. Has obtained, pursuant to the Individual
Licensing and Certification Regulations, certification as an Elevator Mechanic
for Elevator Escalator Contracting and certification as a Water Well Systems
Provider for Water Well/Pump Contracting.
d. e. Has completed a board-approved examination
for all other classifications and specialties that do not require other
certification or licensure.
D. Each firm shall submit information on its financial
position. Excluding any property owned as tenants by the entirety, the firm
shall state a net worth or equity of $15,000 or more.
E. Each firm shall provide information for the five years
prior to application on any outstanding, past-due debts and judgments;
outstanding tax obligations; defaults on bonds; or pending or past
bankruptcies. The firm, its designated employee, and all members of the
responsible management of the firm shall submit information on any past-due
debts and judgments or defaults on bonds directly related to the practice of
contracting as defined in Chapter 11 (§ 54.1-1100 et seq.) of Title 54.1 of the
Code of Virginia.
F. The firm, the designated employee, and all members of the
responsible management of the firm shall disclose at the time of application
any current or previous substantial identities of interest with any contractor
licenses issued in Virginia or in other jurisdictions and any disciplinary
actions taken on these licenses. This includes but is not limited to any
monetary penalties, fines, suspension, revocation, or surrender of a license in
connection with a disciplinary action. The board, in its discretion, may deny
licensure to any applicant when any of the parties listed above in
this subsection have had a substantial identity of interest (as deemed in §
54.1-1110 of the Code of Virginia) with any firm that has had a license
suspended, revoked, voluntarily terminated or surrendered in connection with a
disciplinary action in Virginia or any other jurisdiction.
G. In accordance with § 54.1-204 of the Code of Virginia, all
applicants shall disclose the following information about the firm, designated
employee, all members of the responsible management, and the qualified
individual or individuals for the firm:
1. All misdemeanor convictions within three years of the date
of application; and
2. All felony convictions during their lifetimes.
Any plea of nolo contendere shall be considered a conviction
for purposes of this subsection. The record of a conviction received from a
court shall be accepted as prima facie evidence of a conviction or finding of
guilt. The board, in its discretion, may deny licensure to any applicant in
accordance with § 54.1-204 of the Code of Virginia.
H. The designated employee or a member of responsible
management shall have successfully completed a board-approved basic business
course.
18VAC50-22-60. Requirements for a Class A license.
A. A firm applying for a Class A license shall meet all of
the requirements of this section.
B. A firm shall name a designated employee who meets the
following requirements:
1. Is at least 18 years old;
2. Is a full-time employee of the firm as defined in this
chapter or is a member of the responsible management of the firm as defined in
this chapter;
3. Has passed a board-approved examination as required by §
54.1-1106 of the Code of Virginia or has been exempted from the exam
requirement in accordance with § 54.1-1108.1 of the Code of Virginia; and
4. Has followed all rules established by the board or by the
testing service acting on behalf of the board with regard to conduct at the
examination. Such rules shall include any written instructions communicated
prior to the examination date and any oral or written instructions given at the
site on the day of the exam.
C. For every classification or specialty in which the firm
seeks to be licensed, the firm shall name a qualified individual who meets the
following requirements:
1. Is at least 18 years old;
2. Has a minimum of five years of experience in the
classification or specialty for which he is the qualifier;
3. Is a full-time employee of the firm as defined in this
chapter or is a member of the firm as defined in this chapter or is a member of
the responsible management of the firm;
4. a. Has obtained the appropriate certification for the
following specialties:
(1) Blast/explosive contracting (DHCD explosive use
certification),
(2) Fire sprinkler (NICET Sprinkler III certification),
and
(3) Radon mitigation (EPA or DEQ accepted radon
certification).
b. Has obtained, pursuant to the Individual Licensing and
Certification Regulations, a master license for Plumbing, HVAC, Electrical, Gas
Fitting, Natural Gas Fitting Provider, and Liquefied Petroleum Gas Contracting.
c. Has completed, for the drug lab remediation specialty, a
remediation course approved by the board and a board-approved examination.
c. d. Has obtained, pursuant to the Individual
Licensing and Certification Regulations, certification as an Elevator Mechanic
for Elevator Escalator Contracting and certification as a Water Well Systems
Provider for Water Well/Pump Contracting.
d. e. Has completed a board-approved examination
for all other classifications and specialties that do not require other
certification or licensure.
D. Each firm shall submit information on its financial
position. Excluding any property owned as tenants by the entirety, the firm
shall state a net worth or equity of $45,000.
E. The firm shall provide information for the five years
prior to application on any outstanding, past-due debts and judgments;
outstanding tax obligations; defaults on bonds; or pending or past
bankruptcies. The firm, its designated employee, and all members of the
responsible management of the firm shall submit information on any past-due
debts and judgments or defaults on bonds directly related to the practice of
contracting as defined in Chapter 11 (§ 54.1-1100 et seq.) of Title 54.1 of the
Code of Virginia.
F. The firm, the designated employee, and all members of the
responsible management of the firm shall disclose at the time of application
any current or previous substantial identities of interest with any contractor
licenses issued in Virginia or in other jurisdictions and any disciplinary actions
taken on these licenses. This includes but is not limited to, any
monetary penalties, fines, suspensions, revocations, or surrender of a license
in connection with a disciplinary action. The board, in its discretion, may
deny licensure to any applicant when any of the parties listed above in
this subdivision have had a substantial identity of interest (as deemed in
§ 54.1-1110 of the Code of Virginia) with any firm that has had a license
suspended, revoked, voluntarily terminated, or surrendered in connection with a
disciplinary action in Virginia or in any other jurisdiction.
G. In accordance with § 54.1-204 of the Code of Virginia, all
applicants shall disclose the following information about the firm, all members
of the responsible management, the designated employee, and the
qualified individual or individuals for the firm:
1. All misdemeanor convictions within three years of the date
of application; and
2. All felony convictions during their lifetimes.
Any plea of nolo contendere shall be considered a conviction
for purposes of this subsection. The record of a conviction received from a
court shall be accepted as prima facie evidence of a conviction or finding of
guilt. The board, in its discretion, may deny licensure to any applicant in
accordance with § 54.1-204 of the Code of Virginia.
H. The designated employee or a member of responsible
management shall have successfully completed a board-approved basic business
course.
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 which that contains an assertion,
representation, or statement of fact that is false, deceptive, or misleading.
5. Negligence and/or 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 which
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 time frames 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, but not limited to, 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 and/or 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.
VA.R. Doc. No. R16-4674; Filed May 8, 2017, 2:27 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Emergency Regulation
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-220).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-10; adding 18VAC90-40-150
through 18VAC90-40-290).
Statutory Authority: §§ 54.1-2400 and 54.1-2928.2 of the
Code of Virginia.
Effective Dates: May 8, 2017, through November 7, 2018.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email
jay.douglas@dhp.virginia.gov.
Preamble:
The emergency regulations are promulgated to address the
opioid abuse crisis in Virginia. On November 16, 2016, State Health
Commissioner Marissa Levine declared the opioid addiction crisis to be a public
health emergency in Virginia. In a news conference about the opioid crisis,
Governor McAuliffe noted that the declaration would "provide a framework
for further actions to fight it, and to save Virginians' lives." One of
those "further actions" is adoption of emergency regulations by the
Boards of Nursing and Medicine setting out rules for prescribing opioids and
buprenorphine. Section 2.2-4011 of the Code of Virginia authorizes an agency to
adopt emergency regulations when they "are necessitated by an emergency
situation." The declaration by Commissioner Levine is indeed evidence that
such an emergency situation exists in the Commonwealth. In addition, Chapter
291 of the 2017 Acts of Assembly, effective March 3, 2017, requires the
adoption of regulations for the prescribing of opioids and products containing
buprenorphine.
Regulations for the management of acute pain include
requirements for the evaluation of the patient, limitations on quantity and
dosage, and medical recordkeeping. Regulations for management of chronic pain
include requirements for evaluation and treatment, including a treatment plan,
informed consent and agreement, consultation with other providers, and medical
recordkeeping. Regulations for prescribing of buprenorphine include
requirements for patient assessment and treatment planning, limitations on
prescribing the buprenorphine mono-product (without naloxone), dosages,
co-prescribing of other drugs, consultation, and medical records for opioid
addiction treatment.
Additionally, the emergency action adds several defined
terms, including "acute pain" and "chronic pain," and
additional grounds for unprofessional conduct relating to confidentiality.
Part IV
Disciplinary Provisions
18VAC90-30-220. Grounds for disciplinary action against the
license of a licensed nurse practitioner.
The boards may deny licensure or relicensure, revoke or
suspend the license, or take other disciplinary action upon proof that the
nurse practitioner:
1. Has had a license or multistate privilege to practice
nursing in this Commonwealth or in another jurisdiction revoked or suspended or
otherwise disciplined;
2. Has directly or indirectly represented to the public that
the nurse practitioner is a physician, or is able to, or will practice
independently of a physician;
3. Has exceeded the authority as a licensed nurse
practitioner;
4. Has violated or cooperated in the violation of the laws or
regulations governing the practice of medicine, nursing or nurse practitioners;
5. Has become unable to practice with reasonable skill and
safety to patients as the result of a physical or mental illness or the
excessive use of alcohol, drugs, narcotics, chemicals or any other type of
material;
6. Has violated or cooperated with others in violating or
attempting to violate any law or regulation, state or federal, relating to the
possession, use, dispensing, administration or distribution of drugs; or
7. Has failed to comply with continuing competency
requirements as set forth in 18VAC90-30-105;
8. Has willfully or negligently breached the
confidentiality between a practitioner and a patient. A breach of
confidentiality that is required or permitted by applicable law or beyond the
control of the practitioner shall not be considered negligent or willful; or
9. Has engaged in unauthorized use or disclosure of
confidential information received from the Prescription Monitoring Program, the
electronic system within the Department of Health Professions that monitors the
dispensing of certain controlled substances.
Part I
General Provisions
18VAC90-40-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings, unless the context clearly indicates otherwise:
"Acute pain" means pain that occurs within the
normal course of a disease or condition or as the result of surgery for which
controlled substances containing an opioid may be prescribed for no more than
three months.
"Boards" means the Virginia Board of Medicine and
the Virginia Board of Nursing.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Chronic pain" means nonmalignant pain that goes
beyond the normal course of a disease or condition for which controlled
substances containing an opioid may be prescribed for a period greater than
three months.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"FDA" means the U.S. Food and Drug
Administration.
"MME" means morphine milligram equivalent.
"Nonprofit health care clinics or programs" means a
clinic organized in whole or in part for the delivery of health care services
without charge or when a reasonable minimum fee is charged only to cover
administrative costs.
"Nurse practitioner" means an advanced practice
registered nurse who has met the requirements for licensure as a nurse
practitioner as stated in 18VAC90-30.
"Practice agreement" means a written or electronic
agreement jointly developed by the patient care team physician and the nurse
practitioner for the practice of the nurse practitioner that also describes the
prescriptive authority of the nurse practitioner, if applicable. For a nurse
practitioner licensed in the category of certified nurse midwife, the practice
agreement is a statement jointly developed with the consulting physician.
"Prescription Monitoring Program" means the
electronic system within the Department of Health Professions that monitors the
dispensing of certain controlled substances.
"SAMHSA" means the federal Substance Abuse and
Mental Health Services Administration.
Part V
Management of Acute Pain
18VAC90-40-150. Evaluation of the patient for acute pain.
A. The requirements of this part shall not apply to:
1. The treatment of acute pain related to (i) cancer, (ii)
a patient in hospice care, or (iii) a patient in palliative care;
2. The treatment of acute pain during an inpatient hospital
admission or in a nursing home or an assisted living facility that uses a sole
source pharmacy; or
3. A patient enrolled in a clinical trial as authorized by
state or federal law.
B. Nonpharmacologic and non-opioid treatment for pain
shall be given consideration prior to treatment with opioids. If an opioid is
considered necessary for the treatment of acute pain, the practitioner shall
give a short-acting opioid in the lowest effective dose for the fewest possible
days.
C. Prior to initiating treatment with a controlled
substance containing an opioid for a complaint of acute pain, the prescriber
shall perform a history and physical examination appropriate to the complaint,
query the Prescription Monitoring Program as set forth in § 54.1-2522.1 of
the Code of Virginia, and conduct an assessment of the patient's history and
risk of substance abuse as a part of the initial evaluation.
18VAC90-40-160. Treatment of acute pain with opioids.
A. Initiation of opioid treatment for patients with acute
pain shall be with short-acting opioids.
1. A prescriber providing treatment for a patient with
acute pain shall not prescribe a controlled substance containing an opioid in a
quantity that exceeds a seven-day supply as determined by the manufacturer's
directions for use, unless extenuating circumstances are clearly documented in
the medical record. This shall also apply to prescriptions of a controlled
substance containing an opioid upon discharge from an emergency department.
2. An opioid prescribed as part of treatment for a surgical
procedure shall be for no more than 14 consecutive days in accordance with
manufacturer's direction and within the immediate perioperative period, unless
extenuating circumstances are clearly documented in the medical record.
B. Initiation of opioid treatment for all patients shall
include the following:
1. The practitioner shall carefully consider and document
in the medical record the reasons to exceed 50 MME/day.
2. Prior to exceeding 120 MME/day, the practitioner shall
document in the medical record the reasonable justification for such doses or
refer to or consult with a pain management specialist.
3. Naloxone shall be prescribed for any patient when risk
factors of prior overdose, substance abuse, doses in excess of 120 MME/day, or
concomitant benzodiazepine are present.
C. Due to a higher risk of fatal overdose when opioids are
used with benzodiazepines, sedative hypnotics, carisoprodol, and tramadol, the
prescriber shall only co-prescribe these substances when there are extenuating
circumstances and shall document in the medical record a tapering plan to
achieve the lowest possible effective doses if these medications are
prescribed.
D. Buprenorphine is not indicated for acute pain in the
outpatient setting, except when a prescriber who has obtained a SAMHSA
waiver is treating pain in a patient whose primary diagnosis is the disease
of addiction.
18VAC90-40-170. Medical records for acute pain.
The medical record shall include a description of the
pain, a presumptive diagnosis for the origin of the pain, an examination
appropriate to the complaint, a treatment plan and the medication prescribed or
administered to include the date, type, dosage, and quantity prescribed or
administered.
Part VI
Management of Chronic Pain
18VAC90-40-180. Evaluation of the chronic pain patient.
A. The requirements of this part shall not apply to:
1. The treatment of chronic pain related to (i) cancer,
(ii) a patient in hospice care, or (iii) a patient in palliative care;
2. The treatment of chronic pain during an inpatient
hospital admission or in a nursing home or an assisted living facility that
uses a sole source pharmacy; or
3. A patient enrolled in a clinical trial as authorized by
state or federal law.
B. Prior to initiating management of chronic pain with a
controlled substance containing an opioid, a medical history and physical
examination, to include a mental status examination, shall be performed and
documented in the medical record, including:
1. The nature and intensity of the pain;
2. Current and past treatments for pain;
3. Underlying or coexisting diseases or conditions;
4. The effect of the pain on physical and psychological
function, quality of life, and activities of daily living;
5. Psychiatric, addiction, and substance abuse histories of
the patient and any family history of addiction or substance abuse;
6. A urine drug screen or serum medication level;
7. A query of the Prescription Monitoring Program as set
forth in § 54.1-2522.1 of the Code of Virginia;
8. An assessment of the patient's history and risk of
substance abuse; and
9. A request for prior applicable records.
C. Prior to initiating opioid analgesia for chronic pain,
the practitioner shall discuss with the patient the known risks and benefits of
opioid therapy and the responsibilities of the patient during treatment to
include securely storing the drug and properly disposing of any unwanted or
unused drugs. The practitioner shall also discuss with the patient an exit
strategy for the discontinuation of opioids in the event they are not
effective.
18VAC90-40-190. Treatment of chronic pain with opioids.
A. Nonpharmacologic and non-opioid treatment for pain
shall be given consideration prior to treatment with opioids.
B. In initiating opioid treatment for all patients, the
practitioner shall:
1. Carefully consider and document in the medical record
the reasons to exceed 50 MME/day;
2. Prior to exceeding 120 MME/day, the practitioner shall
document in the medical record the reasonable justification for such doses or
refer to or consult with a pain management specialist;
3. Prescribe naloxone for any patient when risk factors of
prior overdose, substance abuse, doses in excess of 120 MME/day, or concomitant
benzodiazepine are present; and
4. Document the rationale to continue opioid therapy every
three months.
C. Buprenorphine may be prescribed or administered for
chronic pain in formulation and dosages that are FDA-approved for that purpose.
D. Due to a higher risk of fatal overdose when opioids,
including buprenorphine, are given with other opioids, benzodiazepines,
sedative hypnotics, carisoprodol, and tramadol, the prescriber shall only
co-prescribe these substances when there are extenuating circumstances and
shall document in the medical record a tapering plan to achieve the lowest
possible effective doses if these medications are prescribed.
E. The practitioner shall regularly evaluate for opioid
use disorder and shall initiate specific treatment for opioid use disorder, consult
with an appropriate health care provider, or refer the patient for evaluation
for treatment if indicated.
18VAC90-40-200. Treatment plan for chronic pain.
A. The medical record shall include a treatment plan that
states measures to be used to determine progress in treatment, including pain
relief and improved physical and psychosocial function, quality of life, and
daily activities.
B. The treatment plan shall include further diagnostic
evaluations and other treatment modalities or rehabilitation that may be
necessary depending on the etiology of the pain and the extent to which the
pain is associated with physical and psychosocial impairment.
C. The prescriber shall record in the medical records the
presence or absence of any indicators for medication misuse, abuse, or
diversion and take appropriate action.
18VAC90-40-210. Informed consent and agreement for treatment
of chronic pain.
A. The practitioner shall document in the medical record
informed consent, to include risks, benefits, and alternative approaches, prior
to the initiation of opioids for chronic pain.
B. There shall be a written treatment agreement, signed by
the patient, in the medical record that addresses the parameters of treatment,
including those behaviors that will result in referral to a higher level of
care, cessation of treatment, or dismissal from care.
C. The treatment agreement shall include notice that the
practitioner will query and receive reports from the Prescription Monitoring
Program and permission for the practitioner to:
1. Obtain urine drug screen or serum medication levels,
when requested; and
2. Consult with other prescribers or dispensing pharmacists
for the patient.
D. Expected outcomes shall be documented in the medical
record including improvement in pain relief and function or simply in pain
relief. Limitations and side effects of chronic opioid therapy shall be
documented in the medical record.
18VAC90-40-220. Opioid therapy for chronic pain.
A. The practitioner shall review the course of pain
treatment and any new information about the etiology of the pain or the
patient's state of health at least every three months.
B. Continuation of treatment with opioids shall be
supported by documentation of continued benefit from the prescribing. If the
patient's progress is unsatisfactory, the practitioner shall assess the
appropriateness of continued use of the current treatment plan and consider the
use of other therapeutic modalities.
C. Practitioners shall check the Prescription Monitoring
Program at least every three months after the initiation of treatment.
D. The practitioner shall order and review a urine drug
screen or serum medication levels at the initiation of chronic pain management
and at least every three months for the first year of treatment and at least
every six months thereafter.
E. The practitioner shall regularly evaluate for opioid
use disorder and shall initiate specific treatment for opioid use disorder,
consult with an appropriate health care provider, or refer the patient for
evaluation for treatment if indicated.
18VAC90-40-230. Additional consultation.
A. When necessary to achieve treatment goals, the
prescriber shall refer the patient for additional evaluation and treatment.
B. When a practitioner makes the diagnosis of opioid use
disorder, treatment for opioid use disorder shall be initiated or the patient
shall be referred for evaluation and treatment.
18VAC90-40-240. Medical records.
The prescriber shall keep current, accurate, and complete
records in an accessible manner and readily available for review to include:
1. The medical history and physical examination;
2. Past medical history;
3. Applicable records from prior treatment providers or any
documentation of attempts to obtain those records;
4. Diagnostic, therapeutic, and laboratory results;
5. Evaluations and consultations;
6. Treatment goals;
7. Discussion of risks and benefits;
8. Informed consent and agreement for treatment;
9. Treatments;
10. Medications (including date, type, dosage and quantity
prescribed, and refills);
11. Patient instructions; and
12. Periodic reviews.
Part VII
Prescribing of Buprenorphine
18VAC90-40-250. General provisions.
A. Practitioners engaged in office-based opioid addiction
treatment with buprenorphine shall have obtained a waiver from SAMHSA and the
appropriate U.S. Drug Enforcement Administration registration.
B. Practitioners shall abide by all federal and state laws
and regulations governing the prescribing of buprenorphine for the treatment of
opioid use disorder.
C. Nurse practitioners who have obtained a SAMHSA waiver
shall only prescribe buprenorphine for opioid addiction pursuant to a practice
agreement with a SAMHSA-waivered doctor of medicine or doctor of osteopathic
medicine.
D. Practitioners engaged in medication-assisted treatment
shall either provide counseling in their practice or refer the patient to a mental
health service provider, as defined in § 54.1-2400.1 of the Code of
Virginia, who has the education and experience to provide substance abuse
counseling. The practitioner shall document provision of counseling or referral
in the medical record.
18VAC90-40-260. Patient assessment and treatment planning.
A. A practitioner shall perform and document an assessment
that includes a comprehensive medical and psychiatric history, substance abuse
history, family history and psychosocial supports, appropriate physical
examination, urine drug screen, pregnancy test for women of childbearing age
and ability, a check of the Prescription Monitoring Program, and, when
clinically indicated, infectious disease testing for human immunodeficiency
virus, hepatitis B, hepatitis C, and tuberculosis.
B. The treatment plan shall include the practitioner's
rationale for selecting medication assisted treatment, patient education,
written informed consent, how counseling will be accomplished, and a signed
treatment agreement that outlines the responsibilities of the patient and the
practitioner.
18VAC90-40-270. Treatment with buprenorphine.
A. Buprenorphine without naloxone (buprenorphine
mono-product) shall not be prescribed except:
1. When a patient is pregnant;
2. When converting a patient from methadone or
buprenorphine mono-product to buprenorphine containing naloxone for a period
not to exceed seven days; or
3. In formulations other than tablet form for indications
approved by the FDA.
B. Buprenorphine mono-product tablets may be administered
directly to patients in federally licensed opiate treatment programs. With the
exception of those conditions listed in subsection A of this section, only the
buprenorphine product containing naloxone shall be prescribed or
dispensed for use off site from the program.
C. The evidence for the decision to use buprenorphine
mono-product shall be fully documented in the medical record.
D. Due to a higher risk of fatal overdose when
buprenorphine is prescribed with other opioids, benzodiazepines, sedative
hypnotics, carisoprodol, and tramadol, the prescriber shall only co-prescribe
these substances when there are extenuating circumstances and shall document in
the medical record a tapering plan to achieve the lowest possible effective
doses if these medications are prescribed.
E. Prior to starting medication-assisted treatment, the
practitioner shall perform a check of the Prescription Monitoring Program.
F. During the induction phase, except for medically
indicated circumstances as documented in the medical record, patients should be
started on no more than eight milligrams of buprenorphine per day. The patient
shall be seen by the prescriber at least once a week.
G. During the stabilization phase, the prescriber shall
increase the daily dosage of buprenorphine in safe and effective increments to
achieve the lowest dose that avoids intoxication, withdrawal, or significant
drug craving.
H. Practitioners shall take steps to reduce the chances of
buprenorphine diversion by using the lowest effective dose, appropriate
frequency of office visits, pill counts, and checks of the Prescription
Monitoring Program. The practitioner shall also require urine drug screens or
serum medication levels at least every three months for the first year of
treatment and at least every six months thereafter.
I. Documentation of the rationale for prescribed doses
exceeding 16 milligrams of buprenorphine per day shall be placed in the medical
record. Dosages exceeding 24 milligrams of buprenorphine per day shall not
be prescribed.
J. The practitioner shall incorporate relapse prevention
strategies into counseling or assure that they are addressed by a mental health
service provider, as defined in § 54.1-2400.1 of the Code of Virginia, who
has the education and experience to provide substance abuse counseling.
18VAC90-40-280. Special populations.
A. Pregnant women shall be treated with the buprenorphine
mono-product, usually 16 milligrams per day or less.
B. Patients younger than the age of 16 years shall not be
prescribed buprenorphine for addiction treatment unless such treatment is
approved by the FDA.
C. The progress of patients with chronic pain shall be
assessed by reduction of pain and functional objectives that can be identified,
quantified, and independently verified.
D. Practitioners shall (i) evaluate patients with medical
comorbidities by history, physical exam, and appropriate laboratory studies and
(ii) be aware of interactions of buprenorphine with other prescribed medications.
E. Practitioners shall not undertake buprenorphine
treatment with a patient who has psychiatric comorbidities and is not stable. A
patient who is determined by the practitioner to be psychiatrically unstable
shall be referred for psychiatric evaluation and treatment prior to initiating
medication-assisted treatment.
18VAC90-40-290. Medical records for opioid addiction
treatment.
A. Records shall be timely, accurate, legible, complete,
and readily accessible for review.
B. The treatment agreement and informed consent shall be
maintained in the medical record.
C. Confidentiality requirements of 42 CFR Part 2 shall be
followed.
VA.R. Doc. No. R17-5096; Filed May 1, 2017, 2:23 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Emergency Regulation
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-220).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-10; adding 18VAC90-40-150
through 18VAC90-40-290).
Statutory Authority: §§ 54.1-2400 and 54.1-2928.2 of the
Code of Virginia.
Effective Dates: May 8, 2017, through November 7, 2018.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email
jay.douglas@dhp.virginia.gov.
Preamble:
The emergency regulations are promulgated to address the
opioid abuse crisis in Virginia. On November 16, 2016, State Health
Commissioner Marissa Levine declared the opioid addiction crisis to be a public
health emergency in Virginia. In a news conference about the opioid crisis,
Governor McAuliffe noted that the declaration would "provide a framework
for further actions to fight it, and to save Virginians' lives." One of
those "further actions" is adoption of emergency regulations by the
Boards of Nursing and Medicine setting out rules for prescribing opioids and
buprenorphine. Section 2.2-4011 of the Code of Virginia authorizes an agency to
adopt emergency regulations when they "are necessitated by an emergency
situation." The declaration by Commissioner Levine is indeed evidence that
such an emergency situation exists in the Commonwealth. In addition, Chapter
291 of the 2017 Acts of Assembly, effective March 3, 2017, requires the
adoption of regulations for the prescribing of opioids and products containing
buprenorphine.
Regulations for the management of acute pain include
requirements for the evaluation of the patient, limitations on quantity and
dosage, and medical recordkeeping. Regulations for management of chronic pain
include requirements for evaluation and treatment, including a treatment plan,
informed consent and agreement, consultation with other providers, and medical
recordkeeping. Regulations for prescribing of buprenorphine include
requirements for patient assessment and treatment planning, limitations on
prescribing the buprenorphine mono-product (without naloxone), dosages,
co-prescribing of other drugs, consultation, and medical records for opioid
addiction treatment.
Additionally, the emergency action adds several defined
terms, including "acute pain" and "chronic pain," and
additional grounds for unprofessional conduct relating to confidentiality.
Part IV
Disciplinary Provisions
18VAC90-30-220. Grounds for disciplinary action against the
license of a licensed nurse practitioner.
The boards may deny licensure or relicensure, revoke or
suspend the license, or take other disciplinary action upon proof that the
nurse practitioner:
1. Has had a license or multistate privilege to practice
nursing in this Commonwealth or in another jurisdiction revoked or suspended or
otherwise disciplined;
2. Has directly or indirectly represented to the public that
the nurse practitioner is a physician, or is able to, or will practice
independently of a physician;
3. Has exceeded the authority as a licensed nurse
practitioner;
4. Has violated or cooperated in the violation of the laws or
regulations governing the practice of medicine, nursing or nurse practitioners;
5. Has become unable to practice with reasonable skill and
safety to patients as the result of a physical or mental illness or the
excessive use of alcohol, drugs, narcotics, chemicals or any other type of
material;
6. Has violated or cooperated with others in violating or
attempting to violate any law or regulation, state or federal, relating to the
possession, use, dispensing, administration or distribution of drugs; or
7. Has failed to comply with continuing competency
requirements as set forth in 18VAC90-30-105;
8. Has willfully or negligently breached the
confidentiality between a practitioner and a patient. A breach of
confidentiality that is required or permitted by applicable law or beyond the
control of the practitioner shall not be considered negligent or willful; or
9. Has engaged in unauthorized use or disclosure of
confidential information received from the Prescription Monitoring Program, the
electronic system within the Department of Health Professions that monitors the
dispensing of certain controlled substances.
Part I
General Provisions
18VAC90-40-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings, unless the context clearly indicates otherwise:
"Acute pain" means pain that occurs within the
normal course of a disease or condition or as the result of surgery for which
controlled substances containing an opioid may be prescribed for no more than
three months.
"Boards" means the Virginia Board of Medicine and
the Virginia Board of Nursing.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Chronic pain" means nonmalignant pain that goes
beyond the normal course of a disease or condition for which controlled
substances containing an opioid may be prescribed for a period greater than
three months.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"FDA" means the U.S. Food and Drug
Administration.
"MME" means morphine milligram equivalent.
"Nonprofit health care clinics or programs" means a
clinic organized in whole or in part for the delivery of health care services
without charge or when a reasonable minimum fee is charged only to cover
administrative costs.
"Nurse practitioner" means an advanced practice
registered nurse who has met the requirements for licensure as a nurse
practitioner as stated in 18VAC90-30.
"Practice agreement" means a written or electronic
agreement jointly developed by the patient care team physician and the nurse
practitioner for the practice of the nurse practitioner that also describes the
prescriptive authority of the nurse practitioner, if applicable. For a nurse
practitioner licensed in the category of certified nurse midwife, the practice
agreement is a statement jointly developed with the consulting physician.
"Prescription Monitoring Program" means the
electronic system within the Department of Health Professions that monitors the
dispensing of certain controlled substances.
"SAMHSA" means the federal Substance Abuse and
Mental Health Services Administration.
Part V
Management of Acute Pain
18VAC90-40-150. Evaluation of the patient for acute pain.
A. The requirements of this part shall not apply to:
1. The treatment of acute pain related to (i) cancer, (ii)
a patient in hospice care, or (iii) a patient in palliative care;
2. The treatment of acute pain during an inpatient hospital
admission or in a nursing home or an assisted living facility that uses a sole
source pharmacy; or
3. A patient enrolled in a clinical trial as authorized by
state or federal law.
B. Nonpharmacologic and non-opioid treatment for pain
shall be given consideration prior to treatment with opioids. If an opioid is
considered necessary for the treatment of acute pain, the practitioner shall
give a short-acting opioid in the lowest effective dose for the fewest possible
days.
C. Prior to initiating treatment with a controlled
substance containing an opioid for a complaint of acute pain, the prescriber
shall perform a history and physical examination appropriate to the complaint,
query the Prescription Monitoring Program as set forth in § 54.1-2522.1 of
the Code of Virginia, and conduct an assessment of the patient's history and
risk of substance abuse as a part of the initial evaluation.
18VAC90-40-160. Treatment of acute pain with opioids.
A. Initiation of opioid treatment for patients with acute
pain shall be with short-acting opioids.
1. A prescriber providing treatment for a patient with
acute pain shall not prescribe a controlled substance containing an opioid in a
quantity that exceeds a seven-day supply as determined by the manufacturer's
directions for use, unless extenuating circumstances are clearly documented in
the medical record. This shall also apply to prescriptions of a controlled
substance containing an opioid upon discharge from an emergency department.
2. An opioid prescribed as part of treatment for a surgical
procedure shall be for no more than 14 consecutive days in accordance with
manufacturer's direction and within the immediate perioperative period, unless
extenuating circumstances are clearly documented in the medical record.
B. Initiation of opioid treatment for all patients shall
include the following:
1. The practitioner shall carefully consider and document
in the medical record the reasons to exceed 50 MME/day.
2. Prior to exceeding 120 MME/day, the practitioner shall
document in the medical record the reasonable justification for such doses or
refer to or consult with a pain management specialist.
3. Naloxone shall be prescribed for any patient when risk
factors of prior overdose, substance abuse, doses in excess of 120 MME/day, or
concomitant benzodiazepine are present.
C. Due to a higher risk of fatal overdose when opioids are
used with benzodiazepines, sedative hypnotics, carisoprodol, and tramadol, the
prescriber shall only co-prescribe these substances when there are extenuating
circumstances and shall document in the medical record a tapering plan to
achieve the lowest possible effective doses if these medications are
prescribed.
D. Buprenorphine is not indicated for acute pain in the
outpatient setting, except when a prescriber who has obtained a SAMHSA
waiver is treating pain in a patient whose primary diagnosis is the disease
of addiction.
18VAC90-40-170. Medical records for acute pain.
The medical record shall include a description of the
pain, a presumptive diagnosis for the origin of the pain, an examination
appropriate to the complaint, a treatment plan and the medication prescribed or
administered to include the date, type, dosage, and quantity prescribed or
administered.
Part VI
Management of Chronic Pain
18VAC90-40-180. Evaluation of the chronic pain patient.
A. The requirements of this part shall not apply to:
1. The treatment of chronic pain related to (i) cancer,
(ii) a patient in hospice care, or (iii) a patient in palliative care;
2. The treatment of chronic pain during an inpatient
hospital admission or in a nursing home or an assisted living facility that
uses a sole source pharmacy; or
3. A patient enrolled in a clinical trial as authorized by
state or federal law.
B. Prior to initiating management of chronic pain with a
controlled substance containing an opioid, a medical history and physical
examination, to include a mental status examination, shall be performed and
documented in the medical record, including:
1. The nature and intensity of the pain;
2. Current and past treatments for pain;
3. Underlying or coexisting diseases or conditions;
4. The effect of the pain on physical and psychological
function, quality of life, and activities of daily living;
5. Psychiatric, addiction, and substance abuse histories of
the patient and any family history of addiction or substance abuse;
6. A urine drug screen or serum medication level;
7. A query of the Prescription Monitoring Program as set
forth in § 54.1-2522.1 of the Code of Virginia;
8. An assessment of the patient's history and risk of
substance abuse; and
9. A request for prior applicable records.
C. Prior to initiating opioid analgesia for chronic pain,
the practitioner shall discuss with the patient the known risks and benefits of
opioid therapy and the responsibilities of the patient during treatment to
include securely storing the drug and properly disposing of any unwanted or
unused drugs. The practitioner shall also discuss with the patient an exit
strategy for the discontinuation of opioids in the event they are not
effective.
18VAC90-40-190. Treatment of chronic pain with opioids.
A. Nonpharmacologic and non-opioid treatment for pain
shall be given consideration prior to treatment with opioids.
B. In initiating opioid treatment for all patients, the
practitioner shall:
1. Carefully consider and document in the medical record
the reasons to exceed 50 MME/day;
2. Prior to exceeding 120 MME/day, the practitioner shall
document in the medical record the reasonable justification for such doses or
refer to or consult with a pain management specialist;
3. Prescribe naloxone for any patient when risk factors of
prior overdose, substance abuse, doses in excess of 120 MME/day, or concomitant
benzodiazepine are present; and
4. Document the rationale to continue opioid therapy every
three months.
C. Buprenorphine may be prescribed or administered for
chronic pain in formulation and dosages that are FDA-approved for that purpose.
D. Due to a higher risk of fatal overdose when opioids,
including buprenorphine, are given with other opioids, benzodiazepines,
sedative hypnotics, carisoprodol, and tramadol, the prescriber shall only
co-prescribe these substances when there are extenuating circumstances and
shall document in the medical record a tapering plan to achieve the lowest
possible effective doses if these medications are prescribed.
E. The practitioner shall regularly evaluate for opioid
use disorder and shall initiate specific treatment for opioid use disorder, consult
with an appropriate health care provider, or refer the patient for evaluation
for treatment if indicated.
18VAC90-40-200. Treatment plan for chronic pain.
A. The medical record shall include a treatment plan that
states measures to be used to determine progress in treatment, including pain
relief and improved physical and psychosocial function, quality of life, and
daily activities.
B. The treatment plan shall include further diagnostic
evaluations and other treatment modalities or rehabilitation that may be
necessary depending on the etiology of the pain and the extent to which the
pain is associated with physical and psychosocial impairment.
C. The prescriber shall record in the medical records the
presence or absence of any indicators for medication misuse, abuse, or
diversion and take appropriate action.
18VAC90-40-210. Informed consent and agreement for treatment
of chronic pain.
A. The practitioner shall document in the medical record
informed consent, to include risks, benefits, and alternative approaches, prior
to the initiation of opioids for chronic pain.
B. There shall be a written treatment agreement, signed by
the patient, in the medical record that addresses the parameters of treatment,
including those behaviors that will result in referral to a higher level of
care, cessation of treatment, or dismissal from care.
C. The treatment agreement shall include notice that the
practitioner will query and receive reports from the Prescription Monitoring
Program and permission for the practitioner to:
1. Obtain urine drug screen or serum medication levels,
when requested; and
2. Consult with other prescribers or dispensing pharmacists
for the patient.
D. Expected outcomes shall be documented in the medical
record including improvement in pain relief and function or simply in pain
relief. Limitations and side effects of chronic opioid therapy shall be
documented in the medical record.
18VAC90-40-220. Opioid therapy for chronic pain.
A. The practitioner shall review the course of pain
treatment and any new information about the etiology of the pain or the
patient's state of health at least every three months.
B. Continuation of treatment with opioids shall be
supported by documentation of continued benefit from the prescribing. If the
patient's progress is unsatisfactory, the practitioner shall assess the
appropriateness of continued use of the current treatment plan and consider the
use of other therapeutic modalities.
C. Practitioners shall check the Prescription Monitoring
Program at least every three months after the initiation of treatment.
D. The practitioner shall order and review a urine drug
screen or serum medication levels at the initiation of chronic pain management
and at least every three months for the first year of treatment and at least
every six months thereafter.
E. The practitioner shall regularly evaluate for opioid
use disorder and shall initiate specific treatment for opioid use disorder,
consult with an appropriate health care provider, or refer the patient for
evaluation for treatment if indicated.
18VAC90-40-230. Additional consultation.
A. When necessary to achieve treatment goals, the
prescriber shall refer the patient for additional evaluation and treatment.
B. When a practitioner makes the diagnosis of opioid use
disorder, treatment for opioid use disorder shall be initiated or the patient
shall be referred for evaluation and treatment.
18VAC90-40-240. Medical records.
The prescriber shall keep current, accurate, and complete
records in an accessible manner and readily available for review to include:
1. The medical history and physical examination;
2. Past medical history;
3. Applicable records from prior treatment providers or any
documentation of attempts to obtain those records;
4. Diagnostic, therapeutic, and laboratory results;
5. Evaluations and consultations;
6. Treatment goals;
7. Discussion of risks and benefits;
8. Informed consent and agreement for treatment;
9. Treatments;
10. Medications (including date, type, dosage and quantity
prescribed, and refills);
11. Patient instructions; and
12. Periodic reviews.
Part VII
Prescribing of Buprenorphine
18VAC90-40-250. General provisions.
A. Practitioners engaged in office-based opioid addiction
treatment with buprenorphine shall have obtained a waiver from SAMHSA and the
appropriate U.S. Drug Enforcement Administration registration.
B. Practitioners shall abide by all federal and state laws
and regulations governing the prescribing of buprenorphine for the treatment of
opioid use disorder.
C. Nurse practitioners who have obtained a SAMHSA waiver
shall only prescribe buprenorphine for opioid addiction pursuant to a practice
agreement with a SAMHSA-waivered doctor of medicine or doctor of osteopathic
medicine.
D. Practitioners engaged in medication-assisted treatment
shall either provide counseling in their practice or refer the patient to a mental
health service provider, as defined in § 54.1-2400.1 of the Code of
Virginia, who has the education and experience to provide substance abuse
counseling. The practitioner shall document provision of counseling or referral
in the medical record.
18VAC90-40-260. Patient assessment and treatment planning.
A. A practitioner shall perform and document an assessment
that includes a comprehensive medical and psychiatric history, substance abuse
history, family history and psychosocial supports, appropriate physical
examination, urine drug screen, pregnancy test for women of childbearing age
and ability, a check of the Prescription Monitoring Program, and, when
clinically indicated, infectious disease testing for human immunodeficiency
virus, hepatitis B, hepatitis C, and tuberculosis.
B. The treatment plan shall include the practitioner's
rationale for selecting medication assisted treatment, patient education,
written informed consent, how counseling will be accomplished, and a signed
treatment agreement that outlines the responsibilities of the patient and the
practitioner.
18VAC90-40-270. Treatment with buprenorphine.
A. Buprenorphine without naloxone (buprenorphine
mono-product) shall not be prescribed except:
1. When a patient is pregnant;
2. When converting a patient from methadone or
buprenorphine mono-product to buprenorphine containing naloxone for a period
not to exceed seven days; or
3. In formulations other than tablet form for indications
approved by the FDA.
B. Buprenorphine mono-product tablets may be administered
directly to patients in federally licensed opiate treatment programs. With the
exception of those conditions listed in subsection A of this section, only the
buprenorphine product containing naloxone shall be prescribed or
dispensed for use off site from the program.
C. The evidence for the decision to use buprenorphine
mono-product shall be fully documented in the medical record.
D. Due to a higher risk of fatal overdose when
buprenorphine is prescribed with other opioids, benzodiazepines, sedative
hypnotics, carisoprodol, and tramadol, the prescriber shall only co-prescribe
these substances when there are extenuating circumstances and shall document in
the medical record a tapering plan to achieve the lowest possible effective
doses if these medications are prescribed.
E. Prior to starting medication-assisted treatment, the
practitioner shall perform a check of the Prescription Monitoring Program.
F. During the induction phase, except for medically
indicated circumstances as documented in the medical record, patients should be
started on no more than eight milligrams of buprenorphine per day. The patient
shall be seen by the prescriber at least once a week.
G. During the stabilization phase, the prescriber shall
increase the daily dosage of buprenorphine in safe and effective increments to
achieve the lowest dose that avoids intoxication, withdrawal, or significant
drug craving.
H. Practitioners shall take steps to reduce the chances of
buprenorphine diversion by using the lowest effective dose, appropriate
frequency of office visits, pill counts, and checks of the Prescription
Monitoring Program. The practitioner shall also require urine drug screens or
serum medication levels at least every three months for the first year of
treatment and at least every six months thereafter.
I. Documentation of the rationale for prescribed doses
exceeding 16 milligrams of buprenorphine per day shall be placed in the medical
record. Dosages exceeding 24 milligrams of buprenorphine per day shall not
be prescribed.
J. The practitioner shall incorporate relapse prevention
strategies into counseling or assure that they are addressed by a mental health
service provider, as defined in § 54.1-2400.1 of the Code of Virginia, who
has the education and experience to provide substance abuse counseling.
18VAC90-40-280. Special populations.
A. Pregnant women shall be treated with the buprenorphine
mono-product, usually 16 milligrams per day or less.
B. Patients younger than the age of 16 years shall not be
prescribed buprenorphine for addiction treatment unless such treatment is
approved by the FDA.
C. The progress of patients with chronic pain shall be
assessed by reduction of pain and functional objectives that can be identified,
quantified, and independently verified.
D. Practitioners shall (i) evaluate patients with medical
comorbidities by history, physical exam, and appropriate laboratory studies and
(ii) be aware of interactions of buprenorphine with other prescribed medications.
E. Practitioners shall not undertake buprenorphine
treatment with a patient who has psychiatric comorbidities and is not stable. A
patient who is determined by the practitioner to be psychiatrically unstable
shall be referred for psychiatric evaluation and treatment prior to initiating
medication-assisted treatment.
18VAC90-40-290. Medical records for opioid addiction
treatment.
A. Records shall be timely, accurate, legible, complete,
and readily accessible for review.
B. The treatment agreement and informed consent shall be
maintained in the medical record.
C. Confidentiality requirements of 42 CFR Part 2 shall be
followed.
VA.R. Doc. No. R17-5096; Filed May 1, 2017, 2:23 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Emergency Regulation
Title of Regulation: 18VAC110-20. Regulations
Governing the Practice of Pharmacy (amending 18VAC110-20-690, 18VAC110-20-700,
18VAC110-20-710; adding 18VAC110-20-735).
Statutory Authority: § 54.1-2400 of the Code of
Virginia.
Effective Dates: May 8, 2017, through November 7, 2018.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4416, FAX (804) 527-4472, or email
caroline.juran@dhp.virginia.gov.
Preamble
Section 2.2-4011 of the Code of Virginia authorizes
agencies to adopt emergency regulations in situations in which Virginia
statutory law or the appropriation act requires that a regulation be effective
in 280 days or less from its enactment, and the regulation is not exempt under
the provisions of § 2.2-4006 A 4 of the Code of Virginia. Chapters 55 and
58 of the 2017 Acts of Assembly, which became effective on February 20, 2017,
establish additional circumstances under which the Board of Pharmacy is
authorized to issue a controlled substance registration and require the board
to promulgate regulations within 280 days of the enactment.
The emergency regulation authorizes issuance of a
controlled substances registration (i) to persons who have been trained in the
administration of naloxone in order to possess and dispense the drug to persons
receiving training and (ii) to an entity for the purpose of establishing a bona
fide practitioner-patient relationship for prescribing when treatment is
provided by telemedicine in accordance with federal rules. The amendments
include applicable recordkeeping, security, and storage requirements.
18VAC110-20-690. Persons or entities authorized or required to
obtain a controlled substances registration.
A. A person or entity which maintains or intends to maintain
a supply of Schedule II through Schedule VI controlled substances, other than
manufacturers' samples, in accordance with provisions of the Drug Control Act
(§ 54.1-3400 et seq. of the Code of Virginia) may apply for a controlled
substances registration on forms approved by the board.
B. Persons or entities which may be registered by the board
shall include, but not be limited to, hospitals without in-house pharmacies,
nursing homes without in-house pharmacies that use automated drug dispensing
systems, ambulatory surgery centers, outpatient clinics, alternate delivery
sites, crisis stabilization units, persons authorized by the Department of
Behavioral Health and Developmental Services to train individuals on the
administration of naloxone and to dispense naloxone for opioid overdose
reversal, and emergency medical services agencies provided such persons or
entities are otherwise authorized by law and hold required licenses or
appropriate credentials to administer the drugs for which the registration is
being sought.
C. In determining whether to register an applicant, the board
shall consider factors listed in subsections A and D of § 54.1-3423 of the
Code of Virginia and compliance with applicable requirements of this chapter.
1. The proposed location shall be inspected by an authorized
agent of the board prior to issuance of a controlled substances registration.
2. Controlled substances registration applications that
indicate a requested inspection date, or requests that are received after the
application is filed, shall be honored provided a 14-day notice is allowed
prior to the requested inspection date.
3. Requested inspection dates that do not allow a 14-day
notice to the board may be adjusted by the board to provide 14 days for the
scheduling of the inspection.
4. Any person wishing to change an approved location of the
drug stock, make structural changes to an existing approved drug storage
location, or make changes to a previously approved security system shall file
an application with the board and be inspected.
5. Drugs shall not be stocked within the proposed drug storage
location or moved to a new location until approval is granted by the board.
D. The application shall be signed by a person who will act
as a responsible party for the controlled substances. The responsible party may
be a prescriber, nurse, pharmacist, or pharmacy technician for alternate
delivery sites, a person authorized by the Department of Behavioral Health
and Developmental Services to train individuals on the administration of
naloxone and to dispense naloxone for opioid overdose reversal, or other
person approved by the board who is authorized to administer the controlled
substances.
E. The board may require a person or entity to obtain a
controlled substances registration upon a determination that Schedule II
through VI controlled substances have been obtained and are being used as
common stock by multiple practitioners and that one or more of the following
factors exist:
1. A federal, state, or local government agency has reported
that the person or entity has made large purchases of controlled substances in
comparison with other persons or entities in the same classification or
category.
2. The person or entity has experienced a diversion, theft, or
other unusual loss of controlled substances which requires reporting pursuant
to § 54.1-3404 of the Drug Control Act.
3. The person or entity has failed to comply with recordkeeping
requirements for controlled substances.
4. The person or entity or any other person with access to the
common stock has violated any provision of federal, state, or local law or
regulation relating to controlled substances.
F. The board may issue a controlled substance registration
to an entity at which a patient is being treated by the use of instrumentation
and diagnostic equipment through which images and medical records may be
transmitted electronically for the purpose of establishing a bona fide
practitioner-patient relationship and is being prescribed Schedules II through
VI controlled substances when such prescribing is in compliance with federal
requirements for the practice of telemedicine and the patient is not in the
physical presence of a practitioner registered with the U.S. Drug Enforcement
Administration, provided:
1. There is a documented need for such registration, and
issuance of the registration of the entity is consistent with the public
interest;
2. The entity is under the general supervision of a
licensed pharmacist or a practitioner of medicine, osteopathy, podiatry,
dentistry, or veterinary medicine; and
3. The application is signed by a person who will act as
the responsible party for the entity for the purpose of compliance with
provisions of this subsection. The responsible party shall be a prescriber,
nurse, pharmacist, or other person who is authorized by provisions of § 54.1-3408
of the Code of Virginia to administer controlled substances.
18VAC110-20-700. Requirements for supervision for controlled
substances registrants.
A. A practitioner licensed in Virginia shall provide
supervision for all aspects of practice related to the maintenance and use of
controlled substances as follows:
1. In a hospital or nursing home without an in-house pharmacy,
a pharmacist shall supervise.
2. In an emergency medical services agency, the operational
medical director shall supervise.
3. For any other type of applicant or registrant, a pharmacist
or a prescriber whose scope of practice is consistent with the practice of the
applicant or registrant and who is approved by the board may provide the
required supervision.
B. The supervising practitioner shall approve the list of
drugs which may be ordered by the holder of the controlled substances
registration; possession of controlled substances by the entity shall be
limited to such approved drugs. The list of drugs approved by the supervising
practitioner shall be maintained at the address listed on the controlled
substances registration.
C. Access to the controlled substances shall be limited to
(i) the supervising practitioner or to those persons who are authorized by the
supervising practitioner and who are authorized by law to administer drugs in
Virginia; (ii) such other persons who have successfully completed a training
program for repackaging of prescription drug orders in a CSB, BHA, or PACE site
as authorized in § 54.1-3420.2 of the Code of Virginia; or (iii)
other such persons as designated by the supervising practitioner or the
responsible party to have access in an emergency situation, or (iv) persons
authorized by the Department of Behavioral Health and Developmental Services to
train individuals on the administration of naloxone and to dispense naloxone
for opioid overdose reversal. If approved by the supervising practitioner,
pharmacy technicians may have access for the purpose of delivering controlled
substances to the registrant, stocking controlled substances in automated
dispensing devices, conducting inventories, audits and other recordkeeping
requirements, overseeing delivery of dispensed prescriptions at an alternate
delivery site, and repackaging of prescription drug orders retained by a CSB,
BHA, or PACE site as authorized in § 54.1-3420.2 of the Code of Virginia.
Access to stock drugs in a crisis stabilization unit shall be limited to
prescribers, nurses, or pharmacists.
D. The supervising practitioner shall establish procedures
for and provide training as necessary to ensure compliance with all
requirements of law and regulation, including, but not limited to, storage,
security, and recordkeeping.
E. Within 14 days of a change in the responsible party or
supervising practitioner assigned to the registration, either the responsible
party or outgoing responsible party shall inform the board, and a new
application shall be submitted indicating the name and license number, if
applicable, of the new responsible party or supervising practitioner.
18VAC110-20-710. Requirements for storage and security for
controlled substances registrants.
A. Drugs shall be stored under conditions which meet USP-NF
specifications or manufacturers' suggested storage for each drug.
B. Any drug which has exceeded the expiration date shall not
be administered; it shall be separated from the stock used for administration
and maintained in a separate, locked area until properly disposed.
C. If a controlled substances registrant wishes to dispose of
unwanted or expired Schedule II through VI drugs, he shall transfer the drugs
to another person or entity authorized to possess and to provide for proper
disposal of such drugs.
D. Drugs shall be maintained in a lockable cabinet, cart,
device or other area which shall be locked at all times when not in use. The
keys or access code shall be restricted to the supervising practitioner and
persons designated access in accordance with 18VAC110-20-700 C.
E. In a facility not staffed 24 hours a day, the drugs shall
be stored in a fixed and secured room, cabinet or area which has a security
device for the detection of breaking which meets the following conditions:
1. The device shall be a sound, microwave, photoelectric,
ultrasonic, or any other generally accepted and suitable device.
2. The installation and device shall be based on accepted
alarm industry standards.
3. The device shall be maintained in operating order, have an
auxiliary source of power, be monitored in accordance with accepted industry
standards, be maintained in operating order; and shall be capable of sending an
alarm signal to the monitoring entity if breached and the communication line is
not operational.
4. The device shall fully protect all areas where prescription
drugs are stored and shall be capable of detecting breaking by any means when
activated.
5. Access to the alarm system shall be restricted to only
designated and necessary persons, and the system shall be activated whenever
the drug storage areas are closed for business.
6. An alarm system is not required for researchers, animal
control officers, humane societies, alternate delivery sites as provided in
18VAC110-20-275, emergency medical services agencies stocking only intravenous
fluids with no added drug, persons authorized by the Department of
Behavioral Health and Developmental Services to train individuals on the
administration of naloxone and to dispense naloxone for opioid overdose
reversal, and teaching institutions possessing only Schedule VI drugs.
18VAC110-20-735. Requirements for dispensing of naloxone by
trained individuals.
A. Persons authorized by the Department of Behavioral
Health and Developmental Services to train individuals on the administration of
naloxone and dispense naloxone for opioid overdose reversal pursuant to
subsection Y of § 54.1-3408 of the Code of Virginia shall maintain the
following records:
1. The prescriber's standing order issued in accordance
with subsection Y of § 54.1-3408 of the Code of Virginia authorizing the
trained individual to dispense naloxone.
2. Invoices or other records showing receipts of naloxone
shall be maintained, but may be stored in an electronic database or record as
an electronic image that provides an exact, clearly legible image of the
document or in secured storage either on site or off site. All records in
off-site storage or database shall be retrieved and made available for
inspection or audit within 48 hours of a request by the board or an authorized
agent.
3. A manual or electronic log indicating the name,
strength, lot, expiration date, and quantity of naloxone transferred to and
from the controlled substances registration location to the off-site training
location, along with date of transfer and the name of trained individual
approved by the Department of Behavioral Health and Developmental Services.
4. Record of dispensing indicating the name of person
receiving naloxone, address or contact information if available, date of
dispensing, drug name, strength, quantity, lot number, expiration date, and the
name of trained individual approved by the Department of Behavioral Health and
Developmental Services to dispense naloxone.
B. The naloxone shall be labeled with directions for use
in accordance with the prescriber's standing order; date of dispensing; name of
person receiving the drug; drug name and strength; and the name and the
telephone number for the entity associated with the controlled substances
registration.
C. The naloxone shall be stored and transported under
appropriate storage conditions in accordance with the manufacturer's directions
to protect them from adulteration.
D. In the event of a manufacturer recall, the supervising
practitioner or responsible party associated with the controlled substances
registration certificate shall ensure compliance with recall procedures as
issued by the manufacturer, U.S. Food and Drug Administration, or board to
ensure an affected drug is transferred to a person or entity authorized to
possess the drug for return or destruction.
E. Except for a prescriber's standing order, which must be
maintained on site for a period of not less than two years from the date of the
last dispensing, records shall be filed chronologically and maintained for a
period of not less than two years from the date of transaction.
VA.R. Doc. No. R17-5048; Filed May 8, 2017, 8:27 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
Title of Regulation: 18VAC110-20. Regulations
Governing the Practice of Pharmacy (amending 18VAC110-20-20, 18VAC110-20-321;
adding 18VAC110-20-215).
Statutory Authority: §§ 54.1-2400, 54.1-3434.05, and
54.1-3434.5 of the Code of Virginia.
Effective Date: June 28, 2017.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4416, FAX (804) 527-4472, or email
caroline.juran@dhp.virginia.gov.
Summary:
In accordance with Chapter 300 of the 2015 Acts of
Assembly, the amendments (i) require facilities engaged in the compounding of
sterile drugs and registered with the U.S. Secretary of Health and Human
Services as outsourcing facilities to hold a permit to compound or ship
compounded drugs into Virginia; (ii) set fees for approval of applications and
renewal of permits and registration; (iii) specify requirements for pharmacies
that are or are not applicable to outsourcing facilities; (iv) establish
requirements for pharmacist supervision, recordkeeping, and renewal; and (v)
specify that if a compounding pharmacy shares physical space with an
outsourcing facility, the more stringent standards of good manufacturing
practices are applicable.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
18VAC110-20-20. Fees.
A. Unless otherwise provided, fees listed in this section
shall not be refundable.
B. Unless otherwise provided, any fees for taking required
examinations shall be paid directly to the examination service as specified by
the board.
C. Initial application fees.
1. Pharmacist license
|
$180
|
2. Pharmacy intern registration
|
$15
|
3. Pharmacy technician registration
|
$25
|
4. Pharmacy permit
|
$270
|
5. Permitted physician licensed to dispense drugs
|
$270
|
6. Medical equipment supplier permit
|
$180
|
7. Humane society permit
|
$20
|
8. Outsourcing facility permit
|
$270
|
8. 9. Nonresident pharmacy registration
|
$270
|
10. Nonresident outsourcing facility registration
|
$270
|
9. 11. Controlled substances registrations
|
$90
|
10. 12. Innovative program approval.
If the board determines that a technical consultant is
required in order to make a decision on approval, any consultant fee, not to
exceed the actual cost, shall also be paid by the applicant in addition to
the application fee.
|
$250
|
11. 13. Approval of a pharmacy technician
training program
|
$150
|
12. 14. Approval of a continuing education
program
|
$100
|
13. 15. Approval of a repackaging training
program
|
$50
|
D. Annual renewal fees.
1. Pharmacist active license – due no later than December 31
|
$90
|
2. Pharmacist inactive license – due no later than December 31
|
$45
|
3. Pharmacy technician registration – due no later than
December 31
|
$25
|
4. Pharmacy permit – due no later than April 30
|
$270
|
5. Physician permit to practice pharmacy – due no later than
February 28
|
$270
|
6. Medical equipment supplier permit – due no later than
February 28
|
$180
|
7. Humane society permit – due no later than February 28
|
$20
|
8. Outsourcing facility permit – due no later than April 30
|
$270
|
8. 9. Nonresident pharmacy registration –
due no later than the date of initial registration
|
$270
|
10. Nonresident outsourcing facility registration – due no
later than the date of initial registration
|
$270
|
9. 11. Controlled substances registrations – due
no later than February 28
|
$90
|
10. 12. Innovative program continued approval
based on board order not to exceed $200 per approval period.
|
|
11. 13. Approval of a pharmacy technician
training program
|
$75 every two years
|
12. 14. Approval of a repackaging training
program
|
$30 every two years
|
E. Late fees. The following late fees shall be paid in
addition to the current renewal fee to renew an expired license within one year
of the expiration date or within two years in the case of a pharmacy technician
training program. In addition, engaging in activities requiring a license,
permit, or registration after the expiration date of such license, permit, or
registration shall be grounds for disciplinary action by the board.
1. Pharmacist license
|
$30
|
2. Pharmacist inactive license
|
$15
|
3. Pharmacy technician registration
|
$10
|
4. Pharmacy permit
|
$90
|
5. Physician permit to practice pharmacy
|
$90
|
6. Medical equipment supplier permit
|
$60
|
7. Humane society permit
|
$5
|
8. Outsourcing facility permit
|
$90
|
8. 9. Nonresident pharmacy registration
|
$90
|
10. Nonresident outsourcing facility registration
|
$90
|
9. 11. Controlled substances registrations
|
$30
|
10. 12. Approval of a pharmacy technician
training program
|
$15
|
11. 13. Approval of a repackaging training
program
|
$10
|
F. Reinstatement fees. Any person or entity attempting to
renew a license, permit, or registration more than one year after the
expiration date, or more than two years after the expiration date in the case
of a pharmacy technician training program, shall submit an application for
reinstatement with any required fees. Reinstatement is at the discretion of the
board and, except for reinstatement following license revocation or suspension,
may be granted by the executive director of the board upon completion of an
application and payment of any required fees.
1. Pharmacist license
|
$210
|
2. Pharmacist license after revocation or suspension
|
$500
|
3. Pharmacy technician registration
|
$35
|
4. Pharmacy technician registration after revocation or
suspension
|
$125
|
5. Facilities or entities that cease operation and wish to
resume shall not be eligible for reinstatement but shall apply for a new
permit or registration. Facilities or entities that failed to renew and
continued to operate for more than one renewal cycle shall pay the current
and all back renewal fees for the years in which they were operating plus the
following reinstatement fees:
|
|
a. Pharmacy permit
|
$240
|
b. Physician permit to practice pharmacy
|
$240
|
c. Medical equipment supplier permit
|
$210
|
d. Humane society permit
|
$30
|
e. Outsourcing facility permit
|
$240
|
e. f. Nonresident pharmacy registration
|
$115
|
g. Nonresident outsourcing facility registration
|
$240
|
f. h. Controlled substances registration
|
$180
|
g. i. Approval of a pharmacy technician
training program
|
$75
|
h. j. Approval of a repackaging training
program
|
$50
|
G. Application for change or inspection fees for facilities
or other entities.
1. Change of pharmacist-in-charge
|
$50
|
2. Change of ownership for any facility
|
$50
|
3. Inspection for remodeling or change of location for any
facility
|
$150
|
4. Reinspection of any facility
|
$150
|
5. Board-required inspection for a robotic pharmacy system
|
$150
|
6. Board-required inspection of an innovative program location
|
$150
|
7. Change of pharmacist responsible for an approved innovative
program
|
$25
|
H. Miscellaneous fees.
1. Duplicate wall certificate
|
$25
|
2. Returned check
|
$35
|
3. Duplicate license or registration
|
$10
|
4. Verification of licensure or registration
|
$25
|
18VAC110-20-215. Outsourcing facilities.
A. Any facility in the Commonwealth engaged in the sterile
compounding of drugs or devices to be dispensed without a prescription for a
specific patient shall obtain a permit as an outsourcing facility from the
board in accordance with § 54.1-3434.05 of the Code of Virginia. Any
outsourcing facility located outside of the Commonwealth that delivers in any
manner Schedule II through VI drugs or devices into the Commonwealth without a
prescription for a specific patient shall be registered with the board in
accordance with § 54.1-3434.5 of the Code of Virginia.
B. In order to obtain or renew a permit or registration,
outsourcing facilities shall submit to the board (i) documentation that the
facility is registered as an outsourcing facility under the Federal Food, Drug,
and Cosmetic Act and (ii) a copy of a current inspection report consistent with
§ 54.1-3434.05 or 54.1-3434.5 of the Code of Virginia. Outsourcing
facilities that fail to demonstrate that the facility is registered as an
outsourcing facility under the Federal Food, Drug, and Cosmetic Act or submit a
copy of a current inspection report consistent with § 54.1-3434.05 or
54.1-3434.5 shall not meet the requirements for an initial permit or registration
or for renewal of a permit or registration.
C. An outsourcing facility shall comply with all
provisions of this chapter relating to a pharmacy in Parts IV (18VAC110-20-110
et seq.) and VI (18VAC110-20-240 et seq.), with the following exceptions:
1. Subsections E and F of 18VAC110-20-190, relating to
dispensed prescriptions.
2. Subsection A of 18VAC110-20-200, relating to
prescriptions awaiting delivery.
3. Subsections B and C of 18VAC110-20-240, relating to
prescriptions and chart orders.
4. 18VAC110-20-250, relating to automated data processing
prescription records.
5. Subsections C, D, E, and F of 18VAC110-20-270, relating
to preparation and dispensing of prescriptions.
D. In addition to applicable requirements for pharmacies,
outsourcing facilities shall comply with the following:
1. Pharmacist supervision. At all times, such facilities
shall be under the supervision of a PIC who routinely practices at the location
designated on the permit application. A pharmacist shall be present at all
times when the facility is open for business.
2. Records.
a. All records, including the receipt and disposition of
drugs or devices, shall be maintained by the facility for a period of five
years and shall be available to the board upon request.
b. Compounding records shall include identification and
strength of the drugs and shall provide the ingredients, expiration dates, and
the source of such ingredients. Records shall also include the national drug
code number of the source drug or bulk active ingredient, if available; the
strength of the active ingredient per unit; the dosage form and route of
administration; the package description; the number of individual units
produced; the national drug code number of the final product, if assigned, or
lot number; and an appropriately assigned expiration date or beyond-use date.
c. Outsourcing facilities shall maintain quality control
records to include stability and sterility testing for determining beyond-use
dating.
E. No outsourcing facility may distribute or dispense any
drug to any person pursuant to a prescription unless it also maintains a
current active pharmacy permit. The pharmacy shall comply with all state and
federal laws, regulations, and requirements, except it shall compound in
compliance with current good manufacturing practices under § 501(a)(2)(B) of
the Federal Food, Drug, and Cosmetic Act (21 USC § 351(a)(2)(B)).
Part VIII
Labeling and Packaging Standards for Prescriptions
18VAC110-20-321. Compounding.
A. The compounding of both sterile and nonsterile drug
products by a pharmacy that does not share the same physical space with an
outsourcing facility shall be performed in accordance with USP-NF
compounding standards and § 54.1-3410.2 of the Code of Virginia.
B. The compounding of sterile drug products by an outsourcing
facility or by a pharmacy sharing the same physical space with an outsourcing
facility shall be performed in accordance with current good manufacturing
practices under § 501(a)(2)(B) of the Federal Food, Drug, and Cosmetic Act
(21 USC § 351(a)(2)(B)).
NOTICE: The following
forms used in administering the regulation were filed by the agency. The forms
are not being published; however, online users of this issue of the Virginia
Register of Regulations may click on the name of a form with a hyperlink to
access it. The forms are also available from the agency contact or may be
viewed at the Office of the Registrar of Regulations, General Assembly
Building, 2nd Floor, Richmond, Virginia 23219.
FORMS (18VAC110-20)
Application for Registration as a Pharmacy Intern
(rev. 8/07)
Affidavit of Practical Experience, Pharmacy Intern
(rev. 8/07)
Application for Licensure as a Pharmacist by
Examination (rev. 11/09)
Instructions for Reinstating or Reactivating a
Pharmacist License (rev. 3/11)
Application for Approval of a Continuing Education
Program (rev. 8/07)
Application for Approval of ACPE Pharmacy School
Course(s) for Continuing Education Credit (rev. 6/09)
Application for License to Dispense Drugs (rev.
8/07)
Application for a Pharmacy Permit (rev. 6/10)
Application for a Nonresident Pharmacy Registration (rev.
7/08)
Application
for a Pharmacy Permit (rev. 12/2015)
Application
for a Non-Resident Pharmacy Registration (rev. 12/2015)
Application
for a Non-Resident Outsourcing Facility Registration (12/2015)
Application
for an Outsourcing Facility Permit (12/2015)
Application for a Permit as a Medical Equipment
Supplier (rev. 3/09)
Application for a Controlled Substances
Registration Certificate (rev. 4/09)
Application for Registration as a Pharmacy Intern
for Graduates of a Foreign College of Pharmacy (rev. 8/07).
Closing of a Pharmacy (rev. 8/07)
Application for Approval of an Innovative (Pilot)
Program (rev. 8/07)
Pharmacy Technician Registration Instructions and
Application (rev. 3/09)
Instructions for Reinstating a Pharmacy Technician
Registration (rev. 3/11)
Application for Approval of a Pharmacy Technician
Training Program (rev. 8/07)
Application for Registration for Volunteer
Practice (rev. 8/07)
Sponsor Certification for Volunteer Registration
(rev. 8/08)
Application for Reinstatement of Registration as a
Pharmacy Intern (eff. 9/07)
Affidavit for Limited-Use Pharmacy Technician
(rev. 8/07)
Limited-Use Pharmacy Technician Registration
Instructions and Application (rev. 7/08)
Registration for a Pharmacy to be a Collection
Site for Donated Drugs (eff. 4/09)
Application for Approval of Repackaging Training
Program (eff. 12/10)
VA.R. Doc. No. R16-4528; Filed April 26, 2017, 1:18 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
Title of Regulation: 18VAC110-30. Regulations for
Practitioners of the Healing Arts to Sell Controlled Substances (amending 18VAC110-30-15, 18VAC110-30-20,
18VAC110-30-30, 18VAC110-30-50 through 18VAC110-30-90; adding 18VAC110-30-21).
Statutory Authority: §§ 54.1-2400, 54.1-3304.1, and
54.1-3307 of the Code of Virginia.
Effective Date: June 28, 2017.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 527-4416, FAX (804) 527-4472, or email
caroline.juran@dhp.virginia.gov.
Summary:
The amendments implement the requirements of Chapter 117 of
the 2015 Acts of Assembly, which requires practitioners of the healing arts to
dispense controlled substances in permitted facilities, and (i) institute
permit fees for most facilities where practitioners of the healing arts sell
controlled substances; (ii) lower fees for initial individual licensure for
doctors of medicine, osteopathic medicine, or podiatry to sell controlled
substances; (iii) place requirements for inspections, physical standards for
the facility, and notification to the board with the permitted facility rather
than the individual licensee; and (iv) clarify that required sinks with hot and
cold water must be available within 20 feet of the selling and storage area of
the facility and may not be located within an examination room or restroom.
Since publication of the proposed stage, a requirement that facilities that
change from only one practitioner to more than one shall notify the board
within 30 days of such change has been added.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
18VAC110-30-15. Fees.
A. Unless otherwise provided, fees listed in this section
shall not be refundable.
B. Fee for initial license for a practitioner of the
healing arts to sell controlled substances Initial application fees.
1. The application fee for initial licensure shall be $240
License for practitioner of the healing arts to sell controlled substances:
$180.
2. The application fee for reinstatement of a license that
has been revoked or suspended indefinitely shall be $500 Permit for
facility in which practitioners of the healing arts sell controlled substances:
$240.
C. Renewal of license for a practitioner of the healing
arts to sell controlled substances Annual renewal fees.
1. The annual fee for renewal of an active license shall be
$90. For the annual renewal due on December 31, 2009, the fee shall be $50 License
for practitioner of the healing arts to sell controlled substances: $90.
2. The late fee for renewal of a license within one year
after the expiration date is $30 in addition to the annual renewal fee Permit
for facility in which practitioners of the healing arts sell controlled
substances: $240.
3. The fee for reinstatement of a license expired for more
than one year shall be $210.
D. Late fees. The following late fees shall be paid in
addition to the current renewal fee to renew an expired license within one year
of the expiration date.
1. License for practitioner of the healing arts to sell
controlled substances: $30.
2. Permit for facility in which practitioners of the
healing arts sell controlled substances: $40.
E. Reinstatement fees. Any person or entity attempting to
renew a license or permit more than one year after the expiration date shall
submit an application for reinstatement with any required fees.
1. License for practitioner of the healing arts to sell
controlled substances: $150.
2. Permit for facility in which practitioners of the
healing arts sell controlled substances: $240.
3. Application fee for reinstatement of a license or permit
that has been revoked or suspended indefinitely: $500.
F. Facilities in which only one practitioner of the
healing arts is licensed by the board to sell controlled substances shall be
exempt from fees associated with obtaining and renewing a facility permit.
[ Facilities that change from only one practitioner to more than one
shall notify the board within 30 days of such change. ]
D. G. The fee for reinspection of any facility
shall be $150.
E. H. The fee for a returned check shall be
$35.
Part II
Licensure and Permit Requirements
18VAC110-30-20. Application for licensure.
A. Prior to engaging in the sale of controlled substances, a
practitioner shall make application on a form provided by the board and be
issued a license. After June 7, 2016, the practitioner shall engage in such
sale from a location that has been issued a facility permit.
B. In order to be eligible for a license to sell controlled
substances, a practitioner shall possess a current, active license to practice
medicine, osteopathic medicine, or podiatry issued by the Virginia Board of
Medicine. Any disciplinary action taken by the Board of Medicine against the
practitioner's license to practice shall constitute grounds for the board to
deny, restrict, or place terms on the license to sell.
C. For good cause shown, the board may issue a limited-use
license, when the scope, degree or type of services provided to the patient is
of a limited nature. The license to be issued shall be based on conditions of
use requested by the applicant or imposed by the board in cases where certain
requirements of regulations may be waived. The following conditions shall
apply:
1. A policy and procedure manual detailing the type and
volume of controlled substances to be sold and safeguards against diversion
must accompany the application. The application shall list the regulatory requirements
for which a waiver is requested and a brief explanation as to why each
requirement should not apply to that practice; and
2. The issuance and continuation of such license shall be
subject to continuing compliance with the conditions set forth by the board.
18VAC110-30-21. Application for facility permit.
A. After June 7, 2016, any location at which practitioners
of the healing arts sell controlled substances shall have a permit issued by
the board in accordance with § 54.1-3304.1 of the Code of Virginia. A licensed
practitioner of the healing arts shall apply for the facility permit on a form
provided by the board.
B. For good cause shown, the board may issue a limited-use
facility permit when the scope, degree, or type of services provided to the
patient is of a limited nature. The permit to be issued shall be based on
conditions of use requested by the applicant or imposed by the board in cases
where certain requirements of this chapter may be waived.
1. The limited-use facility permit application shall list
the regulatory requirements for which a waiver is requested, if any, and a
brief explanation as to why each requirement should not apply to that practice.
2. A policy and procedure manual detailing the type and
volume of controlled substances to be sold and safeguards against diversion
shall accompany the application.
3. The issuance and continuation of a limited-use facility
permit shall be subject to continuing compliance with the conditions set forth
by the board.
C. The executive director may grant a waiver of the
security system when storing and selling multiple strengths and formulations of
no more than five different topical Schedule VI drugs intended for cosmetic
use.
18VAC110-30-30. Renewal of license or permit.
A. A license or facility permit so issued shall be
valid until December 31 of the year of issue. Renewal of the license shall be
made on or before December 31 of each year.
B. If a practitioner fails to renew his license or
facility permit to sell within the Commonwealth by the renewal date, he
must pay the renewal fee plus the late fee. He may renew his license or
facility permit by payment of these fees for one year from the date of
expiration.
C. Failure to renew the license or facility permit to
sell within one year following expiration shall cause the license or permit
to lapse. The selling of controlled substances with a lapsed license or
permit shall be illegal and may subject the practitioner to disciplinary
action by the board. To reinstate a lapsed license or permit, a
practitioner shall submit an application for reinstatement and pay the
reinstatement fee, plus the reinspection fee if a reinspection is required as
set forth in subsection D of this section. Reinstatement is at the discretion
of the board and may be granted by the executive director on the board's behalf
provided no grounds exist to deny said reinstatement.
D. Prior to reinstatement of a license facility
permit that has been lapsed for more than one year, a reinspection of the
storage and selling area shall be conducted unless another practitioner at
the same location has held an active license to sell controlled substances
during that period. A practitioner seeking reinstatement of a facility
permit shall not stock drugs until approved by the board or its authorized
agent.
E. The selling of controlled substances without a current,
active license or facility permit is unlawful and shall constitute
grounds for disciplinary action by the board.
18VAC110-30-50. Licensees ceasing to sell controlled substances;
inventory required prior to disposal.
A. Any licensee who intends to cease selling controlled
substances shall notify the board 10 days prior to cessation and surrender his
license, and his license will be placed on expired status. If no other practitioner
of the healing arts licensed to sell controlled substances intends to sell
controlled substances from the same location, the practitioner shall also
surrender the facility permit, and the permit will be placed on expired status.
B. Any Schedule II through V controlled substances shall be
inventoried and may be disposed of by transferring the controlled substance
stock to another licensee or other person authorized by law to possess such
drugs or by destruction as set forth in this chapter.
C. The licensee or other responsible person shall inform the
board of the name and address of the licensee to whom the controlled substances
are transferred.
D. A licensee who has surrendered his license or facility
permit pursuant to this section may request that it be made current again
at any time within the same renewal year without having to pay an additional
fee, provided the licensee is selling from the same location or from another
location that has been inspected and approved by the board.
Part III
Inspection Requirements, Standards, and Security for Storage Areas; Disposal of
Controlled Substances
18VAC110-30-70. Maintenance of a common stock of controlled
substances Practitioner in charge in a permitted facility.
Any two or more licensees who elect to maintain a common
stock of A facility with a permit for practitioners of the healing arts
to sell controlled substances for dispensing shall:
1. Designate a licensee practitioner with a license
to sell controlled substances who shall be the primary person responsible
for the stock, the required inventory, the records of receipt and destruction,
safeguards against diversion and compliance with this chapter;
2. Report to the board the name of the licensee and the
location of the controlled substance stock on a form provided by the board;
3. Upon a change in the licensee so designated, an inventory
of all Schedule II through V controlled substances shall be conducted in the
manner set forth in § 54.1-3404 of the Drug Control Act of the Code of Virginia
and such change shall immediately be reported to the board; and
4. Nothing shall relieve the other individual licensees who
sell controlled substances at the location of the responsibility for the
requirements set forth in this chapter.
18VAC110-30-80. Inspection and notice required.
A. The area designated for the storage and selling of
controlled substances shall be inspected by an agent of the board prior to the
issuance of the first license to sell controlled substances from that site.
Inspection prior to issuance of subsequent licenses at the same location shall
be conducted at the discretion of the board.
B. Applications for licenses which facility permits
that indicate a requested inspection date, or requests which that
are received after the application is filed, shall be honored provided a 14-day
notice to the board is allowed prior to the requested inspection date.
C. Requested inspection dates which that do not
allow a 14-day notice to the board may be adjusted by the board to provide 14
days for the scheduling of the inspection.
D. At the time of the inspection, the controlled substance
selling and storage area shall comply with 18VAC110-30-90, 18VAC110-30-100,
18VAC110-30-110, 18VAC110-30-120, and 18VAC110-30-130.
E. If an applicant substantially fails to meet the
requirements for issuance of a license facility permit and a
reinspection is required, or if the applicant is not ready for the inspection
on the established date and fails to notify the inspector or the board at least
24 hours prior to the inspection, the applicant shall pay a reinspection fee as
specified in 18VAC110-30-15 prior to a reinspection being conducted.
F. No license facility permit shall be issued
to sell controlled substances until adequate safeguards against diversion have
been provided for the controlled substance storage and selling area and
approved by the the inspector or board staff.
G. The licensee shall notify the board of any substantive
changes to the approved selling and storage area including moving the location
of the area, making structural changes to the area, or making changes to the
alarm system for the area prior to the changes being made and pay a
reinspection fee. An inspection shall be conducted prior to approval of the new
or altered selling and storage area.
18VAC110-30-90. Physical standards.
Physical standards for the controlled substance selling and
storage area:
1. The building in which the controlled substances selling and
storage area is located shall be constructed of permanent and secure materials.
Trailers and other movable facilities shall not be permitted;
2. There shall be an enclosed area of not less than 40 square
feet that is designated as the controlled substances selling and storage area,
which shall be used exclusively for storage, preparation, and dispensing.
Records related to the sale of controlled substances may be maintained outside
the selling and storage area with access limited to the licensee and those
persons authorized to assist in the area. The work space used in preparation of
the drugs shall be contained within the enclosed area. A controlled substance
selling and storage area inspected and approved prior to November 3, 1993,
shall not be required to meet the size requirement of this chapter;
3. Controlled substances maintained for ultimate sale shall be
maintained separately from any other controlled substances maintained for other
purposes. Controlled substances maintained for other purposes such as
administration or samples may be stored within the selling and storage area
provided they are clearly separated from the stock maintained for sale;
4. The selling and storage area, work counter space and
equipment in the area shall be maintained in a clean and orderly manner;
5. A sink with hot and cold running water shall be available
within the immediate vicinity 20 feet of the selling and storage
area and not located within an examination room or restroom; and
6. The entire area described in this chapter shall be well
lighted and ventilated; the proper storage temperature shall be maintained to
meet official specifications for controlled substance storage.
NOTICE: The following
forms used in administering the regulation were filed by the agency. The forms
are not being published; however, online users of this issue of the Virginia
Register of Regulations may click on the name of a form with a hyperlink to
access it. The forms are also available from the agency contact or may be
viewed at the Office of the Registrar of Regulations, General Assembly
Building, 2nd Floor, Richmond, Virginia 23219.
FORMS (18VAC110-30)
Application for a License to Sell Controlled Substances by
a Practitioner of the Healing Arts (rev. 8/07).
Application
for a License to Sell Controlled Substances by a Practitioner of the Healing
Arts (rev. 12/2015)
Application
for a Facility Permit for Practitioner(s) of the Healing Arts to Sell
Controlled Substances (rev. 12/2015)
VA.R. Doc. No. R16-4532; Filed May 8, 2017, 8:25 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF SOCIAL WORK
Final Regulation
Title of Regulation: 18VAC140-20. Regulations
Governing the Practice of Social Work (amending 18VAC140-20-40, 18VAC140-20-50).
Statutory Authority: § 54.1-2400 of the Code of
Virginia.
Effective Date: June 28, 2017.
Agency Contact: Jaime Hoyle, Executive Director, Board
of Social Work, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4406, FAX (804) 527-4435, or email
jaime.hoyle@dhp.virginia.gov.
Summary:
The amendments (i) require submission of an application for
licensure within two years of completion of supervised experience and (ii)
require registration of supervision whenever there is a change in the
supervisor, the supervised practice, or clinical services or location.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
Part II
Requirements for Licensure
18VAC140-20-40. Requirements for licensure by examination as a
licensed clinical social worker.
Every applicant for examination for licensure as a licensed
clinical social worker shall:
1. Meet the education requirements prescribed in
18VAC140-20-49 and experience requirements prescribed in 18VAC140-20-50.
2. Submit a completed application to the board office within
two years of completion of supervised experience to include:
a. Documentation, on the appropriate forms, of the successful
completion of the supervised experience requirements of 18VAC140-20-50 along
with documentation of the supervisor's out-of-state license where applicable.
Applicants whose former supervisor is deceased, or whose whereabouts is
unknown, shall submit to the board a notarized affidavit from the present chief
executive officer of the agency, corporation or partnership in which the
applicant was supervised. The affidavit shall specify dates of employment, job
responsibilities, supervisor's name and last known address, and the total
number of hours spent by the applicant with the supervisor in face-to-face
supervision;
b. The application fee prescribed in 18VAC140-20-30;
c. Official transcript or documentation submitted from the
appropriate institutions of higher education that verifies successful
completion of educational requirements set forth in 18VAC140-20-49;
d. Documentation of any other health or mental health
licensure or certification, if applicable; and
e. A current report from the U.S. Department of Health and
Human Services National Practitioner Data Bank (NPDB).
3. Provide evidence of passage of the examination prescribed
in 18VAC140-20-70.
18VAC140-20-50. Experience requirements for a licensed clinical
social worker.
A. Supervised experience. Supervised post-master's degree experience
without prior written board approval will not be accepted toward licensure,
except supervision obtained in another United States jurisdiction may be
accepted if it met the requirements of that jurisdiction.
1. Registration. An individual who proposes to obtain
supervised post-master's degree experience in Virginia shall, prior to the
onset of such supervision, or whenever there is an addition or change of
supervised practice, supervisor, clinical social work services or location:
a. Register on a form provided by the board and completed by
the supervisor and the supervised individual; and
b. Pay the registration of supervision fee set forth in
18VAC140-20-30.
2. Hours. The applicant shall have completed a minimum of
3,000 hours of supervised post-master's degree experience in the delivery of
clinical social work services and in ancillary services that support such
delivery. A minimum of one hour and a maximum of four hours of face-to-face
supervision shall be provided per 40 hours of work experience for a total of at
least 100 hours. No more than 50 of the 100 hours may be obtained in group
supervision, nor shall there be more than six persons being supervised in a
group unless approved in advance by the board. The board may consider
alternatives to face-to-face supervision if the applicant can demonstrate an
undue burden due to hardship, disability or geography.
a. Supervised experience shall be acquired in no less than two
nor more than four consecutive years.
b. Supervisees shall obtain throughout their hours of
supervision a minimum of 1,380 hours of supervised experience in face-to-face
client contact in the delivery of clinical social work services. The remaining
hours may be spent in ancillary services supporting the delivery of clinical
social work services.
3. An individual who does not complete the supervision
requirement after four consecutive years of supervised experience may request
an extension of up to 12 months. The request for an extension shall include
evidence that demonstrates extenuating circumstances that prevented completion
of the supervised experience within four consecutive years.
B. Requirements for
supervisors.
1. The supervisor shall hold an active, unrestricted license
as a licensed clinical social worker in the jurisdiction in which the clinical
services are being rendered with at least two years of post-licensure clinical
social work experience. The board may consider supervisors with commensurate
qualifications if the applicant can demonstrate an undue burden due to geography
or disability or if supervision was obtained in another United States
jurisdiction.
2. The supervisor shall have received professional training in
supervision, consisting of a three credit-hour graduate course in supervision
or at least 14 hours of continuing education offered by a provider approved
under 18VAC140-20-105. The graduate course or hours of continuing education in
supervision shall be obtained by a supervisor within five years immediately
preceding registration of supervision.
3. The supervisor shall not provide supervision for a family
member or provide supervision for anyone with whom he has a dual relationship.
4. The board may consider supervisors from jurisdictions
outside of Virginia who provided clinical social work supervision if they have
commensurate qualifications but were either (i) not licensed because their
jurisdiction did not require licensure or (ii) were not designated as clinical
social workers because the jurisdiction did not require such designation.
C. Responsibilities of supervisors. The supervisor shall:
1. Be responsible for the social work activities of the
supervisee as set forth in this subsection once the supervisory arrangement is
accepted;
2. Review and approve the diagnostic assessment and treatment
plan of a representative sample of the clients assigned to the applicant during
the course of supervision. The sample should be representative of the variables
of gender, age, diagnosis, length of treatment and treatment method within the
client population seen by the applicant. It is the applicant's responsibility
to assure the representativeness of the sample that is presented to the
supervisor;
3. Provide supervision only for those social work activities
for which the supervisor has determined the applicant is competent to provide
to clients;
4. Provide supervision only for those activities for which the
supervisor is qualified by education, training and experience;
5. Evaluate the supervisee's knowledge and document minimal
competencies in the areas of an identified theory base, application of a
differential diagnosis, establishing and monitoring a treatment plan,
development and appropriate use of the professional relationship, assessing the
client for risk of imminent danger, understanding the requirements of law for
reporting any harm or risk of harm to self or others, and implementing a
professional and ethical relationship with clients;
6. Be available to the applicant on a regularly scheduled
basis for supervision;
7. Maintain documentation, for five years post-supervision, of
which clients were the subject of supervision; and
8. Ensure that the board is notified of any change in
supervision or if supervision has ended or been terminated by the supervisor.
D. Responsibilities of supervisees.
1. Supervisees may not directly bill for services rendered or
in any way represent themselves as independent, autonomous practitioners, or
licensed clinical social workers.
2. During the supervised experience, supervisees shall use
their names and the initials of their degree, and the title "Supervisee in
Social Work" in all written communications.
3. Clients shall be informed in writing of the supervisee's
status and the supervisor's name, professional address, and phone number.
4. Supervisees shall not supervise the provision of clinical
social work services provided by another person.
VA.R. Doc. No. R16-4574; Filed April 26, 2017, 1:18 p.m.
TITLE 20. PUBLIC UTILITIES AND TELECOMMUNICATIONS
STATE CORPORATION COMMISSION
Final Regulation
REGISTRAR'S NOTICE: The
following amendments are exempt from the Virginia Administrative Process Act
pursuant to § 2.2-4002 C of the Code of Virginia, which provides that
minor changes to regulations published in the Virginia Administrative Code
under the Virginia Register Act, Chapter 41 (§ 2.2-4100 et seq.) of Title
2.2 of the Code of Virginia, made by the Virginia Code Commission pursuant to
§ 30-150, shall be exempt from the provisions of the Virginia
Administrative Process Act.
Titles of Regulations: 20VAC5-307. Rules Governing
the Safety of Master-Metered Natural Gas Systems (amending 20VAC5-307-10).
20VAC5-308. Rules Governing the Safety of Intrastate
Hazardous Liquid Pipeline Systems (amending 20VAC5-308-10).
Statutory Authority: § 56-257.2 of the Code of
Virginia (20VAC5-307-10).
§§ 12.1-13 and 56-555 of the Code of Virginia
(20VAC5-308-10).
Effective Date: May 29, 2017.
Agency Contact: Angela Bowser, Deputy Director, Division
of Information Resources, State Corporation Commission, P.O. Box 1197,
Richmond, VA 23218, telephone (804) 371-9142, FAX (804) 371-9240, or email
angela.bowser@scc.virginia.gov.
Summary:
The amendments correct the telephone number for the State
Corporation Commission's Manager of Gas Pipeline Safety.
20VAC5-307-10. Master-metered natural gas systems.
A. These rules are adopted pursuant to § 56-257.2 of the Code
of Virginia to establish safety and inspection requirements for master-metered
natural gas systems as defined by federal regulations promulgated under the
Natural Gas Pipeline Safety Act of 1968 (49 USC App. § 1671 et seq.), as
amended.
B. Parts 191 and 192 of Title 49 of the Code of Federal
Regulations are hereby adopted by reference as the minimum pipeline safety regulations
applicable to master-metered systems within the commission's jurisdiction under
§ 56-257.2 of the Code of Virginia.
C. Telephonic notices regarding incidents involving
master-metered gas systems shall be made, at the earliest practicable moment
following discovery of the incident, to the commission's Division of Energy
Regulation during the division's daily hours and to the commission's Manager of
Gas Pipeline Safety (pager (telephone number (804) 351-4100)
343-0863) during all other times. Such notices shall include the
information listed in 49 CFR 191.5(b)(1) through (b)(5).
D. The commission's Division of Energy Regulation may require
certain written reports from the jurisdictional master-metered systems to aid
the commission staff in administering an effective gas pipeline safety program.
E. The commission's Division of Energy Regulation shall be
empowered to submit and sign on behalf of the commission, such forms and
applications as necessary to assure participation in natural gas pipeline
safety programs, as deemed advisable by the commission to assure an effective
safety program in Virginia, but that the commission comptroller shall be
empowered to sign on behalf of the commission those applications and forms pertaining
to grants or reimbursement of expenses incurred by the commission in conducting
the gas pipeline safety program in Virginia.
20VAC5-308-10. Safety of intrastate hazardous liquid pipeline
systems.
A. These rules are adopted pursuant to § 56-555 of the Code
of Virginia to establish safety and inspection requirements for intrastate
hazardous liquid pipeline systems as defined by federal regulation promulgated
under 49 USC § 60101.
B. Parts 195 and 199 of Title 49 of the Code of Federal
Regulations are hereby adopted by reference as the minimum pipeline safety
regulations applicable to intrastate hazardous liquid pipeline systems within
the commission's jurisdiction.
C. Telephonic notices regarding
incidents involving hazardous liquid pipeline systems shall be made, at the
earliest practicable moment following discovery of the incident, to the
commission's Division of Energy Regulation during the division's daily hours
and to the commission's Manager of Pipeline Safety (pager (telephone
number (804) 351-4100) 343-0863) during all other
times. Such notices shall include the information listed in 49 CFR 195.52(b)(1)
through (b)(6).
D. The commission's Division of Energy Regulation may require
certain written reports from the jurisdictional hazardous liquid pipeline
systems to aid the commission staff in administering an effective pipeline
safety program.
E. The commission's Division of Energy Regulation shall be
empowered to submit and sign on behalf of the commission, such forms and
applications as necessary to assure participation in hazardous liquid pipeline
safety programs, as deemed advisable by the commission to assure an effective
safety program in Virginia, but that the commission comptroller shall be
empowered to sign on behalf of the commission those applications and forms
pertaining to grants or reimbursement of expenses incurred by the commission in
conducting the pipeline safety program in Virginia.
VA.R. Doc. No. R17-5120; Filed May 3, 2017, 2:52 p.m.
TITLE 20. PUBLIC UTILITIES AND TELECOMMUNICATIONS
STATE CORPORATION COMMISSION
Final Regulation
REGISTRAR'S NOTICE: The
following amendments are exempt from the Virginia Administrative Process Act
pursuant to § 2.2-4002 C of the Code of Virginia, which provides that
minor changes to regulations published in the Virginia Administrative Code
under the Virginia Register Act, Chapter 41 (§ 2.2-4100 et seq.) of Title
2.2 of the Code of Virginia, made by the Virginia Code Commission pursuant to
§ 30-150, shall be exempt from the provisions of the Virginia
Administrative Process Act.
Titles of Regulations: 20VAC5-307. Rules Governing
the Safety of Master-Metered Natural Gas Systems (amending 20VAC5-307-10).
20VAC5-308. Rules Governing the Safety of Intrastate
Hazardous Liquid Pipeline Systems (amending 20VAC5-308-10).
Statutory Authority: § 56-257.2 of the Code of
Virginia (20VAC5-307-10).
§§ 12.1-13 and 56-555 of the Code of Virginia
(20VAC5-308-10).
Effective Date: May 29, 2017.
Agency Contact: Angela Bowser, Deputy Director, Division
of Information Resources, State Corporation Commission, P.O. Box 1197,
Richmond, VA 23218, telephone (804) 371-9142, FAX (804) 371-9240, or email
angela.bowser@scc.virginia.gov.
Summary:
The amendments correct the telephone number for the State
Corporation Commission's Manager of Gas Pipeline Safety.
20VAC5-307-10. Master-metered natural gas systems.
A. These rules are adopted pursuant to § 56-257.2 of the Code
of Virginia to establish safety and inspection requirements for master-metered
natural gas systems as defined by federal regulations promulgated under the
Natural Gas Pipeline Safety Act of 1968 (49 USC App. § 1671 et seq.), as
amended.
B. Parts 191 and 192 of Title 49 of the Code of Federal
Regulations are hereby adopted by reference as the minimum pipeline safety regulations
applicable to master-metered systems within the commission's jurisdiction under
§ 56-257.2 of the Code of Virginia.
C. Telephonic notices regarding incidents involving
master-metered gas systems shall be made, at the earliest practicable moment
following discovery of the incident, to the commission's Division of Energy
Regulation during the division's daily hours and to the commission's Manager of
Gas Pipeline Safety (pager (telephone number (804) 351-4100)
343-0863) during all other times. Such notices shall include the
information listed in 49 CFR 191.5(b)(1) through (b)(5).
D. The commission's Division of Energy Regulation may require
certain written reports from the jurisdictional master-metered systems to aid
the commission staff in administering an effective gas pipeline safety program.
E. The commission's Division of Energy Regulation shall be
empowered to submit and sign on behalf of the commission, such forms and
applications as necessary to assure participation in natural gas pipeline
safety programs, as deemed advisable by the commission to assure an effective
safety program in Virginia, but that the commission comptroller shall be
empowered to sign on behalf of the commission those applications and forms pertaining
to grants or reimbursement of expenses incurred by the commission in conducting
the gas pipeline safety program in Virginia.
20VAC5-308-10. Safety of intrastate hazardous liquid pipeline
systems.
A. These rules are adopted pursuant to § 56-555 of the Code
of Virginia to establish safety and inspection requirements for intrastate
hazardous liquid pipeline systems as defined by federal regulation promulgated
under 49 USC § 60101.
B. Parts 195 and 199 of Title 49 of the Code of Federal
Regulations are hereby adopted by reference as the minimum pipeline safety
regulations applicable to intrastate hazardous liquid pipeline systems within
the commission's jurisdiction.
C. Telephonic notices regarding
incidents involving hazardous liquid pipeline systems shall be made, at the
earliest practicable moment following discovery of the incident, to the
commission's Division of Energy Regulation during the division's daily hours
and to the commission's Manager of Pipeline Safety (pager (telephone
number (804) 351-4100) 343-0863) during all other
times. Such notices shall include the information listed in 49 CFR 195.52(b)(1)
through (b)(6).
D. The commission's Division of Energy Regulation may require
certain written reports from the jurisdictional hazardous liquid pipeline
systems to aid the commission staff in administering an effective pipeline
safety program.
E. The commission's Division of Energy Regulation shall be
empowered to submit and sign on behalf of the commission, such forms and
applications as necessary to assure participation in hazardous liquid pipeline
safety programs, as deemed advisable by the commission to assure an effective
safety program in Virginia, but that the commission comptroller shall be
empowered to sign on behalf of the commission those applications and forms
pertaining to grants or reimbursement of expenses incurred by the commission in
conducting the pipeline safety program in Virginia.
VA.R. Doc. No. R17-5120; Filed May 3, 2017, 2:52 p.m.
TITLE 20. PUBLIC UTILITIES AND TELECOMMUNICATIONS
STATE CORPORATION COMMISSION
Forms
Title of Regulation: 20VAC5-330. Limitations on
Disconnection of Electric and Water Service.
Agency Contact: Angela Bowser, Deputy Director, Division
of Information Resources, State Corporation Commission, P.O. Box 1197,
Richmond, VA 23218, telephone (804) 371-9142, or email angela.bowser@scc.virginia.gov.
REGISTRAR'S NOTICE: A
form used in administering the following regulation has been filed by the State
Corporation Commission. The form is not being published; however, online users
of this issue of the Virginia Register of Regulations may click on the name of
a form to access it. The form is also available from the agency contact or may
be viewed at the Office of the Registrar of Regulations, General Assembly
Building, 2nd Floor, Richmond, Virginia 23219.
FORMS (20VAC5-330)
Serious Medical Condition Certification Form, Form SMCC
(10/11).
Serious
Medical Condition Certification Form, Form SMCC (rev. 1/2017)
VA.R. Doc. No. R17-4939; Filed May 3, 2017, 3:21 p.m.
TITLE 22. SOCIAL SERVICES
DEPARTMENT FOR AGING AND REHABILITATIVE SERVICES
Final Regulation
REGISTRAR'S NOTICE: The
Department for Aging and Rehabilitation Services is claiming an exemption from
Article 2 of the Administrative Process Act in accordance with § 2.2-4006
A 3 of the Code of Virginia, which excludes regulations that consist only
of changes in style or form or corrections of technical errors. The Department
for Aging and Rehabilitation Services will receive, consider, and respond to
petitions by any interested person at any time with respect to reconsideration
or revision.
Title of Regulation: 22VAC30-80. Auxiliary Grants
Program (adding 22VAC30-80-80).
Statutory Authority: §§ 51.5-131 and 51.5-160 of the Code
of Virginia; § 416-2001 of Title XX of the Social Security Act.
Effective Date: June 30, 2017.
Agency Contact: Tishaun Harris-Ugworji, Program
Consultant, Department for Aging and Rehabilitative Services, 8004 Franklin
Farms Drive, Richmond, VA, VA 23229, telephone (804) 662-7531, or email
tishaun.harrisugworji@dars.virginia.gov.
Summary:
The action reflects changes made by Chapters 803 and 835 of
the 2012 Acts of Assembly regarding the relocation of adult services and
administration of auxiliary grants from the Department of Social Services to
the Department for Aging and Rehabilitative Services (DARS). The amendment
changes the chapter and section number so that the regulation appears under
DARS in the Virginia Administrative Code.
22VAC40-410-10. 22VAC30-80-80. Foreign government
restitution payments to Holocaust survivors.
The value of foreign government restitution payments made to
Holocaust survivors on or after August 1, 1994, shall be disregarded in the
determination of eligibility or amount of assistance for the Auxiliary Grants
Program as defined in § 51.5-160 of the Code of Virginia.
VA.R. Doc. No. R17-5084; Filed May 4, 2017, 5:01 p.m.